風險類型 的英文怎麼說

中文拼音 [fēngxiǎnlèixíng]
風險類型 英文
types of risk
  • : 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...
  • : Ⅰ名1 (許多相似或相同的事物的綜合; 種類) class; category; kind; type 2 (姓氏) a surname Ⅱ動詞...
  • 風險 : risk; hazard; danger
  • 類型 : type; mold; form; cut類型論 theory of types; 類型語句 [計算機] type statements
  1. Geographic distribution of winter wheat yield loss risk and its classification in north china

    北方冬小麥產量災損風險類型的地理分佈
  2. Literatures indicate that logit model, logistic model, probit model, mlr, cluster model, option model, proportion risk model, and discriminant analysis are the main effective methods and models when researching the determinants of residential mortgage default risk

    通過梳理文獻發現, logit模、 logistic模、 probit模、多元線性回歸、聚、期權模和比例、判別分析是研究個人住房抵押貸款違約影響因素時採用的主要方法和模
  3. Indicators reacting to crisis phenomena are designed with the result of risk classification and reason analysis. with the help of indicators, empiristic analysis establishes the types of risks in government obligation of all counties and constitutes discriminant model and logistic model using six factors, which is derived by cluster analysis and factor analysis

    利用警情指標和警兆指標進行實證分析,確定了各區縣政府債務別,通過聚分析和因子分析得出六個主因子,建立了判別模和logistic模,給出警限。
  4. At first, this thesis analyzed some essential elements about the system of personal houe loan and make the compare to chinese and foreign system, and established the system of personal credit evaluate ; the second, the thesis discusses the investment technique and strategy of national debt in the provident fund, and established the model about how to invest the national debt ; the third, the thesis build the forecast model about fund collecting and drawing, and make use of the combination invest theories to build model of individual loan and national debt ; at last, the thesis analyses the risk ' s inside reason of house funds with the risk type, and to give out the related suggestion to funds risk. mechanism. the thesis research show me how to make use of that some models and methods in the process of haf management and make me deeply understand the house funds

    本文首先分析了個人住房貸款制度基本要素,即貸款期限、貸款利率與抵押物價值的比例、政府在個人住房貸款市場中的作用、貸款違約情況下的處置措施、個人住房貸款的流動性問題,並對中外製度作了比較,建立了個人信用評分評級體系和信用評估模,並以重慶市住房公積金為研究對象做出了住房資金個貸評估的實證研究;其次,分析了影響國債價格走勢的因素,討論了公積金國債的投資技巧和策略,並建立了基於理論的國債投資組合模;接下來,根據資產負債管理理論中的資金總庫法和資金分配法分析了公積金總體資金項目的來源和運用,並就此作了總量平衡模,對住房公積金季度累計歸集金額作了直線回歸和季節趨勢比率預測,運用投資組合理論建立了公積金個人貸款和國債投資組合的最優化模;最後,探析了住房資金的內在原因和風險類型,從資金籌集、信貸回歸、保機制、法律和政策五個方面為住房資金防範機制建設提出了相關建議。
  5. It analyses the risk type, risk cause and the feature of the stock index res. it is good for us to prepare to keep lookout it. it makes develop in full scale about the risk

    論文第三部分對股指期貨的風險類型成因及特點進行了分析,進而分析了我國推出股指期貨可能產生的特定,使我們對股指期貨的有一個全面的認識,為推出股指期貨做好防範的準備。
  6. At the same time, this paper discusses the marketing management of intermediary business of commercial banks, especially adopts the theory of relation marketing and analyses the risk types of intermediary business, discusses the risk management including how to judge and control

    其次,文章重點探討了中間業務的營銷管理,尤其是將新興的關系營銷運用於中間業務營銷之中。最後文章分析了銀行中間業務的風險類型及其判斷、控制。
  7. What types of risk does boeing management face ? how does it manage these types

    波音管理面臨的風險類型有哪些?他們如何管理的?
  8. Risks can be broken down into three risk categories ; confidentiality, integrity, and availability

    可以被分成三個風險類型;機密性,完整性和可用性。
  9. Each of the categories has different impacts on cost depending on the mission and requirements of the organization

    每種風險類型都會對取決于機構的任務和要求的費用產生影響。
  10. Each measure implemented to increase the security posture of an organization will impact each of the three risk categories ( either positively or negatively )

    為增加機構安全狀況所執行的每一種措施都會(正面或反面地)影響到這三種風險類型
  11. The paper also discusses the relationship between the price of power transmission and the risk - types of operator as well as the accident punishment in special situations

