目標風險 的英文怎麼說

中文拼音 [biāofēngxiǎn]
目標風險 英文
target risk
  • : Ⅰ名詞1 (眼睛) eye 2 (大項中再分的小項) item 3 [生物學] (把同一綱的生物按彼此相似的特徵分為幾...
  • : Ⅰ名詞1 [書面語] (樹梢) treetop; the tip of a tree2 (枝節或表面) symptom; outside appearance; ...
  • : Ⅰ名詞1 (空氣流動) wind 2 (風氣; 風俗) practice; atmosphere; custom 3 (景象) scene; view 4 ...
  • : Ⅰ名詞1 (險惡不容易通過的地方) a place difficult of access; narrow pass; defile 2 (危險) dange...
  • 目標 : 1. (對象) target; objective 2. (目的) goal; aim; destination
  • 風險 : risk; hazard; danger
  1. Algorithm study on models of multiple objective risk decision under principal and subordinate hierarch decision - making

    主從遞階多目標風險決策模型構建及演算法研究
  2. The new ways that solve multiple objectives decision making under risk into probability permanent type : decision making diagram method, matrix analysis method, multiple objectives markov method, the shortest distance method, successive type variation multiple objectives decision making under risk method and fuzzy analysis decision making method. 3. the new modes that solve multiple objectives decision making under risk into probability interval type and uncharted type : weighted method and sorting method 4 the new repent average value criterion that handle multiple objectives decision making under risk into probability uncharted type and generalizing the criterions that have been used into one objective decision making under probability into uncharted type to multiple objectives decision making under probability into uncharted type. 5. giving the error analyses method and decision result regulating method that been used into multiple objectives decision making under risk

    2 、探討了『決策圖法』 、 『矩陣法』 、 『多馬爾科夫法』 、 『最小距離法』 、 『連續型變量的多目標風險型決策法』和『模糊分析決策法』等解決概率固定型的多目標風險型決策的新方法。 3 、探討了『加權法』 、 『排序法』兩種解決概率區間型和未知型的多目標風險型決策的方法; 4 、在概率未知型的多目標風險型決策中改進了『後悔值準則』 ,提出了『後悔均值準則』 ;並將單概率未知型型決策的準則推廣運用到多概率未知型的型決策中去; 5 、探討了多目標風險型決策方法誤差分析及決策結果值調整的方法。
  3. The first step, set a suit of index system for evaluation, taken all the risks through the construction and running process of logistics projects into account, and number the indexes by experts investigation. introduce an example and judge the risk levels by a team of experts, then evaluate the whole risk level of the project by fuzzy mathematics comprehensive judgment and get the result. the second step, analysis the economic risk qualitatively, forecast the profit of the certain logistics project, to find out the economic risk of the project by risk compensation way

    本文根據大型物流項投資大、高、專業性強的特點,將評估應用於物流項,將物流項評估分為兩個層次:第一層次,充分考慮了物流項投資建設及營運過程中的各種因素,建立了一套適用於物流項綜合評價指體系,採取專家調查法對各因素權重賦值,並通過專家評審委員會對某一物流項實例中各因素的程度進行判斷,採用模糊綜合評判法對該項整體的程度進行訐估;第二層次,結合項整體程度訐估的結果,對物流項投資建設的收益狀況進行預測,採用報酬率法對具體的物流項投資方案進行經濟分析,對該項的經濟進行定量分析。
  4. The second section introduces some common methods and evaluation indexes, such as net present value, internal rate of return, payback period, profitability index, etc. the present methods and evaluation indexes are incomplete, which mainly apply to the analysis on the determinate decision. in fact, they are mono - objective and most - favored methods

