風險評估公司 的英文怎麼說
中文拼音 [fēngxiǎnpínggūgōngsī]
風險評估公司
英文
risk assessment groups- 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...
- 評 : Ⅰ動詞1. (評論; 批評) comment; criticize; review 2. (評判) judge; appraise Ⅱ名詞(姓氏) a surname
- 估 : 估構詞成分。
- 公 : Ⅰ形容詞1 (屬于國家或集體的) state owned; collective; public 2 (共同的;大家承認的) common; gen...
- 司 : Ⅰ動詞(主持; 操作; 經營) take charge of; attend to; manage Ⅱ名詞1 (部一級機關里的一個部門) dep...
- 風險 : risk; hazard; danger
- 評估 : estimate; assess; appraise
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This paper, using for reference of international vulgate class of risks, meanwhile considering domestic practical situation, presents risks early warning index system ; this paper, adopting the methods of quantitative analysis, presents the model of risks early warning system ; this paper measures the market risks of trust investment companies with widely used var method. at the same time, this paper establishes the base of risks early warning model by combining such method and other risk measurement into risk measurement model
本文充分考慮了我國的實際情況,同時考慮了國際上通行的風險分類方法,建立了風險預警指標體系;採用風險定量分析和定性風險指標的量化評估等方法建立了風險預警系統的模型;借鑒國際上使用比較度的var風險價值量法來對信託投資公司的市場風險進行度量,並將風險價值量和其他風險指標採用風險度的方法融入到風險評估模型中,為建立風險預警模型奠定了基礎。But here be still lack of stage characteristic system research in domestic. vc company evaluate different development stage vc project and enterprise adopting a valuation process and system usually
而目前國內還缺乏具有階段性特徵的評估指標體系的研究,風險投資公司習慣于用一套評估指標體系來評估不同發展階段的風險投資項目與企業。Based on the practice of establishment and implementation of the hse management system in the institution, this article analyzes the popular issues in the process of hazard identification and risk evaluation in the enterprises, and put forward the elementary solutions
摘要結合本公司建立與實施hse管理體系實際,分析了企業開展危害識別與風險評估中常見的問題,提出了解決問題的初步方法。So, they ' ll be scrutinizing our financial projections with a fine - toothed comb to assess our company ' s risk and profit potential
所以他們會仔細地檢查我們公司的財務計劃,以評估公司承擔的風險和盈利的可能性?The researchers looked at health risk appraisals from employees in jobs ranging from warehouse and production workers to executives at a large multinational pharmaceutical company
研究人員對一家大型跨國醫藥公司職員的「健康風險評估」進行了研究分析,職員涉及倉儲、生產和管理等多個不同的崗位。This session will explore incubator service offerings with revenue - generating potential, such as having affiliate clients, providing pre - incubation services, hosting venture conferences and partnering with local universities to offer educational courses
在本階段,將解釋所能獲得潛在收益的孵化服務:如:開辦分公司,提供預前孵化,風險評估會議,及當地的大學提供教育培訓。The plan is to finger out the laws and rules in favor of the venture capital ' s operation in order as soon as possible, establish the leading fund provided by government, offer governmental credit assurance and stock, reduce the tax to the high - tech enterprise, construct the polarizing investor frame including government, corporation, international investment company, achieve the legalization of private - collecting fund, quicken the course of endowment insurance fund of investment to the venture capital, that can solve the problem of capital shortage, to improve the rule - framework of the investment company, and expect to carry out the limited and partnership company. through the way of theoretics education and practice, introduce into the advanced technology and talent to promote the ability of investment specialist, strengthen the inspection to medi - agency and exploit the operation scope, bring forward a set of high - tech enterprise evaluating system suitable to choose the enterprise invested by the investment company. last, buy by corporation, and - techniqufi - and property right dealing market is the practicable exit channel comparatively
