風險排序 的英文怎麼說

中文拼音 [fēngxiǎnbèi]
風險排序 英文
risk prioritizing
  • : 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...
  • : 排構詞成分。
  • 風險 : risk; hazard; danger
  • 排序 : collate
  1. The second part is concerned with the comprehensive evaluation of relations between risks, their absolute magnitude and relative order of risks. methods of point rating and fuzzy integrative evaluation methods are employed here

    對于整體的評價,則包括各類之間的關系,整體大小以及三方面內容,主要採用了主觀評分法和模糊綜合評價法。
  2. In this article, firstly the background of the textile trade conflicts within sino - us or sino - euro are introduced, thus learn that how to discern and dodge the foreign trade risks, how to choose the appropriate investment projects have already become one of the most important questions for exporting companies on foreign trade affairs well - known as high investment and high risk. so the main text makes a risk analysis qualitatively and quantitatively on a textile - exporting trading company from three angles of statistic 、 game theory and portfolio theory, which is the main content that we studied. firstly, the statistic article adopts data of the transaction closing price of the textile clothing index in shenzhen stock exchange at the end of each quarter as well as several other kinds of data reflecting the macro - economic changes, performs an empirical analysis of these data according to the theory of co - integration test 、 granger cause test and impulse response function of time series in economitric, and learn that the impact to ti is more obvious by the economic index reflecting local commodity price level and economic prosperity degree home and abroad, as well as the impact degree and the time lag degree, and knows the macro - economic risks faced by textile business enterprises ; after that by the game theory angle we analyze exactly the managing risks faced by one textile export corporation named beauty. from the game expansion chart the system arrangement between censor ways by exportation goal countries and exporting strategies by the exporting enterprises has been analyzed. involving the benefit assignment between them both the limited rounds and infinite rounds negotiations of cooperation games have been studied, and then country responsibility and the enterprise managing risks on foreign trade affairs and so on have been analyzed exactly ; in order to realize the investment multiplication in the certain degree to disperse the risk, the

    本文首先介紹了中美、中歐紡織品貿易爭端的來龍去脈,由此可知在涉外貿易這種以高投入、高著稱的行業里,如何甄別和規避外貿、如何選擇合適的投資項目已經成為外貿企業的首要問題。因此,正文分別從統計學、博弈論和投資組合三種角度對涉外紡織品貿易公司進行了定性和定量的分析,這也是本文的主要研究內容。首先,統計學篇選取了深圳證券交易所行業分類指數?紡織服裝指數( ti )每一季度末的交易收盤價和若干種反映宏觀經濟變化的指標,利用計量經濟學中時間列的協整檢驗、 granger因果檢驗和脈沖反應函數等理論做實證分析,從而得知反映國內物價水平和國內外經濟景氣程度的經濟指標對紡織板塊上市值的沖擊比較明顯,且可知沖擊程度和時滯度,進而分析出涉外紡織企業所面臨的宏觀經濟;接著,從博弈論的角度具體分析一家紡織品出口公司( beauty )的外貿活動所面臨的各種經營,該篇從博弈擴展圖入手,分析了出口目的國審查方式與本企業出口策略之間的制度安;並圍繞雙方的利益分配,研究了有限回合和無限回合合作談判博弈,然後具體論述了國家責任和企業涉外經營等問題;在一定程度上為了實現投資多元化來分散的目的,投資組合篇從經典的markowitz模型著手,在一些特定條件的限制下,給出了一個相應的投資組合模型。
  3. At last but not the least, integrating with china ' s reality the paper analyzes whether there are financial risks or not in economic structure, foreign debt management, foreign exchange system selection and foreign exchange level. in face of the changes from domestic and outside circumstances, we should carry out the reform steadily, strengthen financial regulation, prevent and defuse financial risks so as to provide better banking services for economic development and social stability

    最後,結合中國國情,本文詳細分析我國在經濟結構、外債管理、匯率制度選擇和匯率水平安方面是否存在金融隱患,以及針對我國國內國外經濟發展環境的改變,我國應如何進行改革調整,以便最大限度的抵禦、防範危機,使金融能夠更好的發揮其促進經濟發展、穩定社會秩的作用。
  4. 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』 、 『多目標馬爾科夫法』 、 『最小距離法』 、 『連續型變量的多目標型決策法』和『模糊分析決策法』等解決概率固定型的多目標型決策的新方法。 3 、探討了『加權法』 、 『法』兩種解決概率區間型和未知型的多目標型決策的方法; 4 、在概率未知型的多目標型決策中改進了『後悔值準則』 ,提出了『後悔均值準則』 ;並將單目標概率未知型型決策的準則推廣運用到多目標概率未知型的型決策中去; 5 、探討了多目標型決策方法誤差分析及決策結果值調整的方法。
  5. Depicting the dynamic features of the minimum risk hedge ratios with diagonal bekk models which capture the interaction of spot and futures currency markets concludes that hedging does alleviate exchange rate risk, although different hedging strategies rank in hedging effectiveness according to their respective duration

