若塞特 的英文怎麼說

中文拼音 [ruò]
若塞特 英文
josette
  • : 若Ⅰ動詞(如; 好象) like; seem; as if Ⅱ連詞[書面語] (如果) if Ⅲ代詞[書面語] (你) you Ⅳ名詞(姓氏) a surname
  • : Ⅰ形容詞(特殊; 超出一般) particular; special; exceptional; unusual Ⅱ副詞1 (特別) especially; v...
  1. Then hopefully when we have two more trophies jose can spend the rumoured 75m transfer kitty on some backup to the african contingent, get a decent striker to help drogs, a decent right - back to challenge glen johnson, and another centre - back to challenge and back up jt and riccy

    如願當我們擁有另外兩個獎杯時,何便可以把那個傳聞中的七千五百萬鎊轉會賭注,花費在為非洲杯而應急的替補球員身上、找一個像樣的射手去幫助德羅巴,一個像樣的加衛去挑戰格倫約翰遜,還有另一個中衛去挑戰和支援隊和里卡多。
  2. A goal from scott sinclair on the hour won it, but it was the overall performance which delighted manager ruud kaiser

    斯科辛克萊爾的進球幫助切爾西獲勝。不過這足以讓魯得凱爾欣喜狂。
  3. Lastly, it analyses the management methods of credit risk, market risk and operation risk of our commercial banks : in the section of the credit risk, it begins with risk recognition, introduces the difficulties of establishing the internal ratings - based approach of our commercial bank and puts forward the management thinkings from the five respects : the setup of irb, credit culture establishment, the modification of information announcement, the innovation of credit management tools and improvement of the capital adequate rate. in the section of market risk, it introduces the reason of strengthening its management of the whole world and our country, analyses the most important method - var and then discusses its operation inour country commercial banks. in the section of the operation risk, it defines the internal meaning, analyses the different measure means, points out current pressure of our commercial bank ' s facing and finally proposes the rightful operation risk management tactics combining the actual situation of our country

    首先是對新協議本身的研究,介紹了巴爾協議的邏輯演進、新協議的主要內容及主要徵;其次從最低資本要求、監督部門的監督檢查和市場約束三大支柱入手,分析新協議對我國商業銀行風險管理可能產生的不利影響;最後分析了新協議框架下我國商業銀行信用風險、市場風險和操作風險的管理思路:信用風險部分從對其的識別分析入手,介紹了我國商業銀行建立內部評級法的必然性,最後從內部評級體系的構建、良好信用管理文化的建立、信用風險的信息披露改進、信用管理工具創新和提高資本充足率、構建統一的風險管理組織結構六個方面提出了我國商業銀行信用風險的管理途徑;市場風險部分介紹了全球以及我國加強其管理的原因,對當前市場風險管理的主流方法? ? var方法進行了詳細的闡述,並進而對var方法應用於我國商業銀行市場風險管理中的干問題進行了探討;操作風險部分在正確界定其內涵的基礎上,重點分析了各種計量方法,並指出現階段我國商業銀行加強操作風險管理的緊迫性,最後並結合我國的實際情況提出了合理的操作風險管理策略。
  4. And if martin wants to be one of them, i miss my guess. but what s all that got to do with herbert spencer anyway

    是馬丁想當個什麼師,就算我猜錯了,可那跟赫伯斯賓又怎麼能扯得上?
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