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我国金融业市场风险的表现及管理
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作者 王琛 《市场周刊·理论版》 2019年第29期118-119,共2页
随着世界经济的发展,金融业风险的情况发生了变动,市场风险占据了主导地位,取代了以前的信用风险。目前市场风险也是我国金融风险主要面临的问题。本文对我国金融业市场风险的主要表现形式进行了分析,探讨了国际上市场风险的主流管理技... 随着世界经济的发展,金融业风险的情况发生了变动,市场风险占据了主导地位,取代了以前的信用风险。目前市场风险也是我国金融风险主要面临的问题。本文对我国金融业市场风险的主要表现形式进行了分析,探讨了国际上市场风险的主流管理技术,希望能够为我国金融业的发展作出一定的贡献。 展开更多
关键词 金融业市场风险 表现形式 管理方法
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Banks' Earnings, Risks and Returns in China
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作者 Cheng Fan Fah Annuar Nasir 《Chinese Business Review》 2011年第1期21-28,共8页
This study aims to find the effect of financial risks, price risks and market risks on the Earning Response Coefficients (ERC) for China Commercial Banks. The research methodologies use the traditional cumulative ab... This study aims to find the effect of financial risks, price risks and market risks on the Earning Response Coefficients (ERC) for China Commercial Banks. The research methodologies use the traditional cumulative abnormal returns and the unexpected earning as the main dependent and independent variables. The evidences show that: (1) There is a strong returns-to-earnings relation for banks; (2) The liquidity risk has information content beyond earnings changes in the returns-to-earnings relation. This probably due to the reason that managers of banks find the level of liquidity that fulfilled the need of investors and at the same time earns good profits for the banks. 展开更多
关键词 earnings response coefficients LIQUIDITY CREDIT INTEREST solvency risk
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