银行大额风险暴露的测度及监管框架 The Measuring and Supervision Framework of the Large Risk Exposure of Banks | |
孙健翔[1]; 巴曙松[2]; 朱元倩[3,4] | |
2014 | |
卷号 | 0页码:65-71 |
URL标识 | 查看原文 |
内容类型 | 期刊论文 |
URI标识 | http://www.corc.org.cn/handle/1471x/3021969 |
专题 | 重庆大学 |
推荐引用方式 GB/T 7714 | 孙健翔[1],巴曙松[2],朱元倩[3,4]. 银行大额风险暴露的测度及监管框架 The Measuring and Supervision Framework of the Large Risk Exposure of Banks[J],2014,0:65-71. |
APA | 孙健翔[1],巴曙松[2],&朱元倩[3,4].(2014).银行大额风险暴露的测度及监管框架 The Measuring and Supervision Framework of the Large Risk Exposure of Banks.,0,65-71. |
MLA | 孙健翔[1],et al."银行大额风险暴露的测度及监管框架 The Measuring and Supervision Framework of the Large Risk Exposure of Banks".0(2014):65-71. |
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