Set five scenes of fluctuation of interest rate and four strategies ofadjustmentof assets' structure, and demonstrate their expecting surplus and losing probability.
本文设置了五种利率波动情景和四种资产结构,通过实证来分析这二十种情况的期望盈余和损失概率。
2
It points out a serial property ofsurplus process adjustment coefficient.
余额过程中调节系数的系列性质。
3
By utilizing model of dynamic adjustment, we construct foreign reserve equation to judge whether foreign reserves is adequate or surplus.