Financial market risk management 金融营销风险管理
financial market risk measurement 金融市场风险度量
Financial Market Systematic Risk 金融市场系统性风险
Cross-market Financial Risk 跨市场金融风险
Financial market risk and volatility is a main issue for modern finance research.
金融市场的风险和波动性一直是现代金融学研究的主题。
Comprehensive financial management, market competition, financial market risk prevention pressure.
金融综合经营加快,市场竞争激烈,金融市场风险防范压力较大。
It related-the necessity of adopting VAR models to measure the financial market risk in our country.
论述了在我国采用VAR模型计量金融市场风险的必要性和可行性。
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