風險應對 的英文怎麼說
中文拼音 [fēngxiǎnyīngduì]
風險應對
英文
risk response- 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...
- 應 : 應動詞1 (回答) answer; respond to; echo 2 (滿足要求) comply with; grant 3 (順應; 適應) suit...
- 對 : Ⅰ動詞1 (回答) answer; reply 2 (對待; 對付) treat; cope with; counter 3 (朝; 向; 面對) be tr...
- 風險 : risk; hazard; danger
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In this paper, it provides seven ways for construction enterprises when they carry out project management to distinguish risk. then use expert survey or administrative levels analysis to analyses risk and give out the different dealing way to different risk. at the last, they choose a suitable way to deal with the risk
風險的識別是進行風險管理的基礎,本文提供了七種方法對建築企業進行工程項目運作時可能遇到的風險進行識別;然後對識別出的風險編制風險調查表,用專家打分法或層次分析法進行風險的評估和分析;針對評估出的結果對項目進行風險規劃,提出不同的風險應該採取的風險處置方法及可以採取的措施;之後根據不同的情況,從六種風險處置方式中選擇適合的方式進行風險處理。During hands - on exercises, you will work as part of a team to develop a project definition document, a work breakdown structure, range estimates, a network logic diagram, and a risk response analysis
在實踐練習中,您將作為團隊的一員,參與設計項目的定義文件、工作分解結構、范圍估計、網路邏輯圖和風險應對分析。On the basis of literature review, we first identify the main risks in the china " s life insurance industry. the mange risks of life insurance are divided three types : the first type is the risk of environment including the risk of period of operating cycle, the risk of market competition, the policy risk and catastrophic risk ; the second type is operational risk, including decision risk, location risk of branch of insurance and so on. the third type is man - made risk, including the morals risk, psychological risk and so on
在對現有文獻和研究成果總結回顧的基礎上,本文首先分析了中國壽險業面臨的主要風險,壽險的經營風險分為三大類:第一類是環境性風險,包括經濟周期風險、市場競爭風險、政策風險、巨災風險;第二類是經營性風險,包括決策風險、險種定位風險、定價風險、業務管理風險、準備金風險、投資風險、分保風險、退保風險、應收保費風險、財務管理風險、破產風險;第三類是人為性風險,包括道德風險、心理風險、逆選擇風險、從業人員素質風險。The risk estimation of the exposure to market risks as the risk - management ' s core, there are many risk - management models of estimating the risk of financial markets, in this paper, the author first analyses the characteristics of the current financial market risks, then makes a comprehensive systematic analysis and estimation of all kinds of risks present in financial market with the help of var ( value at risk ), a world - wide valuably and widely accepted brand - new risk management tools. finally, a substantive suggestion about the applications of var models to the financial markets risk management of our country is provided on the basis of the detailed analysis of the calculation of all kinds of var models, along with their advantages and disadvantages and also the applications. with the development and betterment of our country ' s security markets, the entry into wto and openness of financial market, financial product innovation and extensions of traditional bank off - balance business, the augmentation of market risks will surely lead to risk management innovation and identity to international standards. therefore, the research of financial market risk management signifies a lot not only in a realistic sense, also in a guideline sense. this is just where this paper aims