    討論輸電電價和運營商的風險類型之間的關系以及特定情況下的事故懲罰力度的確定問題。
  12. This slide presentation provides an introduction to business risk analysis and strategy, including such topics as types of risks, risk management strategies, risk assessment, and so on

    本幻燈片介紹了企業的分析和戰略,確所涉內容包括風險類型管理戰略及評估等
  13. Since construction practice is full of risks, the possible risks that usually occur, method of handling and who ( owner or contractor ) should take which risk are analyzed in this part

    第三部分對工程建設中的風險類型分配、處理等問題進行了分析,提出了一個工程管理系統( crms ) 。
  14. Because of the large amount of capital, long duration and various risk elements in the aircraft financial leasing ; the risks in it are high

    針對融資租賃項目交易金額大、交易時間長、因素復雜多變的特點,本文進行了詳細的風險類型因素分析,探討了飛機融資租賃的風險類型、各的度量方法。
  15. Firstly, the paper analyzes the type, characteristic, manifest and reason of the commercial bank ' s risk in its running. secondly, based upon the further analysis of the traditional alertness - forecasting methods, put forward the methods used in the thesis combined by fuzzy mathematics theory and back propagation nn technique, and analyze the feasibility and advantages of the application of this method into the construction of commercial bank alertness - forecasting system. thirdly, apply the method combined quantitative with qualitative analysis, as well as theoretic analysis with positive study to establish an easily operated index system of the commercial bank ' s risk and find a perfect alertness - forecasting method, furthermore, to establish an alertness - forecasting system in order to control and manage the commercial bank ' s risk

    本文首先對我國商業銀行進行了識別,深入分析了商業銀行在其運行過程中存在的風險類型、特點、表現及其致因;其次,在對傳統預警方法深入分析的基礎上,提出了本文所採用的模糊數學理論和bp神經網路技術相結合的預警方法,並分析了將本文的預警方法運用於商業銀行預警系統構建的可行性和優越性;再次,本文運用定量分析和定性分析相結合、規范分析和實證研究相結合的方法,構造出一套比較能反映商業銀行的指標體系,尋求了一種比較理想的預警方法,進而設計出商業銀行預警系統,並進行了實證分析,以達到對商業銀行進行實時監控的目的;最後,筆者對本文的研究成果進行了總結。
  16. These defenses, including both policies and technologies ( figure 1 preventative defensive measures ), have varying effects on the organization ' s risk categories ( figure 2 economic risk schematic for it systems )

    包括政策層和技術層(圖1 ,預防性的防禦措施(略) )兩者在內的這些防禦層將會對機構的風險類型產生各種不同的影響(圖2 , it系統經濟的示意圖(略) ) 。
  17. To distinguish the risk factors and the class of risk of each assessment unit in chemicals terminal, this paper conducts qualitative and quantitative analysis of dangerous characteristics of combustion, explosion and toxicity of chemicals in bulk

    對散化碼頭進行源項分析,目的是確定散化碼頭各個評價單元的因素和風險類型
  18. The fourth chapter bring forward that, as a whole, we should perfect law - systems, constitute systems of information opening, monitor state assets, go forward in proper sequence and actualize step by step to keep away and control the risks. as well as, the viewpoint that separate specific train of thoughts of keeping away and controlling for specific risk types are put forward

    第四章《國有資本減持財務的防範與控制》提出了從總體上應當完善相關的法律制度,建立信息公開制度,對國有資本進行監控,循序漸進、分步實施,以防範和控制;並針對具體的風險類型,分別提出了具體的防範與控制思路。
  19. Half year before the default was found, the default probability has high relevance with asset solvency and receivable turnover, profit earning capability and cash flow. high discriminate ratio was achieved in the models ’ actual testing

    因此,企業有可能將有利於自己而不利於銀行的虛假信息傳遞給銀行,銀行則不可能完全觀察企業的行為和根據雙方的風險類型而簽訂有效的借貸合同。
  20. The result of the analysis of the model in this article shows, the commercial banks of china would face the dilemma hi the design of restrictive covenants of consumption credit after the period of the rapid increase of consumer loans under the condition of the restrictive interest rate of consumer loans

    本文的模分析表明,在消費信貸利率限制的條件下,在消費信貸經過一段時間的高速發展后,中國商業銀行將面臨消費信貸合約設計中的困境。中國商業銀行無法根據借款人的風險類型設計出分式消費信貸合約來,所以實行單一合約,並要求較高的擔保。
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