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金融衍生产品市场风险衡量方法研究
Methods to measure the market risk of financial derivative products
【摘要】 对金融衍生产品市场风险的衡量方法研究认为,比率法和描述法各有其优缺点,但比率法计算较为简单
【Abstract】 A study was carried out on the methods to measure the market risk of financial derivative products. The author thinks that ratio method and description method both have it advantages and disadvantages while ratio method has the advantage of simple caculation.
- 【文献出处】 河南农业大学学报 ,JOURNAL OF HENAN AGRICULTURAL UNIVERSITY , 编辑部邮箱 ,1999年S1期
- 【分类号】F831.5
- 【被引频次】3
- 【下载频次】135