    第二部分,介紹了投資決策中常使用的幾種指和方法,如凈現值法、內部報酬率法、投資回收期法、現值指數法等,認為這些現行的投資決策評價指很不完善,主要適用於確定型投資決策,並且實質上是單最優決策方法,對多目標風險型投資決策分析很不適用,甚至會導致錯誤的決策。
  5. And then, it especially introduces the theoretical basis of pert predicted method and the technology of monte - carlo simulation, it ascertain the random variables of the model by analysing the uncertainty factors of economic effect index. and it brings forward random npv model in the light of basic npv model. using the theory of expected utility to evaluate the risk of project by the probability distribution of project ' s npv

    通過分析影響項經濟效益指的不確定性因素,確定了模型的隨機變量;根據基本凈現值模型提出了隨機凈現值模型;通過項凈現值的概率分佈運用期望效用理論對項進行評價。
  6. Game theory analysis on risk of re - bidding for project item

    工程項重新招的博弈論分析
  7. These standards, due to which even mistaken decisions are caused, can never meet the need of the analysis on the multiobjective risky decision in investment. as a better choice, this paper puts forward the principles about the analysis on it, including sharp index and lint index, expected utility net, etc. the third section establishes a multiobjective risky decision model

    作為一種改進,本文提出了多目標風險型決策分析的決策規則,包括夏普指數法和林特指數法、期望效用值法等。第三部分,提出了建立多目標風險型投資決策模型。
  8. In general, master trust schemes provide a variety of constituent funds with different investment objectives, risk level and expected returns for you to choose from

    通常集成信託計劃都提供多個有不同投資程度及預期回報的成份基金,供計劃成員選擇。
  9. 6. based on the risk decision - making theory in systemic theory, risk decision - making of water shortage is discussed in three levels, that is, single object risk decision - making, avail expectation value decision - making and multi - object risk decision - making

    ( 6 )利用系統理論中決策的理論與方法,將水資源短缺決策分三個層次,即單目標風險決策、效用期望值決策和多目標風險決策,詳細研究了水資源短缺的決策過程。
  10. This article, regarding m & a as a kind of enterprise ' s investment behavior in property right, systematic analyze and identify of the strategy risk at preparing stage, the information risk at trade stage, and the conformity risk after m & a ; establishes the multi - factors assessing model of m & a risk of enterprise and multi - goals risk deciding model of m & a risk of enterprise based on grey systematic theory, and proposes the related treating view from the angle of analysis and management of investment project risk by adopting basic principles of investment, risk economics, project risk management, strategic management and system engineering

    本文將並購視為一種企業產權投資行為,運用投資學、經濟學、項管理學、戰略管理學和系統工程理論的基本原理,從投資項分析及管理的角度,對企業並購準備階段的戰略、並購交易階段的信息和並購之後的文化整合等三個主要因素進行理論與實證分析;構建企業並購多因素評價模型和基於灰色系統理論的企業並購多目標風險決策模型;提出企業並購的分類防範建議與處理意見。
  11. It is the time that they have to consider multiple decision making objectives, balance each aspect benefit and be confronted with international and inland assorted risks when highest class constitute strategic layout or countermeasure, medial class handle things of economic construction or produce management and lowest class arrange routine work, so which is to say that system and comprehensive concept must be brought hi our decision making, wherefore research into multiple objectives decision making under risk possess full realistic meaning

    在這樣的環境中,無論是高層制定戰略規劃或對策,中層對于經濟建設或生產經營的管理,以及基層具體工作安排等,都不得不權衡各方利益,考慮多種決策,同時,還不得不面臨國際、國內各種各樣的,也就是說必須要有一種系統、全面的觀念來做出決策。因此,多目標風險型決策的研究具有十分現實的意義。
  12. [ 4 ] investment / schedule target risk analysis is a new demand to project managemeimt engineeis. a study of the main content of risk analysis of construction project management is made, and an elementary research on the application of computer simulation to the investment / schedule risk analysis is carried out

    ( 4 )造價/進度目標風險分析是監理規范對監理工程師的新要求,對監理分析的主要內容進行了研究,並就計算機模擬在造價/進度目標風險分析中的應用進行了初步探索。
  13. In a word, this paper puts forward a multiobjective risky decision model in view of the present incomplete decision indexes and methods in investment with the switch from the mono - objective determinate decision to the multiobjective risky one, which leads to more scientific investment decision

