管理風險 的英文怎麼說
中文拼音 [guǎnlǐfēngxiǎn]
管理風險
英文
management risk- 管 : Ⅰ名詞1 (管子) pipe; tube 2 (吹奏的樂器) wind musical instrument 3 (形狀似管的電器件) valve;...
- 理 : Ⅰ名詞1 (物質組織的條紋) texture; grain (in wood skin etc ) 2 (道理;事理) reason; logic; tru...
- 風 : Ⅰ名詞1 (空氣流動) wind 2 (風氣; 風俗) practice; atmosphere; custom 3 (景象) scene; view 4 ...
- 險 : 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...
- 管理 : manage; run; administer; supervise; rule; administration; management; regulation
- 風險 : risk; hazard; danger
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The ship - against - bridges problems involve many fields such as bridgework, naval architecture, collision mechanics, ship driving and collision prevention, safety management, risk assessment, economics and environment protection. it is a typical subject in the intersect field
船撞橋問題涉及到橋梁工程、船舶工程、碰撞力學、船舶駕駛與避碰、安全管理、風險分析、經濟、環保等多個領域,是典型的交叉學科。First, the catastrophe risk meaning is : causes the different risk unit the loss to have the relevance and causes the insurance system failure
其實,如果我國保險業抓住機會,巨災保險不僅可以協助社會管理風險、減少損失,而且還可能成為保險業未來新的增長點。Secondly, aiming at the shortage of the present study on this problem, this thesis try to make some creative breaks : explain the connotative definition of intermediate business in systematically to benefit this kind of problem to further study ; study the problems of risk aversion and prevention with it ' s development ; evaluate the market risk, the credit risk, investment risk etc. ; try to establish a valid system to evaluate the risk of intermediate business. the main method we used in this thesis to evaluate the risk of intermediate business is var ( value in risk ). at last, study to take some measures which will match the real state of our country to prevent the risk of intermediate business, which will do some good to intermediate business in china " s commercial bank
其次,針對已有研究中的不足和此類問題的研究現狀,本論文力求創新與突破的是:比較系統地對商業銀行中間業務進行界定和研究其發展策略,有利於對此類問題的進一步深化和擴展;從商業銀行中間業務不斷發展的角度來研究風險規避和防範等問題,評估中間業務面臨的市場風險、信用風險、投資風險和管理風險等一系列風險,嘗試建立有效防範中間業務風險的評估體系,本文主要運用var法來評估中間業務的市場風險;探討符合我國國情的商業銀行中間業務風險防範措施,以期對我國商業銀行中間業務的發展有所裨益。The dissertation focuses on the theory & mechanism research on life insurers ’ integrated risk management ( irm ). based on the realistic contexts and theoretical foundations of irm, the paper tentatively establishes the theoretical frameworks of value - based irm and sets up an irm model & its extended model with a step - by - step risk integration system including capital risk integration, asset - liability risk integration, strategic & business risk integration, risk management & risk management culture integration. the paper is organized in preface ( contexts analysis ), irm theoretical framework & irm model establishment ( chapter 1 - 3 ), and the model ’ s practical execution ( chapter 4 - 7 )
論文基於壽險公司整合性風險管理構架進行理論與運行研究,以公司整合性風險管理產生的背景(導論)為起點,以經濟金融理論、財務理論、風險社會與風險文化理論為理論基礎(第一章) ,建立了基於價值創造的公司整合性風險管理理論體系(第二章) ,建構壽險公司整合性風險管理模型(第三章) ,並對所建模型進行擴展運用,形成了資本風險的整合管理、資產負債風險的整合管理、戰略風險與經營風險的整合管理、風險管理與風險管理文化的整合管理(第四章至第七章)的遞階式風險整合管理體系。In our country, the broad existence about the phenomena of enterprise ' s cooking phony accounting books has hazarded the faith towards the accounting data, resulted in hemorrhaging largely from state - owned assets, periled politics, economy and administration, caused the social and economic chaos as well
我國企業的會計信息失真現象大量存在,它動搖了人們對會計信息的信任,影響了政府的經濟決策,導致大量國有資產的流失,引發了政治,經濟和管理風險,造成社會經濟生活的紊亂。Extensive guide of economics - related information on the web. sponsored by the american economics association and edited by bill goffe
-為企業提供顧問服務,知識管理,風險管理以及商務與經濟調研During the whole growth period, especia1ly the tum of beginning boce undertaking, the private enterprise is facing the essential prob1ems of adininistrate danger and administrate control, and, it becomes the most focused research topic on how to better the administrate job
