系統風險 的英文怎麼說

中文拼音 [tǒngfēngxiǎn]
系統風險 英文
system risk
  • : 系動詞(打結; 扣) tie; fasten; do up; button up
  • : Ⅰ名詞1 (事物間連續的關系) interconnected system 2 (衣服等的筒狀部分) any tube shaped part of ...
  • : 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...
  • 系統 : 1. (按一定關系組成的同類事物) system 2. (有條理的;有系統的) systematic
  • 風險 : risk; hazard; danger
  1. Henriksson and merton ( 1981 ) regard the timing ability as a free put option. goetzmann, ingersoll and ivkovic ( 2000 ) try to catch the accumulated value of a sequence of such options. we conclude that gii model may pay a more applicable role in the timing study from the theoretical point of view

    在對模型的構造進行深入的研究后,我們發現, tm模型假設時機選擇使組合的系統風險呈非線性特徵, hm模型將時機選擇視為一免費的看跌期權, g模型進一步捕捉看跌期權在整個評價期間內的價值。
  2. 21unique risk may be called unsystematic risk, residual risk, specific risk, or diversifiable risk

    21特定可以被稱為非系統風險、剩餘、特定或者可分散
  3. Whereas this type of risk affects a broad range of securities, unsystematic risk affects a very specific group of securities or an individual security

    然而這種影響大范圍的證券,非系統風險影響一個非常特定群體的證券或單個證券。
  4. The local bank debt - to - asset ratio is widespread and higher, which could not reach basel agreement ’ s provision on capitalization rate. entry into wto five years later, the local bank will face the overall competition in rmb realm with the foreign capital bank. “ internal revolt and outer invasion ” urges the banking system risk, the assets profitability ’ s descends will let the bank get close to a bankruptcy

    國內銀行資產負債率普遍偏高,達不到巴賽爾協議的對資本充足率的相關規定,進入wto五年後又將面臨外資銀行在人民幣領域的全面競爭, 「內憂外患」促使銀行業系統風險的增強,資產營利能力的下降讓銀行步入瀕臨破產的邊緣。
  5. Capital assets pricing model ( capm ) only considers systematical risk and assumes that non - systematical risk can be eliminated by diversification

    摘要資本資產定價模型只考慮系統風險,並假定非系統風險可以通過多樣化消除。
  6. At last, the author discussed the approach of releasing the two types of risk, pointing out that it must be the only outlet to breaking the path dependence effect and pushing the institutional bifurcation. the innovativeness of the dissertation was manifested in the following facets : first, the two heterodox paradigms were concluded after a thorough and systematical retrospect ; second, a brand - new framework was established by embracing the two paradigms ; third, the concepts of risk and financial risk, especially their information and institutional contains, were expatiated under the framework ; fourth, the characteristics of china ' s economic structure and financial structure and their theoretical meanings were well concluded ; fifth, the commercial banking systematical risk and the stock market systematical risk of china were well explored and explained, and some solutions were reached

    文章創新之處主要體現在以下幾點:通過對既有文獻的廣泛深入了解,歸納出兩個可能對主流經濟學形成挑戰的經濟學研究範式;通過模型化模擬,探討了將兩個範式相互融會貫通、從而建立起具有更好解釋能力和預測能力的理論體的可能;在上述理論體下對與金融進行了經濟理論和經濟史理論層面上的闡釋;以上述闡釋為基礎,對我國經濟結構與金融結構特點進行了理論歸納,對我國目前的商業銀行系統風險與股票市場系統風險進行了深入剖析,並總結出可行的化解途徑。
  7. The last factor is opening risk which is attributed to the impact of huge transnational hot money, overseas financial crisis and foreign securities company

    本文先提出了指標體,在對綜合評估的基礎上,建立系統風險的監測預警模型。
  8. Chinese security market has a high systemic risk. the reason lies in those stock companies have a illogically capital structure, especially the irrational stock capital structure is the root of security market risk

    我國證券市場中的系統風險比重偏大與上市企業的資本結構有著密切關,不合理的股權結構是我國證券市場的最大根源。
  9. Because it is about empirical tests of risk, this chapter used interrelation coefficient, index of risk decentralization and risk resolution index. the research found that the correlation of price fluctuation in shanghai a - share market reduced and the proportion of systematic risk in total risk changed

    研究發現,上證a股市場股價變動的關聯度較之早期已有明顯降低,而系統風險所佔總的比重也呈下降趨勢,分散化投資能夠較大幅度的化解投資
  10. In a word, this thesis not only expounds the whole structure of stability control of power system based on the theory of control decisions, but also designs software and hardware of sub - control - station, which are different from others. there are several advantages as listed below : 1 ) distributed hardware architecture function modularization realization of communication between modules by high - speed network communication technology ( can ) ( interconnecting 256 modules or mainframes ) flexible, convenient, reliable expansibility of hardware and decreasing system risk. any broken cell only affects local cell

