| 1. | Government investment and loan portfolios 政府的投资及贷款组合 |
| 2. | Asset quality of the mortgage portfolio remained stable . 另一方面,按揭贷款组合的资产质素维持稳定。 |
| 3. | Decision - making model of loan ' s portfolio optimization based on the yield of var 收益率约束的贷款组合优化决策模型 |
| 4. | Decision - making approach to loan portfolio based on monte carlo simulation 基于蒙特卡洛模拟的贷款组合优化决策方法 |
| 5. | A market risk - based model of decision - making of loan portfolio optimization 一种市场风险条件的贷款组合优化决策模型 |
| 6. | Decision - making model for optimization of loan ' s portfolio based on efficient boundary 基于有效边界的贷款组合优化决策模型 |
| 7. | Decision - making of loans portfolio optimization based on principle of maximum risk return 基于综合风险收益的贷款组合优化决策 |
| 8. | None of the mortgage loans in the portfolio are behind payment for more than 60 days see 按揭贷款组合中并无拖欠超过日的贷款见 |
| 9. | Decision - making model of loan portfolio optimization based on comprehensive risk restriction 基于综合风险约束的贷款组合优化决策模型 |
| 10. | A multi - objectives decision - making of loan portfolios of commercial bank based on constraint of var 约束的商业银行贷款组合多目标决策 |