bear risk 中文意思是什麼

bear risk 解釋
承擔風險
  • bear : vt 1 支,支持;背,負擔,負載,負荷;承擔(責任等)。2 攜帶;運,運走〈除成語外,現多用 carry 〉...
  • risk : n 1 風險,危險;冒險。2 【保險】(損失的)風險(率);保險金額;被保險人,被保險物。vt 冒…的危險...
  1. After the soviet union collapsed, so did the brown bear population of the kamchatka peninsula. in this untamed frontier, poaching keeps the bears at risk

    蘇聯解體以後,堪察加半島的棕熊數量也出現了驟降。在這塊蠻荒的邊疆地帶,偷獵讓棕熊處於一個危險的境地。
  2. Bear in mind also that the outstanding notional stock of derivatives has soared to more than $ 1 / 2 quadrillion over this horizon, representing an extra $ 1. 7 million haystack in which to search for the poisoned needle of mathematically - abstruse, systemic risk for each and every, readily - valued, new ounce of metal brought laboriously up from the stygian gloom and into the broad light of day

    還有一點也要引起重視,衍生品市場的名義凈持倉已增加到了500萬億美金以上,這相當于在價值170萬美元的乾草堆中尋找每一根針鼻那麼大的金子,也就是不辭辛勞、苦苦搜索那每一盎司新開采出來的黃金,這些玩意兒被人們從黑暗的地獄中找出來,現如今終于來到光天化日之下。
  3. International goods business risk transfer system major objective is to need to ascertain the problem being not that the goods being caused by fault by interested party is damaged, whom the risk of loss comes to bear it by

    摘要國際貨物買賣風險轉移制度的主要目的是要確定非由當事人過錯所致的貨物毀損、滅失的風險由誰來承擔的問題。
  4. Article 143 risk allocation in case of delayed delivery where the subject matter was not delivered at the prescribed time due to any reason attributable to the buyer, the buyer shall bear the risk of damage to or loss of the subject matter as from the date of breach

    第一百四十三條因買受人的原因致使標的物不能按照約定的期限交付的,買受人應當自違反約定之日起承擔標的物毀損、滅失的風險。
  5. Therefore, the company will bear a risk if any of these banks becomes insolvent

    所以,該公司將承擔任何這些銀行破產的風險。
  6. The sensitivity anaiysis showed that the project was sensitive to the sales. and the break - even analysis showed that the project could bear risk to some extend

    2年,對銷售收入最為敏感,盈虧平衡點較低,具有一定的抗風險能力。
  7. Therefore investors bear not only the high market risk and operation risk but also the high policy risk and the violation risk of property rights

    投資者在承擔較高的市場風險與經營風險的同時,也承擔了新興市場中較多的政策風險與侵權風險。
  8. Some enterprise does not understand partially the concept for claim, or evidence incorrect insufficient and claim program, have lost claim opportunity, completely by it self, bear the risk that should be by construction enterprise undertaken not, enterprise have suffered unnecessary loss

    摘要部分企業由於對索賠的理念不清楚,可以索賠的機會掌握不好,或是由於證據不足和索賠程序不對,喪失了索賠機會,將本不該由施工企業承擔的風險完全由自身承受,企業道受了不必要的損失。
  9. Insurance risk increases, and didn ' t insurant fulfill announcement obligation what to kind of law consequence you can bear likely

    保險危險增加,而被保險人沒有履行通知義務會有可能承擔什麼樣的法律後果?
  10. If the insured fails to fulfill the obligation of notice stipulated in the preceding paragraph, the insurer shall bear no obligation for indemnity of the insured event which occurs due to the increased risk to the subject matter of the insurance

    被保險人未履行前款規定的通知義務的,因保險標的危險程度增加而發生的保險事故,保險人不承擔賠償責任。
  11. The legal impact that seaborne medium happening includes all sorts of contract concerns, tort relation and the other law concern that cause because of maritime and special risk, basically show carrier, actual carrier is the same as consignor, consignee or between the passenger, bear procrastinate to just be the same as fang zhi be pullinged, underwriter with the relation between insurant