    總之,論文不僅在控制策略理論的基礎上,闡釋了穩定控制的整體架構,而且研製設計出新穎的區域穩控子站裝置軟硬體,其優點體現在: 1 )分散式硬體結構體功能模塊化採用高速網路通信技術( can )實現模塊間信息交換(最多支持256個模塊及機箱之間的互聯)硬體擴展靈活方便、可靠,降低系統風險,任一單元損壞隻影響局部2 )實時信息網(控制網)和管理網(監測網)分開。
  11. The system risk under the eas is analyzed then, the internal control and external control method are given later. the computerized system auditing, which is the base of the auditing of eas, is discussed in detail. in the last of the chapter, further description on auditing technology support, management system, anti - risk, and law environment is given out

    文中首先比較了手工武漢理工大學碩士學仲論文一與電算化的內部控制,繼而在分析e會計下的系統風險的基礎上,討論了其內部控制和外部控制,並探討了電算化下的審計問題以對e會計下的市計起到管中窺豹的作用,最後對電子商務環境下的審計技術支持。
  12. Control of systematic risks for financial computers

    芻議金融計算機系統風險控制
  13. The study shows that through the establishment of risk management system at each stage of engineering insurance, it ma > attain the goal of reducing risk occurrence frequency and loss degree, decreasing the compensation rate, maintaining the justice and benefits of the two party, realizing the security and economy, and reducing the systematical risk of the whole engineering insurance. therefore, the development of engineering insurance can not only meet the requirement of modern construction but also benefit to the capability building of insurance company to develop engineering insurance, resist the adventures, improve international competition, and realize the sustainable development of engineering insurance industry eventually

    研究表明,通過對工程保各個環節管理體的構建,可以達到減少工程發生頻率和損失程度,降低保人的賠付率和被保人的自留損失,維護保雙方的公平和利益並實現保的安全性和經濟性,從而降低整個工程保系統風險的目的,使工程保既能滿足現代工程建設轉嫁的需要,又有利於提高我國保公司工程保業務的承保能力、抗能力和國際競爭力,最終實現工程保業的可持續發展。
  14. Chen, anlin, wenchih lee, wu - der tsay and lin wang ( 2000 ), an empirical study of audit quality in the cpa firms in taiwan, tamsui oxford journal of management sciences, 16, 117 - 128

    陳安琳、李文智、葉仲康( 2000 ) ,系統風險與規模效果對股票報酬的影響持有期間報酬之分析,中華管理評論, 4 : 。
  15. Besides capital cost of equity, another aim of the paper is to determine capital cost of debt of our country ' s enterprises, in the part of it, the paper emphasize on the problems on debt financing of our enterprises and puts forward some suggestions to solve them

    除了討論權益資本成本的確定方法之外。本論文另一個致力於解決的問題是企業債務資本成本的確定。應該說,企業的債務融資成本也是其系統風險的反映,主要表現在不同企業融資的不同利率上。
  16. The author defined the risk of water supply in plain reservoir through the probability if the water demand is bigger than project ' s carrying capacity, and elaborated the risk analysis of water supply source system and the simulation method

    以供水工程承擔的供水外來負荷大於工程本身的承載能力的概率定義了平原水庫供水水源,闡述了供水水源系統風險分析及模擬方法。
  17. Based on the summary of the existing academic achievements and analysis of their disadvantages, this paper puts forward two variables that franchisors and franchisees take into account when they are determining whether to join the franchising system. to be specific, on the basis of these two variables, franchisors will choose the ratio between company - owned units and franchised units, while franchisees will determine whether to join the franchising system or start up from the ground. in this way, a decision model on the two parties ’ decision making is build up

    本文在總結前人現有研究成果並分析其不足的基礎上,提出特許雙方在是否採用(或參與)特許經營這一問題上的決策過程中主要考慮的變量是系統風險和交易成本,即特許方根據這兩個因素確定特許體中加盟店和直營店所佔的比例;而加盟方則根據這則兩個因素決定是加盟特許體還是自主創業,並據此建立特許方和加盟方決策模型。
  18. Funds transfer system rules play a leading role in the system risk reduction, so the legislation should acknowledge and encourage the creation of the system rules

    就降低系統風險而言,資金劃撥規則發揮著主導作用,立法應承認並鼓勵規則的制度創新。
  19. System risk not only affects the interests of the large - value electronic funds transfer system ' s operators and participants but also impairs the economic security and financial competitiveness of the country

    摘要系統風險不僅牽動著大額電子資金劃撥運營者和成員的利益,更影響著一國的經濟安全與金融競爭力。
  20. To elude the systemic risk, stock index futures can be used in the stock portfolio of pension found

    為了規避系統風險,可以用股票指數期貨對養老保基金投資的股票組合進行套期保值。
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