| 作 者: | 沈素萍 |
| 出版社: | 对外经济贸易大学出版社 |
| 丛编项: | |
| 版权说明: | 本书为公共版权或经版权方授权,请支持正版图书 |
| 标 签: | 金融英语 |
| ISBN | 出版时间 | 包装 | 开本 | 页数 | 字数 |
|---|---|---|---|---|---|
| 未知 | 暂无 | 暂无 | 未知 | 0 | 暂无 |
Chapter One
Monetary Policy
货币政策
ChapterTwo
Foreign Exchange Risk and Why It Should Be Managed
外汇风险和进行外汇管理的原因
Chapter Three
Tools and Techniques for the Management of Foreign Exchange Risk
控制外汇交易风险的工具和方法
Chapter Four
U.S.Foreign Exchange Intervention
美国对外汇交易的干预
Chapter Five
Financial Markets and Intermediaries
金融市场和中间业务
Chapter Six
Mutual Fund
共同基金
Chapter Seven
Bonds
债券
Chapter Eight
Options
期权
Chapter Nine
Making Consistent Risk Management Decisions
保持风险管理决策一致性
ChapterTen
Bank for International Settlements
国际清算银行
Chapter Eleven
Commercial Bank Lending
商业银行借贷
Chapter Twelve
Credit Analysis
信贷分析
Chapter Thirteen
What Kind of Mortgage Loan Should You Get?
何种抵押贷款更适合你?
Chapter Fourteen
History ofAccounting
会计的历史起源
Chapter Fifteen
Quick Insights——Financial Reporting&GAAP Rules
财务报告与公认会计准则简析
Chapter Sixteen
History of Insurance
保险的历史起源
Chapter Seventeen
Insurance Policy and Its Lifespan
保险单及其业务周期