Hochschule Mannheim成绩单
衍生品及借款的信用利差敏感性VAR没有考虑交易对手的变化、自己的衍生品信用利差变化,以及h005自己的公允价值选择权无担保借dZZy的信用利差变化三者的影响lGak
它认为,市场风险是由于市XGgY系统性因素的不利波动而使fKlY易及投资头寸的市场价值发j0Gl波动的潜在风险2ys1
❂ 大师测算:
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