(International Convergence of Capital Measurement and Capital Standard)”를 발표
ㅇ BIS는 은행경영의 가장 중요한 리스크가 신용리스크(credit risk)라고 규정하고 기타 리스크(other risks)로서 투자리스크(investment risk), 이자율리스크(interest rate risk), 환리스크(exchang rate risk), 자산집중리스크(concentration risk) 등을 열거함
company launch the many new model catching customer's eyes.
There are many imitation.
Product descriptions
Levi 's trousers have two classification standard is like this: " model " and "series”
Model:
501 : Mid-waistline and Straight canister pants
502: Classics Straight canister pants
503: Hight-waistlineandStraightcanistertrousers
505: Original Straight canister
standard deviation of about 7.2147%.
The rates that we found from the St. Louis Federal Reserve web site were stated in APR, so we had to divide it by 4 to get the monthly returns. The 2nd column represents the monthly reuturns for the 3-month Treasury bill secondary market for the last 60 months.
By using the average function from the spreadsheet, the average monthly returns for the 3
attract huge quantity of holidaymakers from all over the world, cultures and vocational standards.
This activity, driven by tourists needs of better quality has made the companies involved in the spheres of hospitality industry to reconsider their aims and to pay increased emphasis to the improvement of marketing strategies for the rendering of services. If they are to attract these .........
standardize the # articles about movies in films 2.0)
⑤ X4(season) : the period when releasing the movies
(the movies released in 7,8, 12, 1, 2 month=1 otherwise=0 )
⑥ X5(score) : the average of the grades of in the MOVIEST
- As you see above, we choose three quantity variables (screen, new-s, score) and two categorical variables (release, season) as explaining variable