2009年2月银行理财产品评价报告 目 录 一、人民币产品特点:量升价跌 ................................................................................................... 1 1.发行主体:外资银行评价产品的收益、风险水平略优于中资银行 ................
Credit Policy, Guidelines and Procedures Manual 信贷政策,指南及程序手册 lKey business objectives 主要业务目标 lStructure and Responsibility 结构及职责 lEconomic Outlook 经济预期 lSectoral Analysis 行业分析 lBusiness Strategy and Focus 业...
Introduction________________________________________________________ 3 Risk Culture what does it mean at Standard Chartered____________________ 3 Business and Risk___________________________________________________ 4 Risk Principles (also...
《金融风险管理》(第3版)(Managing Financial Risk) Charles W.Smith...
ourseoutlineOverview Overview I I Empirical Empirical asset asset pricing pricing I.1 I.1 Theoretical Theoretical Background, Background, Stochastic Stochastic Discount Discount Factors Factors and GMM and GMM estimation estimation I.2 I.2...
Preface . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 10 I Foundations 11 1 The classic capital asset pricing model 12 1.2 The CAPM . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . ....
1 some basic theory of Finance 2 basic Monte Carlo methods 3 Variance Reduction techniques 4 Quasi-Monte Carlo Multiple Integration 5 Sensitivity Anylysis 6 Estimation and Callibration 7 Miscellany...
目录 3、远期和期货定价 4、互换的定价 5、期权市场及其交易策略 6、布莱克-舒尔斯期权定价模型 7、布莱克-舒尔斯期权定价公式的扩展 8、期权定价的数值方法 9、奇异期权 10、套期保值行为 12、信用风险和信用衍生工具...
How to Be a Great Financial Analyst 怎样成为一名卓越的财务分析师 It takes seven key skills and a new way of thinking. 七个关键技能和一种新的思考方式 BY STEVE SPIECH,CMA,CFM Every company has employees who analyze its financial data and enh...
第 1 章 金融衍生产品概述 一、金融衍生产品市场及其发展 二、金融衍生产品及其分类 (一)金融衍生产品的定义 (二)金融衍生产品的种类 ( 三)金融衍生产品的特征、优势及其用途 (四)金融衍生产品交易的主要风险 三、金融期货市场开放与关闭之争议 第 2...