換算風險管理 的英文怎麼說

中文拼音 [huànsuànfēngxiǎnguǎn]
換算風險管理 英文
managing translation exposure
  • : 動詞1. (給人東西同時從他那裡取得別的東西) exchange; barter; trade 2. (變換; 更換) change 3. (兌換) exchange; cash
  • : Ⅰ動詞1 (計算數目) calculate; reckon; compute; figure 2 (計算進去) include; count 3 (謀劃;計...
  • : Ⅰ名詞1 (空氣流動) wind 2 (風氣; 風俗) practice; atmosphere; custom 3 (景象) scene; view 4 ...
  • : Ⅰ名詞1 (險惡不容易通過的地方) a place difficult of access; narrow pass; defile 2 (危險) dange...
  • : Ⅰ名詞1 (管子) pipe; tube 2 (吹奏的樂器) wind musical instrument 3 (形狀似管的電器件) valve;...
  • : Ⅰ名詞1 (物質組織的條紋) texture; grain (in wood skin etc ) 2 (道理;事理) reason; logic; tru...
  • 換算 : [數學] matrixing; scaler; conversion; convert; translation換算表 conversion table; equivalent tab...
  • 風險 : risk; hazard; danger
  • 管理 : manage; run; administer; supervise; rule; administration; management; regulation
  1. Managing translation exposure

    換算風險管理
  2. The approach to the management of foreign exchange reserved by central bankers varies across the globe, ranging from a policy of benign neglect to detailed and highly mathematical calculations of alternative moves to reduce the risk and increase profitability

    世界各國主要銀行家們對外匯交儲備的方法不盡相同,有的國家對外匯採取某些寬松的政策,有的國家則採取詳細計各種外匯儲備的方式,以便減少,提高收益。
  3. Graduates will be equipped to function effectively as managers in insurance and related fields, in which there are excellent career opportunities in hong kong. they will also specialize in the quantitative techniques of insurance and receive preparatory training for possible careers in actuarial - related disciplines

    句話說,這個課程的畢業生的出路十分廣泛,可為精師、財務分析師、財務策劃師、及於或核保、賠及財務服務業中的其他專業人員。
  4. Although there is no real option pricing trading market all across the nation, the application of the theories will enjoy the bright future because many financial tools and businesses embody the idea of the option. the main applications include : the pricing of the company ' s financing tools, including stock, bond, convertible bond and so on ; the calculation of the proportion of liability to stock in case of changing the liability a company owes to a creditor into the stock share ; the evaluation of the value of a loan and analysis of the credit risk of loans in our country from the point of option ; and the evaluation of the effectiveness of executive stock. option and the improvement of the executive stock option

    目前中國還沒有期權交易市場,但由於許多金融工具和金融業務中都包含了期權的思想,期權定價論在我國仍有廣闊的應用前景,本文對此進行了探索。主要的應用內容有以下四方面:公司融資工具,既包括傳統融資工具股票、債券的定價,也包括新型融資工具可轉債券和認股權證的定價;債轉股業務中比例的確定,用布萊克-斯科爾斯模型和二項分佈模型兩種方法計;貸款業務定價,並從期權角度分析我國貸款的信用狀況、成因;經人期權激勵,包括其原、對其有效性的實證分析,並引進指數期權作為改進方法。
  5. Global clearinghouse leaders discuss best practices for risk management and clearing including risk monitoring, default mechanisms, lines of credit, margining, security deposits, and insurance

    作為全球票據交的主要公司,在這個專題中將探討和清的經驗,包括監控、違約機制、信貸限額、限額邊界、保證金收取、準備金和保
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