即盡快制定有利於風險投資規范運作的法規及條例,建立政府導向基金,為高新技術企業提供政府信用擔保、政府采購以及稅收優惠等政策支持;構造由政府、大公司、國際投資公司構成的多元化投資者結構,盡快實現私募基金的合法化,加快社會養老保險基金進入風險投資的進程,以此方式解決資金短缺的問題;在目前有限責任和股份有限機構組織形式的基礎上,改善風險投資機構的法人治理結構,並建議早日實現有限合夥制組織形式;以理論教育結合實踐,引進國外先進技術和人才等方法促進投資專業人才能力的提高;通過加強對中介機構的監管和拓展中介機構風險投資中介服務,促進中介機構的建設,並結合實際提出一套適合於風險投資公司選擇投資項目的高新技術企業評估體系;最後建議以大公司收購和技術產權資本交易的方式作為目前較為可行的風險投資退出渠道。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
摘要通過運用基於風險的檢驗( 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風險評估和風險排序,針對不同的設備,不同的風險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。Insurance broker administers a regulation ( try out ) " regulation, superintend sectional approval through insurance, insurance broker company can run the following business : 1, in order to conclude insurance contract is a purpose, offer fire prevention for policy - holder, prevent caustic or risk to evaluate and risk management seeks advice from a service
保險經紀人治理規定(試行) 》規定,經過保險監管部門批準,保險經紀公司可以經營以下業務: 1 、以訂立保險合同為目的,為投保人提供防火、防損或風險評估以及風險治理咨詢服務。Such conclusion can be made according to the prior analysis that shannon theory can be introduced into risk management to estimate risk, appraise risk and make decision. furthermore, the result of analysis on the project in the dissertation is is consistent with the fact, that is to say, choosing the daxie island, ningbo as the plant site for the project accords with the conclusion of the paper
通過前面各章的分析,得出結論:在風險管理中,完全可以引入熵的理論,進行風險的估計、評價和決策,同時,利用該理論得出的結論與實際情況是相符的,即煙臺萬華聚氨酯股份有限公司16萬噸年mdi工程最終廠址選擇在寧波大榭島,與本文的結論是一致的。Support board in enterprise - wide risk assessment
支持董事會開展全公司的風險評估。While , if this case lasted so on there should be no profit for these civil insurance companies because of the competition from outside now. in this theme the writer has raised some proposals for the risk management pre - underwriting process in micro & macro area after the analysis of the process and take much on the decision of loss - control which is the most difficult process for most of insurance companies. the writer has also hoped that this analysis would benefit those people who are on the duty of loss - control , and through the introducing of the ideas of loss - control and the details about this process to improve the interior control , and hoped that these ideas would promote the risk management before they accepted one business , so they can upgrade their brand value and make more profits
為此,本文在分析了目前國內財險公司風險管理現狀的基礎上,首先介紹了風險、風險管理的相關理論,包括風險的定義及分類、風險管理的沿革及定義、保險與風險管理的關系等內容,並強調了財險公司進行承保前風險管理的必要性和重要意義,隨後分析了財險公司承保前風險管理的基本流程? ?風險識別、風險分析及風險管理決策,並對這個過程中最為重要也最為困難的一個流程? ?風險識別進行了重點介紹,對財務報表分析法、流程圖法、損失統計分析法等具體方法都進行了較為詳細的介紹,並列舉了重慶平安對輕軌進行承保前風險評估的案例。Ttis paper sms the recen research results in the topic, maks a briefly descripon of the foral risks, then researthes on the mechanism to cause them, introduces way to assess the level of anancial risk. based on it, this paper finds out the main finaniai ratios to influeoce risk through survtw, and bulld the financial riskleve forecasting model by the method of two group ofdiscdrinate analysis. ih the research, 60 listed compedes are selected as our statstical analsis samples and cataloged into two groups, which has 30 samples, one is company which is no specially wdopn st ) the othe is on the cotw ( st )
本文對已有研究成果進行了總結回顧,接著從我國上市公司財務風險的現狀分析入手,揭示了上市公司總體財務風險的水平,並從多方面具體分析了上市公司財務風險的成因,然後介紹了財務風險評估的幾種常用方法;在此基礎上,採用問卷調查法確定了財務風險預警指標體系后,選擇滬深兩市60家上市公司作為估計樣本(其中30家為st公司, 30家為非st公司) ,運用兩組判別分析法建立了上市公司財務風險預警模型,再選擇了20家上市公司作為測試樣本,來測試已建立模型的效果;對ykf公司的財務風險進行綜合分析,其結論與運用建立的預警模型的測試結果相吻合,故對其發出了財務風險預警;最後,針對我國上市公司的實際情況,從完善公司治理機制、重塑社會信用體系等方面提出防範公司財務風險的對策和建議。From the point of venture capital corporations " views and based on the basic theory, internal and external value evaluation theory of venture capital, the dissertation establishes standard system of project evaluation of venture capital, which primarily includes exterior environmental analysis, enterprise ' s interior environmental analysis, project analysis, swot analysis and venture analysis, and then based on this system and value evaluation methods of venture capital, establishes value evaluation system of venture capital