    概而言之,本文在評述現行投資決策指和方法不足的基礎上,提出了多目標風險型決策模型,從而把決策分析從單確定型轉向了多目標風險型,使投資決策朝更科學的方向邁進了一步。
  14. This paper throws light on it in three aspects : the first section deals with the introduction of some concepts related to the multiobjective risky decision in investment, such as investment, risk, multiobjective decision, risky decision, etc. also, this section gives us a short survey of some investment characters, such as multiobjective, profit, risk, etc, and points out that much importance should be attached to the study of the multiobjective risky decision in investment

    投資決策分析需要綜合考慮投資多方面的因素,本文分三部分進行闡述:第一部分,介紹了與多目標風險型投資決策相關聯的一些概念,如投資、、多決策、型決策等,說明了投資具有多性、收益性、性等特點,指出了研究投資中多目標風險型決策問題的重要性。
  15. As the investment objectives, risk and return characteristics of this portion of the fiscal reserves are similar to that of the exchange fund, this change in the investment policy for these fiscal reserve placements will not require immediate changes in the strategic investment benchmark for the exchange fund

    由於這部分財政儲備的投資目標風險和回報特性與外匯基金類似,所以即使存入外匯基金的財政儲備的投資政策有改變,也無需即時對外匯基金的策略性基準投資組合作出修改。
  16. In this paper, a series of risk indexes has been put forward and relative risk evaluation model has been built up on the base of analyses of risking characteristics in the new - high technology project

    本文在分析高新技術項特點的基礎上,結合中國的實際,提出了一套適合我國國情的高新技術投資項評估指並建立了相應的評估模型。
  17. In the fund - collecting aspect, following the particularity of it and the problems during the developing process, the author appoints the potential function that the popular capital will be introduced to vc. in view of high risk of vc, the author specially presents two methods of evaluation of investment item. following the advanced experience of foreign countries, the author recommends four withdrawing methods, such as initial pubic offering ( ipo ), sell, mergers & acquisitions ( m & a ) and clear account of bankruptcy

    在融資方面,從融資的特殊性著手,結合我國當前融資存在的問題及對策,重點指出將民間資本引入投資的潛在作用;由於投資存在高,項評價部分對投資項和收益進行評價分析,然後論述了投資項的幾種評價指評價;結合國外投資退出經驗,文章提出ipo 、出售、並購和破產清算等四種投資退出方式,並分析其在我國的適用性,指出並購是我國前最合適的退出路徑。
  18. Group decision - making for risk avoidance in software project bidding based on vprs

    的軟體項規避群決策研究
  19. First, the conception, characteristic and classification of risk are summed up, the risk of engineering investment project and the theory of risk analysis are introduced and the function of risk evaluation is pointed out ; secondly, risk factors are analyzed particularly from the perspective of the system and the source of risk, the direct action body of risk, the influence of goal which made by the risk and the process of project management separately ; thirdly, after the risk identification, the investor must make evaluation whether the investment is successful or not and take measures to avoid the risks according to it

    本文首先對的概念、特徵以及分類進行歸納總結,並介紹工程投資項以及分析的理論,指出評價在工程項投資中的作用;然後分別從系統角度和來源、直接行為主體、的影響、項管理的過程多個角度對工程投資項因素進行具體分析;在對工程投資項因素進行辨識之後,投資者面臨某一投資項,要對投資成功與否做出評價,並以此為依據對採取規避措施。
  20. In general, a master trust scheme will provide various constituent funds with different investment objectives, risk levels and expected returns for selection. you can select the constituent funds in which your contributions will be invested according to your personal situation and your risk tolerance level. your investment choice can be changed based on your needs

    此外,一般集成信託計劃會為雇員提供多項不同投資程度及預期回報的成份基金,雇員可因應個人的情況及可接受程度決定投資組合,這個組合亦可因應你的需要而改變。
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