Apt risk model and portfolio analytics solutions Apt风险模型和投资组合分析解决方案
Apt risk model and portfolio analytics solutions - for asset managers Apt风险模型和投资组合分析解决方案资产管理
Scalable portfolio analytics solutions supported by multi - asset risk models - for enterprise risk 多资产风险模型支持的可伸缩性投资组合分析解决方案企业风险
Familiarity with the most recent developments in asset and liability management , portfolio analysis , risk appraisal and financial analysis are essential requirements for all those who wish to gain a deeper understanding of financial sector activities 熟悉资产与负债管理、投资组合分析、风险评估及金融分析方面最新发展对希望加深了解金融领域活动的个人来说是至关重要的。
In virtue of famous strategic management theory such as the five - force model of competition , boston matrix , corporation life circle matrix , swot analysis , investment combination , the paper make clear the challenge and chance that the taihua group meet 借助战略管理中著名的行业竞争力五因素分析、波士顿矩阵、企业生命周期矩阵分析、 swot分析进行行业分析、企业投资组合分析与企业内外环境透析,明确泰华集团面临的机遇与挑战。