資金管理與金融風險管理-英文版(ppt 32頁)
資金管理與金融風險管理-英文版(ppt 32頁)內容簡介
資金管理與金融風險管理-英文版目錄:
I. Rise and Fall of Capital Flows
II. New issues in managing risks
III. Policy options to manage financial risks
資金管理與金融風險管理-英文版內容簡介:
Information asymmetry and market imperfection prevail in financial markets--roles for government Capital flow is volatile in nature and volatility hurts the poor most--rationale for public policy Tight fiscal discipline good, guarantees are bad Sequencing in financial openness key
Correcting incentives, building institutions and enforcing regulations crucial Market-based control on ST flows helps Early detection of problems is possible.
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