針對金融市場風險管理的核心主要是對風險的測量,本文先分析了當前金融市場風險的特點,然後應用近年來在國際上受到廣泛重視並開始為大家所接受的一種全新的風險管理工具? 「在險價值」 ( valueatrisk ) var的基本思想,全面、系統地分析和測量了金融市場所存在的各種風險,並對各種var基本模型的計算、優缺點及應用作了詳細分析,最後對var模型在我國金融市場風險管理的應用提出了實質性的建議。隨著我國證券市場的發展壯大和不斷完善,及加入wto和金融市場的開放,金融產品的創新及傳統銀行表外業務的不斷拓寬,市場風險的加大必將帶來風險管理的創新並同國際接軌。所以金融市場風險管理的研究不僅具有現實意義,更具有指導意義實,這也是論文的出發點所在。In this paper, with the guidance of comprehensive principles in international economics, industry economics, development economics, management sciences and statistics, the feasibility of offshore renminbi finance was explored. through exploring the formation mechanism on how its interest and exchange rate would be formed, offshore renminbi internal operation mechanism was analyzed ; using the international comparison technique, the influence of the offshore remminbi finance and the corresponding operational methods to promote its development were researched. based on these studies, the feasible pathway, expecting risks and corresponding measures were derived ; the comparison superiority and global competitions capability of renminbi were qualitatively and quantitatively studied
本文以國際經濟學、產業經濟學、發展經濟學、管理學、統計學等綜合理論為指導,對人民幣離岸的可行性進行了探討;通過探討離岸人民幣利率形成機制和匯率形成機制,對人民幣離岸金融內在運行機理進行了分析;採用國際對比的方法,對人民幣離岸金融的效應及促進其發展的政策措施進行了分析;並以此為基礎,對人民幣離岸發展的可行途徑、將面臨的風險和對策進行了探討;對人民幣比較優勢和國際競爭力進行定性和定量研究,為中國入世后進行金融業戰略性結構調整提供理論依據,並為政府有關部門提出對策建議。The proportion relationship on corporation ' s long - term indebtedness and interests form capital structure of the corporation, capital structure relate to the decision making in investment and financing directly, to the maximum of the stock holder ' s wealth and the creditor ' s interests rate which accord with the risk they take on
企業長期負債和權益之間的比例關系形成企業的資本結構。企業的資本結構直接關繫到企業的投資決策和籌資決策,關繫到企業股東財富最大化是否能夠實現,債權人是否可以得到與其承擔的風險相對應的收益率。Risk resolution has four basic forms including risk assumption, risk reduction, risk diversion and risk evasion
風險應對包括風險自留、風險降低、風險轉移和風險迴避四種基本形式。This article also expounds the principles that is applying in the development of real estate like risk evasion, risk transfer, risk preservation, risk control and risk application
論述了風險應對措施:風險迴避、風險轉移、風險自留、風險控制、風險利用的原理在房地產開發中的應用。( 3 ) the risk reaction measure of supervision enterprises in the process of project supervision
( 3 )監理企業在工程項目監理中的風險應對措施。Different combinations of these four basic forms create the different models of risk management
對風險應對的四種基本形式進行不同的組合就形成了不同的風險管理模式。D. you will define the steps to take to respond to the risks and detail them in the risk response plan
你將確定應對風險要採取的步驟並在風險應對計劃中對其加以詳細說明。Review : all teams meeting to present work and review progress, raising and resolving issues and problems, adding new backlog items. risk is reviewed and appropriate responses defined
總結:所有的小組開會介紹各自的工作,總結進度,提出並解決問題和困難,增加新的待定項。在會上總結風險,定義適當的風險應對策略。This paper regards project risk management as a procedure of optimism and decision, in which information will come out gradually in the multistage construction. the key to the risk management is how to select the risk response plan
本文認為項目風險管理就是一個在信息不斷進入的多階段活動中進行優化決策的過程,其關鍵在於對風險應對方案的選擇。The training risk is identified systematically. the resources, appearing probability and serious consequence of training risk is analyzed and assessed with qualitative - quantitative method. the solutions for the training are also put forward
系統地識別了培訓風險,利用定性定量相結合的方法對培訓風險來源、發生概率、後果嚴重性等進行了分析、估計,提出了培訓風險應對策略。This text takes the risk management procedure as the main clue, and makes a systematical approach to the connotation of risk discern, risk estimate, risk evaluation and risk reaction. meanwhile, this text establishes several new analytic models