本文基於風險投資公司的角度,從風險投資基礎理論著手,借鑒國內外風險投資價值評估理論的基礎上,建立了以外部環境分析、項目所屬企業內部分析、項目分析、 swot分析、風險分析為主要內容的風險投資項目評價指標體系,並以該評價指標體系和風險投資價值評估方法為基礎,建立了風險投資價值評估體系。In 2002, professor ronen proposed a new concept ? financial statement insurance. under financial statement insurance system, listed companies no longer hire accounting firms to conduct financial statement audit, but rather purchase a kind of insurance ? financial statement insurance from insurance companies. these insurance companies then will audit the listed companies and decide the insurance fee and insurance rate according to risk assessment. additionally, loses to investors, which are caused by fraudulent or inadequate statement, should be afforded by the insurance company
在財務報表保險制度中,上市公司不再直接聘請注冊會計師對財務報表進行審計,而是向保險公司投保財務報表保險,保險公司聘請注冊會計師對所投保的上市公司進行審計,根據風險評估結果決定承保金額和保險費率,對因為財務報表的不實陳述或漏報給投資者造成的損失,由保險公司負責向投資者進行賠償。The safety management object is mainly ships. it neglected the management of the company oneself. it is in need of the perfect mechanism of ego ; safety management and operation management become disjointed ; it is placed in passive appearance of the after the event management in the fulfillment ; the personnel ' s training ca n ' t keep up with the development of the ages ; it exists many problems
本文依照全面風險管理理論,通過分析番禺港澳運輸公司內外部環境,進行風險識別和風險評估,找出該公司的重大風險;然後參照國際船舶安全營運和防止污染管理規則設計一套以建立航運企業安全管理體系為主,風險應急措施為補充的風險管理方案,並將之融入到現有的管理流程中。In the last few years, our country " s risk investment development is very quickly, but it still be placed in the lower stage, and a lot of vc company be lack of experience, and face the item of the different development stage, such as : seed period, startup period, expand period, mezzanine period, the company usually adopting a valuation process and system, which ca n ' t obviously adapt to evaluate the numerous vc project
近幾年,我國的風險投資業發展很快,但還處于發展的較低階段,很多風險投資公司缺乏經驗,面對處于種子期、創立期、成長期和成熟期不同發展階段的項目,往往只採用一個評估流程和體系,顯然不能適應多類別項目的評估要求。Dupont continues to support and fully participate in the risk assessment process
杜邦公司將繼續支持和全力參與這一風險評估過程。On the individual credit risk analysis, this thesis empirically compares two classical credit risk assessment models, that is, the accounting information - based logit model and the market information - based option - theoretic edf model on china ’ s listed companies ’ credit risk ; then this thesis discusses the application of new basel accord ’ s formula in the credit risk assessment of china ’ s listed companies. finally this thesis has drawn the following conclusions : first, intuitively, the logit model obviously has discriminant power and the edf model seemingly has certain power too
在個體信用風險分析方面,本文首先選取了兩個典型的信用風險評估模型進行了實證研究,即實證比較基於會計信息的logit模型和基於市場信息的期權理論模型- edf模型對我國上市公司信用風險的判別能力;然後根據新巴塞爾協議中有關公式對中國上市公司信用風險評估進行了進一步的討論。Since chinese financial market has yet been shunting and developing, the methods and means of analyzing the credit risks are comparatively laggard. the credit risks of the public companies mainly are evaluated and analyzed by the qualitative ways, such as traditional static ratio analysis, etc. which cause many mistakes or errors. and there are still not many practical models which focus on the characteristics of the public companies to analyze their credit risks as well
我國金融市場尚處于轉軌和新興發展階段,信用風險評估的方法和手段較為落後,對上市公司信用風險評估分析主要採用傳統的靜態比率分析等定性方法,以至於上市公司信用風險評估經常出現錯判誤判現象,專門針對上市公司特點而進行信用風險評估的實用模型還不多見。分享友人