風險迴避 的英文怎麼說

中文拼音 [fēngxiǎnhuí]
風險迴避 英文
risk avoidance
  • : 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...
  • : 動詞1. (躲開;迴避) avoid; evade; dodge; seek shelter; shun; flee 2. (防止; 避免) prevent; keep away; repel
  • 風險 : risk; hazard; danger
  1. The apbf institution has business ability and policy information advantages in censoring, so the loan policy may have " inductive effect " on commercial financial organs ; ( 3 ) agriculture and rural economy are confronted with many puzzles and challenges, and the poor - quality condition of our agriculture has not changed for a long time. it can be explained that we have not made full use of our economic and financial instruments and that the scarcity of finances has been in such a high level. combined with policy and financing, apbf is the most suitable choice for government to protect agriculture ; ( 4 ) developing apbf is in need of deepening of the reform of financial system

    究其原因,外部在於農村經濟體制改革滯后、農村金融體制改革反復不定、對農業扶持和保護的力度不夠;內部在於制度上的缺陷所致:一是缺乏管理和運營的法律制度;二是在於對農業政策性金融的經營成果的計算和組織管理比較困難;三是由於農業政策性金融要代替商業金融對存在外部性的農業進行投資,這種業務在中國本來就是商業金融盡力的困難工作;四是特殊的政策性制度設計導致農業政策性金融信貸資產大;五是自主經營權落實不夠。
  2. Risk management of commercial bank is to defend, shun, scatter or transfer the risk in the business process through such behaviors like risk recognizing, risk evaluation, risk dealt etc. in which way to reduce or shun the economic loss and protect the security of the business capital

    商業銀行管理是商業銀行通過識別、估計、處理等方法,預防、、分散或轉移經營中的,從而減少或免經濟損失,保證經營資金安全的行為。
  3. This paper presents a wider research field - risk analysis. through the study of the effects that threat factors and error factors impact on the flight risk and adjusting performance rules, the horizontal safe corridor, threat avoidance, vertical altitude real - time modification and the fastest trajectory programming are progressed

    總結前人在該方面的研究成果,提出一個更加廣義的研究角度? ?分析。通過對威脅因素、誤差因素對飛行的作用,調整性能準則而進行了水平安全走廊設計、威脅、垂直離地高度實時修正以及最快速航跡規劃。
  4. During the whole growth period, especia1ly the tum of beginning boce undertaking, the private enterprise is facing the essential prob1ems of adininistrate danger and administrate control, and, it becomes the most focused research topic on how to better the administrate job

    民營企業在整個成長過程中,尤其是二次創業之時,面臨不可的管理和管理控制問題。如何改善經營管理工作成為企業最為關注的研究課題。
  5. But while the policy address points at new opportunities, it also instils unavoidable risks. while it shows great vision in many areas, it also evades one or two critical issues

    施政方針條理分明,建議鉅細無遺,當中契機顯露,但也隱藏,有進取遠見,亦不無對重要問題的態度。
  6. The results suggested that decision in stage two be more consistent than that of stage one. framing effect was partly supported in the sense that interviewers under recommendation framing were risk seeking and used higher rejection threshold and accepted less applicants than under the rejection framing with risk avoiding implication

    推薦和淘汰分別有得益和損失含義,推薦框架下訣策者傾向于風險迴避,提高拒絕閾限,導致錄用人數少一些,淘汰框架下,訣策者傾向于追尋,降低拒絕閾限,錄用人數多一些。
  7. It includes six ways : loss control, risk keep, risk avoidance, risk decentralization, risk transfer and risk use

    這六種處置方式包括:的損失控制,的自留,的分散,的轉移和的利用。
  8. This paper used both positive and normative analysis methods, and also used both qualitative and quantitative analysis methods on consumption credit risk, at the same time, used both case analysis and comprehensive inducement methods. the conclusion of this research as follows : 1. consumption credit risk objectively exists

