| 1. | Difficulties in modern financial risk management 现代金融风险管理中若干难点问题 |
| 2. | Var model and its application for managing financial risk 模型及其在金融风险管理中的应用 |
| 3. | Some difficult problems in modern financial risk management 现代金融风险管理中的几个难点 |
| 4. | Develop financial project and strengthen financial risk regulation in enterprises 加强企业金融风险管理 |
| 5. | Application of the var method in financial risk management of china 模型在我国金融风险管理中的运用研究 |
| 6. | Financial risk management has never been paid so much attention before 金融风险管理问题从未像今天这样受到广泛的关注。 |
| 7. | It is highly integrated with financial risk management , financial control and strategy management highly 它是企业金融风险管理、财务管理以及战略业务管理的高度整合。 |
| 8. | Since the 1970s , the prominent phenomenon in the field of financial risk management is that financial derivatives deals are used widely 20世纪70年代以来,金融风险管理领域一个突出的现象就是金融衍生产品的广泛使用。 |
| 9. | Value at risk is a tool which be widely used in application to financial risk management and regarded as extreme quantile method 风险价值( var )是金融风险管理中应用最广泛的一种工具,其测量方法可以看作是一种极端分位数的方法。 |