Anbieter: liu xing, Nanjing, JS, China
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Anbieter: liu xing, Nanjing, JS, China
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Verlag: Northeast Finance University Press Pub. Date :2009, 2009
ISBN 10: 7811227932 ISBN 13: 9787811227932
Sprache: Chinesisch
Anbieter: liu xing, Nanjing, JS, China
paperback. Zustand: New. Language:Chinese.Pages Number: 333 Publisher: Northeastern University Press. Financial Pub. Date :2009-09. financial risk management Introduction: Entering the 21st century. the development of financial sector development for economic and social impact of more extensive and in-depth. With the financial markets. capital market liberalization. China s national treatment of foreign financial firms. independent implementation of monetary policy. financial system and reform of financial institutio.
Verlag: Dongbei University of Finance and Economics Press, 2012
ISBN 10: 7565409898 ISBN 13: 9787565409899
Sprache: Chinesisch
Anbieter: liu xing, Nanjing, JS, China
paperback. Zustand: New. Ship out in 2 business day, And Fast shipping, Free Tracking number will be provided after the shipment.Pub Date: 2012 09 Pages: 334 Publisher: the Dongbei University Press 21st Century Applied Undergraduate financial family planning materials: Financial Risk Management (2nd edition) to the core content of the New Basel Capital Accord and our risk regulatory capital guidelines issued by the various regulatory bodies. financial industry standards as a fulcrum. and strive to international practices and China's financial regulatory requirements. to meet the teaching requirements of the application-oriented personnel training. close to the actual need for the purpose. reflects strong forward and operability; strive to make teaching materials both comprehensive and systematic and focused. Book on financial risk management. basic theory. basic methods and financial institutions regulatory requirements are set slightly elaborated. while absorbing the latest reform of finance. investment and scientific research. in order to meet the market economic conditions compound personnel training requirements. The second edition of the textbook editor by 0n. Louling Yan. Contents: the organization of the meaning and purpose of the definition and characteristics of Chapter 1 Overview of Financial Risk Management 1.1 Financial risk 1.2 Financial risk management 1.3 Financial risk management 1.4 Financial risk management process main concepts of Chapter Summary and Chapter 2 of the view basic training financial risks management of the basic method 2.1 on the basis of the modern risk management and development of qualitative methods 2.2 Financial risk management 2.3 Financial risk management of quantitative methods 2.4 internal control and financial risk management Chapter Summary key concepts and perspectives basic training Chapter 3 Credit Risk Management 3.1 Credit risk key concepts and a measure of the credit risk of an overview 3.2 3.3 Credit risk control chapter brief summary of key concepts and view basic training Chapter 4 4.1 Liquidity risk Liquidity Risk Management Overview 4.2 Liquidity risk measure 4.3 Liquidity risk control Chapter Summary traditional point of view Basic Training Overview 5.2 of Chapter 5. interest rate risk management 5.1 Interest rate risk Interest rate risk management methods 5.3 Interest rate risk management of innovative tools Summary of key concepts in this chapter and Chapter 6 of the view basic training exchange rate risk management 6.1 Exchange Rate Risk Overview 6.2 exchange rate risk main concepts and ideas of the basic training of the basic training of the main concepts and ideas of the measure 6.3 exchange rate risk control Chapter Summary Chapter 7 Operational Risk Management 7.1 Operational Risk Overview 7.2 operating risk measure 7.3 operational risk control Chapter Summary Chapter 8 of derivative financial instruments and its main concepts of risk management 8.1 8.3 Derivative financial instruments Derivative financial instruments Overview 8.2 The main risks of derivative financial instruments and management risk management systems Chapter Summary and Chapter 9 of the view basic training systemic financial risk management 9.1 Overview of the systemic financial risks the basic training of the main concepts and ideas of the characteristics and types of systemic financial risks 9.2 9.3 of the causes of systemic financial risk and overall evaluation 9.4 systemic financial risk regulation 9.5 systemic financial risk prevention and management of Chapter Summary Chapter 10 financial institutions 11.1 financial risk early warning of the risk management 10.2. 10.1 Commercial Bank Risk Management Risk Management 10.3 insurance companies. securities companies risk management 10.4 fund management companies risk management Chapter Summary Key concepts and ideas basic training Chapter 11 financial risk early warning Overview 11.2 financial risk early warning mechanism framework 11.3 the financial regulation of the.
Verlag: Dongbei University of Finance and Economics Press, 2013
ISBN 10: 7565412562 ISBN 13: 9787565412561
Sprache: Chinesisch
Anbieter: liu xing, Nanjing, JS, China
paperback. Zustand: New. Ship out in 2 business day, And Fast shipping, Free Tracking number will be provided after the shipment.Paperback. Pub Date :2013-08-01 Pages: 363 Language: Chinese Publisher: Northeastern University of Finance and Economics Press Commercial Bank Management ( 2nd Edition ) application-oriented 21st century financial planning textbook series reflects two prominent characteristics: first one . all-encompassing . expanding expertise. Teaching materials . including commercial banks basic management concepts and methods . including traditional and innovative business management services . including .Four Satisfaction guaranteed,or money back.
ISBN 10: 7565423831 ISBN 13: 9787565423833
Anbieter: liu xing, Nanjing, JS, China
paperback. Zustand: New. Paperback. Pub Date: 2016-08-01 Pages: $number Language: Chinese publisher: Northeastern University of Finance and Economics press bank Accounting exercises and Practice (5th Edition) Of the preparation reflects the following characteristics: (1) Close integration of textbooks. It points out the aim and requirement of each chapter. and explains the emphases and difficulties of learning. so that students have a clear grasp of learning.
ISBN 10: 756541977X ISBN 13: 9787565419775
Anbieter: liu xing, Nanjing, JS, China
paperback. Zustand: New. Paperback. Pub Date: 2015-07-01 Pages: 303 Language: Chinese Publisher: Dongbei University of Finance and Economics Press. Financial Risk Management (3rd Edition) to Basel III of the core content of China Banking Regulatory Commission promulgated risk management rules and regulations. commercial bank's capital management approach (trial) the main content of the various regulatory agencies and enacted on the basis of the financial industry norms as a fulcrum. and strive to international practi.
ISBN 10: 7565432873 ISBN 13: 9787565432873
Anbieter: liu xing, Nanjing, JS, China
paperback. Zustand: New. Paperback. Pub Date: 2018-08-01 Pages: 306 Language: Chinese Publisher: Dongbei University of Finance and Economics Press Financial Risk Management (4th Edition)/21st Century Applied Undergraduate Finance Series Planning Textbook based on 3rd Edition Basel The core content of the Agreement is based on the main content and various risk management rules and regulations of the Commercial Bank Capital Management Measures (Trial) promulgated by the China Banking Regulatory Commission. with financi.
Verlag: Northeast financial big Pub. Date :2011-01-01 version 1, 2000
ISBN 10: 7565402494 ISBN 13: 9787565402494
Sprache: Chinesisch
Anbieter: liu xing, Nanjing, JS, China
paperback. Zustand: New. Language:Chinese.Pages Number: 364 Publisher: Northeast financial big Pub. Date :2011-01-01 version 1. Contents: Chapter 1 Introduction 1.1 The nature of the commercial banks. commercial banks and development 1.2 1.3 functions and status of commercial banking and business objectives 1.4 Commercial banks operating environment and development trend of key concepts and ideas in this chapter summary of the basic training Chapter 2 commercial bank's capital management meaning and composition of ca.