    採用對角bekk模型來捕捉貨幣現貨與期貨市場的交互影響,從而刻畫最小化套期比率的動態特徵,結果表明,套期保值能減少匯率,但具體的套期保值策略的效率高低與避頻率相關。
  6. The risk assessment and the risk sequence of the equipment and piping of catalytic cracking unit in lanzhou petrochemical company were defined by applicating the risk - based inspection ( rbi ) technology, and the inspection program which offers scientific basis for repairing schedule and strategy was made according to different equipment, piping and different risk classes

    摘要通過運用基於的檢驗( rbi )技術對蘭州石化公司300萬噸年重油催化裂化裝置的靜設備和管道進行評估和風險排序,針對不同的設備,不同的等級制定了相應的檢驗策略,為制定裝置的檢修計劃和長期的檢修策略提供了一種科學方法。
  7. But just like other theory, because the real economic is too complexity, the " financial depth theory " is not perfect too. in order to fetch up its shortage, we do two works : the first is analyse the characters of the efficiency financial system through the dynamic economic growth model, the second is to analyse all kinds of critical theory to " financial depth theory ". based on this, finally we defined the content involved by this paper, which includes two parts : the first part is to review the characteristics and macroeconomic performance of china ; the second part is to analyze the feature and performance of china ' s financial depth based on the " financial depth theory ". for this, we will investigate the macro sects and the each measures in the same time. the third part is to analyse the financial structure and the financial risk which is the other index to measure the performance of financial depth

    但是作為經濟增長理論的一個分支,金融深化論對金融與經濟增長關系的考察也有不完善之處。為彌補不足,在本部分內容當中,分析了動態經濟增長模型所展現的有效率金融體系所應具有的特徵以及對金融深化論的各種批評理論。在總結上述分析的基礎之上,最後對本研究所涉內容做了這樣的界定:一是從總體上考察我國金融深化的特點與宏觀經濟績效;二是從麥金農的金融深化實現路徑次出發,對金融深化不同階段的經濟環境狀況及其經濟績效進行具體分析;三是做為對上述研究不足的補充,對金融深化與金融結構以及金融深化與金融的關系進行了考察。
  8. In general, these studies are primarily based on the theories of financial restraint and financial deepening initiated by r. i. mckinnon and e. s. shaw, either stressing the urgency of china ’ s interest rate liberalization, its international experience, target orientation, mode selection, sequencing, conditional creation, risk control and the transformation of the monetary policy conduction mechanism, or such problems as the effect of reform on each economic party, positive examination of the real interest rate, savings mobilization, investment quality, relativity between the variables in economic growth as well as the interest rate sensibility in economic sectors of different ownerships

    總的看來,這些研究基本上以麥金農和肖所開創的金融抑制?金融深化理論為依據,或是側重於討論我國利率市場化改革的必要性迫切性、國際經驗、目標定位、模式選擇、次、條件創造、控制以及貨幣政策傳導機制的改造等問題,或是側重於分析改革對各個經濟行為主體的影響,再者就是實證考察實際利率、儲蓄動員、投資質量、經濟增長各個變量之間的相關性和不同所有制經濟部門的利率敏感性。
  9. It uses factor analysis method and dualistic relative comparative method to account the ability place of a loan enterprise in its industry, which can confirm the station in its industry better. by using time series model to forecast an enterprise ' s cash flow in the future, we can measure the repayment ability of an enterprise. by using logit model to account the probability of default for a loan enterprise, we can estimate the possibility of its default

    運用因子分析法和二元相對比較法計算貸款企業在本行業中的財務能力名,更好地確定其在本行業中的地位;運用時間列模型預測企業未來的現金流量,從而測度貸款企業未來的還款能力;運用logit模型計算貸款企業的違約概率,估計其違約的可能性;從貸款企業的行業、經營、管理、借款人還款意願等方面對貸款企業的非財務因素進行分析。
  10. A project risk ranking approach based on set pair analysis

    基於集對分析的項目風險排序方法
  11. A summarize on the project risk sequencing

    項目風險排序研究綜述
  12. The chapter of project planning is to characterize the main planning sequence of the project : the scope planning - the scope definition - the action definition - the resource planning - the action sequence definition - the action duration - the cost evaluation - the schedule definition - the cost budget - the project planning. in order to deploy the entire project planning, the secondary planning is necessary : the quality planning, the communication planning, the organization planning, the risk planning, and the purchasing planning

    項目計劃介紹了按照范圍計劃-范圍定義-活動定義-資源計劃-活動-活動歷時-費用估算-進度計劃-費用預算-項目計劃制定的主計劃順,結合質量計劃、溝通計劃、組織計劃、計劃、采購計劃的輔助過程,完整地制定項目計劃的過程。
  13. Using the f - ahp model algorithms that based on fuzzy number and interval arithmetic solve the multi - attributes and fuzzy problems of agricultural project appraisal. using entropy weight ranking of f - ahp is more efficiency. using a - cut and index of optimism x. estimate the uncertainty and preference of decision makers

    用基於模糊數、區間數運演算法則的f - ahp模型解決了農業項目投資評估的多屬性及模糊性問題;採用熵權使得更加科學;通過置信度與樂觀指數考慮了不確定性及決策者的態度。
  14. According to the consistent conclusion of the three applied methods, the paper demonstrates the feasibilities for the three quantitative methods of technical risk evaluation of aids to navigation