    通過對消費信貸、以及消費信貸理論的認識和運用,指出消費信貸是客觀存在的,企圖消滅,是不現實的,只有積極的認識、控制,將消費貸款降到最低程度,才能實現商業銀行的經營目標。
  9. The initial independent directors should at least be subject to approval if chosen by the management company, and arguably even selection, by the regulatory agency, with subsequent independent directors generally chosen by the independent directors already in office again, subject to regulatory agency approval except in the rare instance in which shareholders determine to remove an existing independent director and select a new one

    所以投資者在馬科維茨定義上的理性是指他們是風險迴避型的在此基礎上,夏普sharpe , 1964林特納lintner , 1965和莫辛mossin , 1966將emh和馬科維茨的資產組合結合起來,以資本資產模型命名,建立了一個以一般均衡框架中的理性預期為基礎的投資者行為模型capm 。
  10. The broad spread of losses makes them easier to digest, but also spreads financial nervousness and risk aversion

    雖然損失的廣泛傳播使它們容易被消化,但也會大量傳播金融恐慌和風險迴避
  11. Risk resolution has four basic forms including risk assumption, risk reduction, risk diversion and risk evasion

    應對包括自留、降低、轉移和風險迴避四種基本形式。
  12. 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

    論述了應對措施:風險迴避轉移、自留、控制、利用的原理在房地產開發中的應用。
  13. That risk aversion may find surprising victims

    這種風險迴避會發現意外的受害者。
  14. Study on a new risk avertion model of generators incorporate based on swing optiongs contract

    一種新的基於擺動期權合約的發電商風險迴避模型研究
  15. Otherwise the principal will incur a certain loss, and the loss increases as the risk and the agent ' s risk - aversion increase

    否則所有者將蒙受一定的損失,並且這種損失隨著以及經理對風險迴避程度的增加而增加。
  16. Behavior finance is based on the suspicion of the hypothesis about rational prospect, risk evasion and maximum utility in the modern classical financial theory

    摘要行為金融學是在質疑經典金融理論關于投資者具有理性預期、風險迴避和效用最大化的行為特徵的前提假設中產生的。
  17. All the stakeholders of dairy product industrialization are common in pursuing the maximum of profit and minimum of risks, but have conflicts in the interests such as the transaction prices and avoiding risks

    參與奶業產業化的各主體都有追求利潤最大化和最小化的共同理性,但在交易價格、風險迴避等方面又存在利益關繫上的沖突。
  18. However, in our country many enterprise decision - makers are lack of knowledge in investment risks and they ignore those risks and pay little attention to this problem, investment decision - making mistakes happen frequently. those mistakes bring losses of risk and opportunity to our businesses

    而我國許多企業決策者對缺乏認識,無視的情況普遍存在,因而屢屢導致投資決策失誤,或者給企業帶來損失,或者給企業帶來機會損失。
  19. The on - hand merchandise operator carries on in the futures market to hedging, can beforehand to own management profit have a basic estimate, therefore the value to contain in the futures market quoted price to the market rational analysis factor, only in the rational analysis foundation, can make the decision - making which avoids to the risk, and is advantageous to the realization of price discovery function

    現貨經營者在期貨市場上進行套期保值交易的時候,會事先對自己的經營利潤有一個基本估計,所以套期保值者在期貨市場上的報價包含著對市場的理性分析因素,只有在理性分析的基礎上,才能夠做出對風險迴避的決策,並且有利於期貨市場的價格發現功能的實現。
  20. According to the existing and importance of investing risk of real estate development, the strategies to prevent and control are pointed out in this article, including lighting risk, prevention risk, shifting risk, evading risk, self - keeping risk and taking reserving measures. and at management angle eight concrete measures to prevent and control are put forward

    鑒于房地產開發投資的客觀存在及其對房地產開發活動的重要影響,文中提出了房地產開發因素的防範和控制策略,主要包括減輕、預防、轉移、自留和採取后備措施六種方法,並從管理的角度提出八項具體的防範與控制措施。
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