風險事件 的英文怎麼說

中文拼音 [fēngxiǎnshìjiàn]
風險事件 英文
risk event
  • : 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...
  • : 名1 (事情) matter; affair thing; business 2 (事故) trouble; accident 3 (職業;工作) job; wor...
  • : Ⅰ量詞(用於個體事物) piece; article; item Ⅱ名詞1. (指可以一一計算的事物) 2. (文件) letter; correspondence; paper; document
  • 風險 : risk; hazard; danger
  1. In the pooled analysis, aspirin withdrawal / noncompliance was associated with a significant 3. 14 - fold increased risk of adverse events

    在聯合分析中,停服阿司匹林/未遵醫囑服用阿司匹林導致不良顯著增加3 . 14倍。
  2. Among antihypertensive measures, blockade of the raas by means of ace inhibitors or angiotensin ii receptor antagonists recently emerged as a potentially polyvalent approach, not only for treating hypertension and reducing cardiovascular events, but also to prevent or reduce albuminuria, counteract diabetic nephropathy and lower the occurrence of new type 2 diabetes in individuals at risk

    在抗高血壓藥物治療中,通過用ace抑制劑或血管緊張素受體拮抗劑可阻滯腎素-血管緊張素-醛固酮系統激活,最近其可作為一種潛在多能的治療方法,不僅可治療高血壓和減少心血管,也能夠預防或減少蛋白尿,阻止糖尿病性腎病變,並使新糖尿病患者發生性降得更低。
  3. Eighty - five political risk events are analyzed, which refers to 33 countries

    共分析了政治風險事件85,涉及國家33個。
  4. All this is to be done through actuarial science takes probability theory and mathematical statistics as its standing point, evaluates the outcome of risky events, the future financial balance as well as debt level for various economic programs. in this way, the actuarial science can help us put these programs onto a safety financial basis for future development

    精算科學是現代保業和社會保障業建立和正常運作的數理基礎,它以概率論與數理統計為基礎,與人口、社會、經濟有關科學相結合,對風險事件進行評價,對各種經濟安全方案的未來財務收支和債務水平進行估計,使經濟安全方案建立在穩定發展的財務基礎上。
  5. The probabilities all possible risk incidents are very small. even some incident appears it won ` t be destructive to the system

    所有可能發生的風險事件均屬小概率,如有個別發生,也不會對系統構成毀滅性打擊。
  6. This paper gives the conclusion : there are not any serious risk sources, and the majority of risk incidents in tables can be avoided by some means or other

    本研究認為,在對該系統進行分析的過程中,沒有發現不可接受的重大源,風險事件表中所列的風險事件,在採取一定的措施后,大多數都是可以避免的。
  7. Empirical studies reveal that interest spread is typical of bond terms, affected by issue size, benchmark interest rate, sector of issuers and their credit risks, although certain industries and conglomerates may be granted a preferential interest spread

    實證分析發現,短期融資券發行利差具有明顯的期限結構,並受到發行規模、央票利率水平、企業性質和重大信用風險事件的顯著影響,個別行業和超大型企業也能享受一定的利差優惠。
  8. Practice and experience of the precautions of risk events in the bloodletting room of outpatient department

    門診抽血室防範風險事件的做法和體會
  9. The plan identifies alternative strategies to be used to ensure project success if specified risk events occur

    該計劃標識可在發生指定的風險事件時用於確保項目成功的備用策略。
  10. Both risk event characteristics and personal characters can influence subjects perception, and accordingly disturb psychology and behaviour

    結果發現風險事件特徵與個人因素都會影響被試的認知從而干擾心理和行為。
  11. There are kinds of risk factors in the course of the real estate investment, the final result is the departure if the risk events take place and it is the investor ' s concerned matter in deed. in order to embody the investor ' s concerned matter at the risk measurement, the author introduces semi - variation, the probability of net present value less than zero and the risk loss and uses these indices to measure the risk of real estate investment

    房地產投資過程中因素眾多,各類風險事件發生所造成的最終結果是投資的實際收益與預期收益發生偏差,而投資者真正關心的也正是收益能否實現的問題,因此,本文將房地產投資的度量直接體現在投資者關心的問題上,用半方差、凈現值小於零的概率、損失值等指標來量化投資
  12. The utility hypothesis of von neumann analyses consumers ' behavior in recurring events in a period of logic time under risk

    摘要馮?諾依曼效用理論是分析在有下存在於邏輯時間內重復出現的消費者行為理論。
  13. A review on the time cost trade - offs problem in project scheduling

    項目特點對項目風險事件和脆弱性的影響
  14. Tip # 13 : many troubles are nothing more than risk events that have unexpectedly manifested themselves, monitor the triggers or symptoms to reduce the potential for surprise

    技巧13 :多數問題都出現在非預期的風險事件的發生,監控的前兆或信號以減少潛在的意外
  15. It is possible that the project investment would be delayed, terminated, failed or failed to reach the anticipated technical & economic target for the occurrence of risking incidentals

    有可能由於風險事件的發生而導致項目投資延期、中止、失敗或達不到預期的技術經濟指標。
  16. The regulator worries that financial companies “ underestimate the likelihood of severe events or, where mitigating action is envisaged, they overestimate their ability to take action that is both effective and timely

    監管機構擔心金融公司"低估了風險事件發生的可能性,換句話說高估了他們對風險事件反應和處理的及時性和有效性。
  17. Tip # 7 : many teams waste substantial effort attempting to produce an exhaustive list of risk events for consideration, often trouble stems from the risk events that the team failed to identify so why not use a risk checklist

    技巧7 :許多項目團隊浪費了大量的工作試圖製作一份詳細的風險事件清單,但是問題往往就產生於那些被遺漏了的風險事件.為什麼不採用檢查表呢
  18. The paper has seriously analyzed the current situations of the economic system and project management of power construction engineering in china, the disparity of engineering risk management of power construction and causes influencing on execution of engineering risk management. the paper also has summed up the types of the engineering risk in power construction and risk events

    本文分析了我國經濟體制和電力建設工程項目管理現狀,在分析電力建設工程管理的差距和影響開展工程管理原因的基礎上,歸納概括了電力建設工程的類型與風險事件
  19. In the middle of 1990s, the micro finance risk events which long - term capital management company event is on the behalf of and the macro economic phenomenon which mexico financial crisis and asia financial crisis are on the behalf of bring the attention about the financial risk at large, and also bring the deeply thought about the safety running of finance

    20世紀90年代中期以長期資產管理公司為代表的微觀金融風險事件和以墨西哥金融危機、亞洲金融危機為代表的宏觀經濟現象,引起了人們對金融的普遍關注,以及在微觀層面上對金融安全運行的深刻反思。
  20. With regard to the risk control in crude oil futures market, this article formulates a reputation model to analyze the actions between the investor and the futures broker company in a full competition situation

    本文針對過去我國期貨市場風險事件多發地帶? ?期貨經紀公司,構建一個期貨經紀公司與投資者的聲譽博弈模型,分析在完全競爭的情況下,作為經濟「理性人」的期貨經紀公司和投資者會採取怎樣的行動。
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