    通過三種方法的一致性,可以明確得出指標體系中各評估指標對航標技術的影響程度。
  15. We rank stocks and make portfolios according to various kinds of risk factors from 1997 to 2002, and test in method of cross - sectional regression. we find that # and stock and portfolio returns lack significant relation, on the contrary, two easily measured variable, market equity and book - to - market equity, combine to capture the cross - sectional variation in stock returns. this conclusion proves that the size effect and value effect exist in shanghai stock market during the research period of this thesis

    通過將1997年到2002年股票收益率數據按各種因素進行、分組的討論,以及橫截面回歸的檢驗,本文發現與股票組合收益之間缺乏顯著的相關性,相反流通市值和賬面市值比這兩個易於測度的變量一起捕捉了股票收益橫截面的變化,這一結論說明上海股市在本文的研究期間內存在規模效應和價值效應。
  16. Based on the analysis for the status and problems of domestic software industry, combined with the vtc, the characteristic of few success and high risk of software projects are focused on, and the necessity of building the risk defending management system of software projects is emphasized in the first part ; after that, some theories and the latest researches on risk management of software projects are discussed ; in the third part, the paper analyzes the construction, causes and characteristics of software project risks in vtc ; and a set of strategies of building the risk defending management system of software projects in vtc is put forward. this system can play a lasting role in vtc. in the fifth part, the author estimates the validity and applicability of " the software project risk defending system for vtc ", and describes the use of the system in btv

    文章首先從分析國內軟體行業和維萊信公司的現狀和問題入手,指出目前軟體項目普遍存在大、成功率低的問題,強調了研究設計維萊信公司軟體項目防範體系的意義;之後介紹了所運用的幾個相關理論及其新的進展;然後,從分析的角度,對維萊信公司軟體項目在開發過程中的主要構成、成因及特點進行了分析,利用模糊綜合評價法對進行了評價和;並從解決問題的角度,設計提出了防範方案? ? 「維萊信公司軟體項目防範體系」 ,闡述了該體系的設計思想、結構、內容及運作方式。
  17. In chapter 6, in order to use the preference information adequately in concept evaluation, the quality level of concept is introduced. consider the uncertainty in the stage of concept evaluate, the definition of concept risk is given in the view of satisfied requirement. and the multiform formulae of risk are analyzed

    第六章引入了方案質量水平的概念作為方案優選的指標;針對設計方案評價階段的不確定性,首次從能否滿足需求的角度提出了方案不能滿足需求的性的概念,並給出了各種情況之下方案不能滿足需求的性的數學描述;進行方案時,分考慮評價者對浙江大學博士學位論文性的心理界限和不考慮心理界限兩種情況進行討論。
  18. Firstly, based on the development history and characteristics of stock market the thesis looked back the development history and characteristics of every stage of chinese stockjobbers laid stress on the business development and risk management. secondly, the thesis analyzed the existing comprehensive evaluation method and choosed or model of data envelopment analysis as evaluation model. then we analyzed the deficiency of ( 7r model and established two new model - average value model, go model and its corresponding projection model - which were used to evaluating and sequencing fourteen comprehensive stockjobbers and draw a conclusion based on computation result of the three models

    本文首先以我國證券市場發展歷史及特點為基礎,回顧我國證券公司發展歷程及各階段經營特點,主要分析證券公司業務發展和管理狀況;其次,對證券公司現有評價方法進行研究,選擇數據包絡分析( dea )的c _ 2r模型作為對證券公司進行評價的數學模型,針對c _ 2r模型時存在的並列第一和零權重問題,提出均值模型、 g _ 0模型及相應的投影模型,並對三種模型的計算復雜度進行了討論;第三,選擇14家綜合類證券公司進行實證研究並對三種模型的計算結果進行了對比分析;最後,簡要總結2001年證券市場狀況並對證券公司今後面臨的機遇和挑戰進行了分析。
  19. On the other hand, that risk matrix is analysised and the order of risk degree in every process is given by the way of principle component analyses. the process is found out whose risk degree is great, so this can point out a direction to those practical works. finally, there are some diagrams ( risks distributing ) and a few of advices ( the ways by which risks are evaded )

    為便於對源進行定量的分析,本研究採用了基於模糊數學的基本方法,將源的等級轉化為可對其進行數值分析的模糊值;並應用主成分分析法,對矩陣進行了分析,對各個過程的度進行了;找出了度較大的過程,為更好地指導實際工作創造了條件。
  20. For example, if you had the attributes " user priority " and " risk " for your feature requirement type, you could create the following query : " show me all the high - priority, high - risk features. " this could help you decide which features to implement in early iterations to ensure that you do not leave out important functionality and that you mitigate risk early in the project

    用這些工具你可以把需求按屬性,比如,假如你的需求類型特性里有「優先級」和「」的屬性,你可以建立這條查詢: 「顯示所有高優先級和高的特性。 」這有助於你在項目早期的迭代時就考慮哪些特性是需要實現的,確保你不遺漏重要的功能,在項目的早期就遏制住
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