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渠道二
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26年课程文件
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26年FRM二级长线班
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2.基础班
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4.Liquidity and Treasury Risk Measurement and Management
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1.Liquidity Risk 447.sz
10.Liquidity Risk Reporting and Stress Testing 163.sz
11.Contingency Funding Planning 239.sz
12.Managing and Pricing Deposit Services 266.sz
13.Managing Nondepoist Liabilities 181.sz
14.Reprchase Agreements and Financing 686.sz
15.Liquidity Transfer Pricing A Guide to Better Practice 161.sz
16.The US Dollar Shortage in Global Banking and the International Policy Response 926.sz
17.Covered Interest Parity Lost Understanding the Cross-Currency Basis 421.sz
18.Risk Management for Changing Interest Rates Asset-Liability Management and Dura 368.sz
19.Illiquid Assets 764.sz
2.Liquidity and Leverage 663.sz
3.Early Warning Indicators 207.sz
4.The Investment Function in Financial-Services Management 512.sz
5.Liquidity and Reserves Management Strategies and Policies 527.sz
6.lntraday Liquidity Risk Management 432.sz
7.Monitoring Liquidity 928.sz
8.The Failure Mechanics of Dealer Banks 244.sz
9.Liquidity Stress Testing 137.sz
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