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- 约1.53万字
- 约 15页
- 2016-12-10 发布于贵州
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《国际金融风险管理毕业论文》
摘要
文章采用文献分析的方法,从信用风险的概念入手,并且例举了银行信用风险的特点以及成因。在此基础上,展开对对银行信用风险管理方法的讨论。首先简述了信用风险管理理论,再者详细介绍了传统和现代的银行信用风险管理方法,最后做了针对巴塞尔协议与银行信用等级评定的简单讨论。
关键字:银行; 信用风险; 风险管理
AbstractThe article uses the methods of literature review. From the concept of credit risk, I illustrates the characteristics of the bank credit risk and also the causes. Based on these, I unfold the discuss on bank credit risk management method. First, I introduce the credit risk management theory, and furthermore, I introduce the traditional and modern bank credit risk management methods. Finally I make a simple discussion of Basel and ban
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