经济新常态下银行信贷风险管理研究——以某分行营业部为例-research on bank credit risk management in the new normal economy - taking the business department of a branch as an example.docxVIP

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经济新常态下银行信贷风险管理研究——以某分行营业部为例-research on bank credit risk management in the new normal economy - taking the business department of a branch as an example.docx

经济新常态下银行信贷风险管理研究——以某分行营业部为例-research on bank credit risk management in the new normal economy - taking the business department of a branch as an example

目录摘要....................................................................................................................................................IAbstract.............................................................................................................................................II1引言.................................................................................................................................................11.1选题背景.............................................................................................................................11.2研究意义.............................................................................................................................21.3文献回顾.............................................................................................................................31.3.1国外相关研究现状.................................................................................................31.3.2国内研究现状..........................................................................................................41.3.3国内外研究现状综述.............................................................................................41.4研究方法.............................................................................................................................51.5本文结构.............................................................................................................................52商业银行信贷风险管理理论回顾................................................................................................62.1资产管理理论.....................................................................................................................62.2负债管理理论.....................................................................................................................72.3资产负债综合管理理论....................................................................................................72.4全面风险管理理论......................................................

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