单选题:在损失分布法下,银行可自主划定自己的业务产品线/事件类型组合,同时它通过计算VaR直接衡量( )。 题目分类:风险管理 题目类型:单选题 查看权限:VIP 题目内容: 在损失分布法下,银行可自主划定自己的业务产品线/事件类型组合,同时它通过计算VaR直接衡量( )。 A.预期损失 B.非预期损失 C.损失程度 D.损失频率 参考答案: 答案解析:
After one of the workshops, account executive Dale realized After one of the workshops, account executive Dale realized that.A.he had hired 分类:风险管理 题型:单选题 查看答案
下列关于风险监管的说法不正确的是( )。 下列关于风险监管的说法不正确的是( )。A.监管部门所关注的风险状况包括行业整体风险状况、区域风险状况和银行机构风险状况 B.银行监管部门通过现场检查和非现场 分类:风险管理 题型:单选题 查看答案
Which of the following is NOT a landmark?( ) Which of the following is NOT a landmark?( )A.A long river B.Ahigh Mountain C.A 分类:风险管理 题型:单选题 查看答案
How many passengers was MV Mitali designed to carry?( ) How many passengers was MV Mitali designed to carry?( )A.440 B.100 C.400 D.300 分类:风险管理 题型:单选题 查看答案