acquiring company
收购公司
bad loan 呆帐
chart of cash flow 现金流量表
clearly-established ownership 产权清晰
debt to equity 债转股
diversity of equities 股权多元化
economy of scale 规模经济
emerging economies 新兴经济
exchange-rate regime 汇率机制
fund and financing 筹资融资
global financial architecture 全球金融体系
global integration, globality 全球一体化,全球化
go public 上市
growth spurt (经济的)急剧增长
have one's "two commas" 百万富翁
hedge against 套期保值
housing mortgage 住房按揭
holdings 控股,所持股份
holding company 控股公司
initial offerings 原始股
initial public offerings 首次公募
innovative business 创新企业
intellectual capital 智力资本
inter-bank lending 拆借
internet customer 网上客户
investment payoff period 投资回收期
joint-stock 参股
mall rat 爱逛商店的年轻人
means of production 生产要素
(the)medical cost social pool for major diseases
大病医疗费用社会统筹
mergers and acquisitions 并购
mobile-phone banking 移动电话银行业
moods 人气
net potato 网虫
non-store seling 直销
offering 新股
online-banking 网上银行业
online-finance 在线金融
online client (银行的)网上客户
paper profit 帐面收益
physical assets 有形资产
project fund system 项目资本金制度
pyramid sale 传销
recapitalize 资产重组
regional corrency blocks 地区货币集团
regulate 调控
sell off 变现
share(stock) option 期权,股票认购权
smart card 智能卡
slash prices 杀价
spare capacity 闲置的生产能力
strong growth 强劲的增长势头
switch trade 转手贸易
take…public 上市
tap the idle assets 盘活存量资产
transaction (银行的) 交易
transfer payment from the exchequer 财政转移支付
venture-capital 风险资本
virtual bank 虚拟银行
wire transfer 电子转帐
1.Statistics统计
Logarithms and exponents 对数和指数
Probability distributions 概率分布
Time value of money 货币的时间价值
Mean, standard deviation, correlation, skewness
&kurtosis
均值、标准差、相关性、斜度与峰度
Estimating parameters of distributions 参数分布估计
Hypothesis testing 假设检验
Linear regression and correlation 线性回归与相关
Statistical properties and forecasting of correlation,covariance
and volatility
统计特性、相关、协方差与波动率预测
Extreme value theory; basic principles
极限值理论、基本原理
Monte Carlo analysis 蒙特卡罗分析
2. Market Risk
Measurement And Management 市场风险衡量与管理Interest
rates andbond pricing 利率与债券定价
Interest rates, foreign exchange, equity and commodityrisks
利率、外汇、股权与商品风险
Valuation and risk analysis of:Futures、 forwards、 swaps and
options
期货、远期、互换和期权的评估与风险分析
Derivatives on fixed income securities, interest rates,foreign
exchange, equities and commodities
固定收益证券、利率、外汇、股票、
商品衍生产品
Emerging market risks 新兴市场风险
Identifying and measuring risk exposures
风险识别与衡量
Value-at-risk 风险值
Asset management risk 资产管理风险
Stress testing 压力测试
Liquidity risk 流动性风险
Measuring and managing corporate
exposures公司风险衡量与管理
3. Credit Risk Measurement And Management 信用风险衡量与管理
Credit ratings 信用级别
Default probability 违约概率
Credit Spreads 信用差价
Actuarial approach and Credit Risk
精算方法与信用风险
Contingent claim approach and the KMV Model
条件求偿权与KMV模型
Credit migration, transition matrices and Credit Metrics
TM信用转移,交易矩阵和信用测量
Counterparty risks 交易对方风险
Credit derivatives 信用衍生产品
Portfolio credit risk 投资组合信用风险
Settlement Risk 清算风险
Special purpose vehicles特殊目的载体
4.
Legal, Accounting And Ethics
法律、会计与伦理
Accounting for
derivatives衍生工具的会计处理
Analyzing special purpose vehicles and securitization
特殊目的载体和证券化的分析
Reporting requirements for derivatives
衍生工具的报告要求
Bankruptcy破产
Basel II巴赛尔II
Internal models approach for market
risk市场风险的内部模型方法
Group of Thirty Report第三方报告
Legal risk法律风险
Regulation of financial institutions金融机构监管
Sarbanes-Oxley萨班斯-奥克斯利法


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