本文以風險管理工作程序為主線,針對建設項目的特點,系統探討了風險識別、風險估計、風險評價、風險應對的內涵;並借鑒相關學科知識,建立了幾種新的分析模型。Among these, the first part makes use of the second - hand information to carry out the research for the market demanding and the history prices of the end project products. the experience is relied on determine the price needed in the analysis of long - term investment decisions ; the second part analysizes the project investment decision by the way of using some long - term investment decision theories such as recovery period method, npu, net present index method and remuneration included methods, etc. meantime, it makes the risk analysis for the project and determines the risk elements and proposes some measures and guidance in risk management
其中,第一部分對企業及項目情況進行了介紹,並使用二手資料的方式對項目產成品的市場需求及歷史價格進行了調研,根據經驗法確定了長期投資決策分析中所需的產品價格;第二部分對進行長期投資決策分析的理論進行了闡述,利用回收期法、凈現值法、凈現指數法和內含報酬率法等長期投資決策理論對項目的投資決策進行分析,並對項目進行了風險分析,確定了風險因素,提出了風險管理中為避免風險應當採取的一些措施和方法。This text of thesis summary regards " project financing way of high technology enterprise - - application in changchun faw qiming information technology. ltd " as the subject, through to the definition of financing of project and analysis and exposition of raising the way, financing mode of the characteristic and project financing of high - tech enterprise, combine this concrete case of open - minded company " car trade demonstration project ", make great efforts to explore with this important international financing tool of the financing of research project, meaning and function in which the project to this hi - tech software company of manufacturing industry of open - minded company develops
在傳統的公司融資的方式下,高科技項目的這些特點使得眾多的投資人無法進行項目的全面評估從而對項目忘而卻步。通過將項目融資方式引入到高科技項目的融資模式當中,可以彌補傳統的公司融資的缺點,使項目風險相對分散,使項目的融資成為可能。本文從項目融資的自身特點出發,在分析高科技企業項目融資的籌資方式和模式的基礎上,結合啟明公司「汽車交易示範工程」這一高科技軟體開發項目的具體案例,說明了如何將高科技企業項目融資方式在啟明公司的具體項目上進行應用。Ethical justification for research involving this special group are as follow : specific irb should include someone who has appropriate background and experience to serve in that capacity ; the research might not equally well he carried out with subjects other than persons who are serving a sentence or receiving reeducation through labour ; definition of minimal risk shouldn ' t be compared with the risks normally encountered by this special group, but rather that of healthy persons ; free choice in informed consent should be ensured ; arrange treatment for research subjects after research terminated ; fairly distribute research burdens ; maintain confidentiality of research data and privacy ; reasonable payment need to be considered, etc
涉及這一特殊群體臨床研究的倫理審查要求包括:倫理委員會的組成應該包括具有相應背景和經驗的服刑勞教人員代表;研究是針對服刑勞教人員所患的疾病,並且如果不選擇服刑勞教人員為受試者,研究不能同樣好地進行;最小風險應該參照「健康人群」進行判斷;知情同意應充分尊重其自主選擇權;試驗結束后治療安排;以及公平招募,保護隱私,合理補償等。On the base of venture capital organizations, this paper deduced the major risk factors influencing the decision of venture capital organizations by collecting risk analysis part of investment feasibility report and combining risk evaluation theory of venture capital. using fuzzy classification, these factors are classified as environment risk, technique risk, production risk, market risk, manager quality risk, operation risk, withdraw risk and moral risk. through analyzing the risk factors, a risk evaluations system is built for venture capital project
本文從風險投資機構的角度出發,對風險投資機構的投資可行性報告的風險分析部分進行匯總分析,結合項目風險評價理論,得到影響風險投資機構投資決策的主要風險因素,然後應用模糊聚類分析法,對這些風險因素進行了分類,分類結果為環境風險、技術風險、生產風險、市場風險、管理者素質風險、運營風險、退出風險及道德風險,並對這些風險因素進行了分析,以此建立了風險投資項目的風險評價體系。In order to ensure the success of enterprise reform the management offers job opportunities to laid - off workers
實施多元化戰略可以分散企業經營風險,應對產業環境變化,可以安置富餘人員,保證企業改革的順利推進。分享友人