精品资料网 >> 行业分类 >> 金融保险 >> 资料信息

在21世纪度量金融风险(英文版)(pdf 10页)

所属分类:金融保险

文件大小:145 KB

下载要求:10 学币或VIP

点击下载
资料简介:

      The Russian-inspired correction has brought a brutal reminder to financial
institutions that global finance is all about risk taking, and risk management remains not a science but an art. Over the past decade or so, the markets have seen one debacle after another, each of which has brought its lessons-from some of which
the markets have learned and from many of which the markets still need to learn.
      The 1987 crash taught markets the dangers of automated trading models and the second and third-order effects of a credit crisis (that is, repo market). In 1990, Wall Street learned the horrors of holding huge illiquid investments when the meltdown in the junk market left billions of dollars of hung bridge loans. In 1994’s spectacular bond market collapse, financial executives saw for the first time how correlated global markets had become as the fallout from Federal Reserve
Board rate hikes swept from the U.S. through Europe, before devastating Mexico and other emerging markets. In late 1998 and 1999, everyone went back to school.
..............................

上一篇:谋银行与我国金融部门的合作伙伴关系(pdf

下一篇:经济延续扩张势头核心CPI持续反弹(pdf 13

银行工业企业信贷知识培训讲座(ppt 57页)

厦门市个人住房公积金贷款制度(doc 7页)

中国银行业的监督管理(ppt 34页)

增强金融公共关系提升银行竟争能力(ppt 47页)

自动化理财金融投资模板(PPT 36页)

汇率决定理论(ppt 26页)

精品资料网 m.cnshu.cn

Copyright © 2004- 粤ICP备10098620号-1