民營企業在整個成長過程中,尤其是二次創業之時,面臨不可迴避的管理風險和管理控制問題。如何改善經營管理工作成為企業最為關注的研究課題。All - round system advisory services for bank clients to enhance their effectiveness and efficiency in operations
市場推廣、營運、財務管理、風險管理等范疇上獨當一面。Through the systematical analyses measure, which combine classical model of project management and latest modern theory, the thesis integrative analyses the every factor which belong to scope management s time management 、 cost management 、 quality management 、 risk management 、 human resource management 、 procurement managements communication management and integration management of hunan international convention and exhibition center. especially research the effective and practical measure, which include time management of wbs s systematic model measure of risk management s earned value of investment control etc. it has continuous improved and developed the practice of project management, has realized the transform procedure from theory study to practical application. at the same time, the thesis discuss the development thinking of convention and exhibition economy, discuss the future study direction of project management science in our country, summarizes and evaluates the achievement which result from exce llent project management
論文採用項目管理經典模式與最新前沿理論相結合的系統分析方法,對湖南國際會展中心項目的范圍管理、時間管理、成本管理、質量管理、風險管理、采購管理、人力資源管理、溝通管理和集成管理中諸要素進行了優化分析,重點研究了基於wbs進度管理、系統模型法風險管理、掙值法投資控制等行之有效的、符合項目實際的項目管理技術方法,並在項目管理實踐中不斷完善和發展,實現了從理論研究到實踐應用的轉化過程。This paper presents a study and analysis of project management organization ' s set up, progress control, quality control, safety control, capital control, bidding management and construction spot management, risk management etc. and on the basis of the study and analysis, a set of strategic plan about project management appropriate for beijing huamao center is worked out
本文從投資方工程項目管理的角度對北京華貿中心工程項目建設管理模式、組織機構的設立、工程工期控制、質量控制、安全控制、投資控制、工程招投標管理、合同管理、信息管理、施工現場管理、竣工驗收及項目后評價管理、風險管理等方面作了較深入的研究、分析,制定出一整套適合本工程項目特點及市場定位的工程項目的建設管理策劃方案。Project management combines nine fields of knowledge including : scope management, time management, cost management, quality management, risks management, personnel management, procurement management, communication management and integrity management
項目管理包含九大知識領域,這九大知識領域包括:項目范圍管理、時間管理、費用管理、質量管理、風險管理、人員管理、采購管理、溝通管理和項目整體管理問題。Because that the asset management business is a novelty, there are many questions as following : regulation deficiency, supervision chaos, competition disorder, etc. especially in china, unsymmetric information, credit deficiency still exist. much problem such as illegal private banking, private placement fund, phenomena of fund management irregularity, immense risks in securities companies " asset management business has become much more seriously. therefore strengthening the study of this novelty to reach standardization and development has become an urgent task to the banking industry
也正因為它是一種新生事物,國內資產管理業中存在著缺乏規范、監管混亂、競爭無序等問題,尤其在中國現行的信息不對稱、缺乏誠信的市場環境條件下,則更顯突出, 「違規代客理財」 、 「私募基金」 、 「基金黑幕現象」 、 「券商資產管理風險問題突出」等問題層出不窮,加強對它的理論探討與對策研究,從而促進其規范發展已經成為我國證券界的一個迫切任務。Leadership is about taking the risk of managing meaning
領袖就要承擔管理風險。The management risk research of traveling scenic areas in chongqing
重慶旅遊景區管理風險研究Understanding and managing risk attitude
理解和管理風險的態度Managing risk for corporate governance
法人管理方法的管理風險Anticipates impact of decisions and plans how to manage risk
能夠預見決策的影響,並就如何管理風險做出規劃。The countermeasures against credit management risks of agricultural development bank
農發行信貸管理風險的對策Trade with an edge, manage risk, be consistent, and keep it simple
高勝算交易,管理風險,堅持一致,保持簡單。Reviewing process adopted by management to identify and manage hkma s risks
檢討金管局管理層用以確認和管理風險的程序分享友人