题目内容

多种信用风险组合模型被广泛应用于国际银行业中,其中()直接将转移概率与宏观因素的关系模型化,然后通过不断加入宏观因素冲击来模拟转移概率的变化,得出模型中的一系列参数值。

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我国商业银行信息披露最为薄弱的部分是()。

Bonds that are sold in a foreign country and are denominated in a currency other than that

A. foreign bonds
B. Eurobonds
C. Eurocurrencies
D. Eurodollars

左室舒张期负荷突然明显加重见于E.

Preemptive right is the stockholder's right______.

A. to participate in management by voting on matters that come before the stockholders
B. to receive a proportionate part of any dividend
C. to maintain one's proportionate ownership in the corporation
D. to receive a proportionate share (based on number of shares held ) of any assets remaining after the corporation pays its liabilities in liquidation

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