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aimr成員候選人應(yīng)具備的知識(shí)結(jié)構(gòu)(參考版)

2025-06-22 08:10本頁(yè)面
  

【正文】 其他的問(wèn)題組合(如交易不活躍)(Other problematic portfolios (., inactively traded)) 252。歸因比較選項(xiàng)(Attribution parison options) 252。配置效應(yīng)的衡量(Measurement of allocation effect) 252。投資組合管理決策的影響確認(rèn)(Identification of impact of portfolio management decisions) 252。風(fēng)險(xiǎn)調(diào)整(Risk adjustment) 252?;締?wèn)題(Fundamental issues) 252。戰(zhàn)略種類(lèi)(Types of strategies) 252。套期保值會(huì)計(jì)標(biāo)準(zhǔn)(Criteria for hedge accounting) 252。套期保值的結(jié)果(Results of hedge) 252。基本原理(Fundamentals) 252。所有權(quán)類(lèi)型吸引力指數(shù)(Propertytype attractiveness indexes) 252。位置定義的其他方法(Alternative approaches to definition of location) 252。使用衍生產(chǎn)品的套期保值戰(zhàn)略(Hedging strategies using derivatives) l不動(dòng)產(chǎn)投資組合管理(Real estate portfolio management) 252。消極管理(Passive management) 252。衍生戰(zhàn)略(Derivative strategies) l權(quán)益投資組合管理(Equity portfolio management strategies) 252。消極管理(Passive management) 252。實(shí)施方面的問(wèn)題(Implementation issues) l固定收益投資組合戰(zhàn)略(Fixedine portfolio management strategies) 252。多樣化方面的問(wèn)題(Diversification issues) 252。多管理人員環(huán)境方面的問(wèn)題(Issues in multiplemanager environments) l一般的投資組合構(gòu)建與調(diào)整(General portfolio construction and revision) 252。資產(chǎn)混合的決定因素(Determination of asset mix) 252。折現(xiàn)過(guò)程的要素(Elements of discounting process) l資產(chǎn)配置(Asset allocation) 252。預(yù)期的發(fā)展(Development of expectations) 252。保險(xiǎn)公司和商業(yè)銀行(Insurance panies and mercial banks) l資本市場(chǎng)預(yù)期(Capital market expectations) 252。退休金和雇員福利基金(Pensions and employee benefit funds) 252。目標(biāo)(Objectives) 252。約束條件(Constraints) 252。人口統(tǒng)計(jì)學(xué)(Demographics) 252。遠(yuǎn)期合約(Forward contracts) 252?,F(xiàn)金市場(chǎng)(Cash market) 252。開(kāi)放式投資公司的特征(Characteristics of openend investment panies) l貨幣和外匯投資分析(Analysis of currency or foreign exchange investments) 252。基本的組織特征(Basic organization characteristics) 252。不動(dòng)產(chǎn)評(píng)估概念(Real estate appraisal concepts) 252。商業(yè)/多戶家庭使用的不動(dòng)產(chǎn)的投資形式(Forms of mercial/multifamily real estate investment) 252。與看漲期權(quán)的對(duì)比(Comparison with call option) 252。股指期權(quán)(Stock index options) 252。風(fēng)險(xiǎn)投資分析(Analysis of venture capital investments) l股票期權(quán)分析(Analysis of equity options) 252。困境和破產(chǎn)公司的分析(Analysis of distressed and bankrupt panies) 252。與基本分析的比較(Comparison with fundamental analysis) 252。公司分析(Company analysis) l技術(shù)分析(Technical analysis) 252。國(guó)家分析(Country analysis) 252。P 500指數(shù),財(cái)經(jīng)時(shí)報(bào)100指數(shù))(Analysis of stock market series (Samp。有效市場(chǎng)假說(shuō)的含義(Implications of efficient market hypothesis) 252。風(fēng)險(xiǎn)分析(Risk analysis) (Analysis of Equity Investments) l基本分析(Fundamental analysis) 252。波動(dòng)率方法(Valuation methodology) l國(guó)際債券分析中的問(wèn)題(Issues in analysis of international bonds) 252。一般互換的特征(Characteristics of generic swap) 252。術(shù)語(yǔ)(Terminology) 252。利率的頂、底和相關(guān)衍生產(chǎn)品(Interest rate caps, floors, and associated derivatives) 252。利率期權(quán)(Interest rate options) l客戶化的利率協(xié)議(Custom interest rate agreements) 252。困境證券分析(Analysis of distressed securities) l固定收益衍生證券分析(Analysis of fixedine derivatives) 252。高收益證券分析(Analysis of highyield securities) 252。債券契約(Bond covenants) 252。行業(yè)分析(Industry analysis) 252。信用分析(Credit analysis) 252。估價(jià)方法(Valuation methodologies) l資產(chǎn)支撐證券的分析(Analysis of assetbacked securities) 252。風(fēng)險(xiǎn)分析(Risk analysis) 252。估價(jià)方面的問(wèn)題(Evaluation issues) 252。擔(dān)保的種類(lèi)(Types of mortgages) 252。風(fēng)險(xiǎn)(Risks) 252。投資的特征(Investment characteristics) 252。期權(quán)調(diào)整收益價(jià)差方法(Optionadjusted yieldspread methodology) l可轉(zhuǎn)換債券分析(Analysis of convertible or exchangeable debt) 252?;蛴幸髾?quán)分析(Contingent claims analysis) 252。凸性(Convexity) l內(nèi)含期權(quán)債券的分析(如可贖回債券)(Analysis of bonds with embedded options (., callable bonds)) 252。價(jià)格波動(dòng)性(Price volatility) 252。基本的價(jià)格收益關(guān)系(Basic price–yield relationship) 252。債券相當(dāng)收益(Bondequivalent yield) 252。承諾的與期望的收益(Promised vs. expected yield) 252。贖回收益(Yield to call) 252?,F(xiàn)期收益(Current yield) 252。事件風(fēng)險(xiǎn)(Event risk) 252。通貨膨脹或購(gòu)買(mǎi)力風(fēng)險(xiǎn)(Inflation or purchasing power risk) 252。匯率風(fēng)險(xiǎn)(Exchangerate risk) 252。到期風(fēng)險(xiǎn)(收益曲線風(fēng)險(xiǎn))(Maturity risk (yieldcurve risk)) 252。贖回風(fēng)險(xiǎn)(Call risk) 252。利率風(fēng)險(xiǎn)(Interest rate risk) 252。價(jià)差的種類(lèi)(Types of spreads) 252。期限結(jié)構(gòu)模型(Termstructure models) 252。理論(Theories) 252。期權(quán)(Options) (Analysis of FixedIne Investments) l期限結(jié)構(gòu)分析(Termstructure analysis) 252。普通股(Common stock) 252。債券(如利息和本金償還的現(xiàn)值)(Bond (., present value of future interest and principal payments)) 252。期望收益率(Required rate of return) 252。國(guó)際套利定價(jià)模型(International APT) l定價(jià)模型所需的輸入變量(Required input variables for valuation models) 252。國(guó)際資本資產(chǎn)定價(jià)模型(International CAPM) 252。投資者行為的基本假設(shè)(Basic assumptions of investor behavior) l資產(chǎn)定價(jià)的理論和模型(Asset pricing theori
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