    海上運輸中發生的法律關系包括各種合同關系、侵權關系及因海上非凡風險而導致的其他法律關系,主要指承運人、實際承運人同托運人、收貨人或者旅客之間,承拖方同被拖方之間,保險人同被保險人之間的關系。
  12. Besides we have to bear the risk of fluctuation in exchange rate in these five years

    此外,在這五年中,我們還得冒貨幣兌換率浮動的危險。
  13. Want to notice dispersive investment, pay attention to product selection and risk to bear ability and photograph of target of conduct financial transactions match, the choice actors or actress beautiful fund manages the product of the company, the choice enters city opportunity

    要注重分散投資,注重產品選擇與風險承受能力和理財目標相匹配,選擇優秀基金治理公司的產品,選擇入市時機。
  14. The accumulation of these contradictions not only make the low efficiency of the fund distribution, and the banks have to bear up the risks of fiscal fund finally due to the confusional use between the two kinds of funds, but also have the serious problems : fiscal risk due to the scarcity of fund becomes the origination of the bank risk ; however, according to our country fiscal characters, the fiscal risk must be the final burdener of bank risk

    這種矛盾的積累不僅造成了社會資金配置的低效率和不規范的交叉使用? ?銀行資金財政化,更為嚴重的後果便是:由財政資金的短缺而形成的財政風險成為銀行風險的始作俑者;然而由於我國財政自身的特點,它又終將成為銀行風險的最後承擔者。
  15. But it shrewdly exploited the warning : “ in a culture that emphasised individual responsibility, smokers would bear the blame for wilful risk - taking, ” notes mr brandt

    但精明剝削警告說: "這種文化強調個人責任,吸煙者將承擔故意冒險, "債券主席勃蘭特。
  16. To meet the ever increasing demand of energy, nuclear power generation provides an answer to the continuous growth in power requirements. while enjoying the energy from the nuclear power stations, we have to bear the risk of the unlikely event of a nuclear accident

    人們對能源的需求不斷增加,核能發電是解決能源需求日增的其中一個方法。但在享用核電站的電力時,我們也要承受萬一發生核事故的風險。
  17. Based on internal rate of return as dynamic index of financial evaluation, the authors quantitatively analyse the critical point of investment inflation for a project, which can be explained as follows. assuming that the project is in a definite time limit during which the internal rate of retum should not be less than minimun attractive rate of return ( marr ), an analysis is made on the critical value of allowable maximum inflation of investment cost. similarly, assuming that the project is in a definite investment, an analysis is made on the critical point of allowable maximum delay of time limit for the project. by critical analysis of inflation of investment and delay of time limit for a project, an investigation can be made on the capacity for a project to bear the risk of investment inflation and time limit delay ; and then a scientific basis can be offered for arranging invesetment and drawing up schedule of construetion

    根據建設項目財務評價的動態評價指標? ?內部收益率,定量地分析建設項目的投資膨脹臨界點.假設在工期一定情況下,研究分析項目的內部收益率應該至少等於國家規定的行業基準收益率時,其允許投資費用的最大膨脹臨界值.類似於投資膨脹臨界分析,假設在項目投資一定情況下,得到允許建設工期的最大膨脹臨界點.通過投資與工期膨脹臨界分析,可以考察投資項目承受投資增加和工期拖延的風險能力,為合理安排投資和編制施工進度提供科學依據
  18. The man is in be able to bear or endure be hungry, cold - resistant, be able to bear or endure the respect such as pressure of be fertilized god not as good as female, the man ' s life expectancy should compare female weak point 6 years, 35 years old of the following males have hypertensive risk outclass woman, annual the whole nation has 1 million man to produce heart disease about, the heart disease of 12 % can happen on 44 years old of the following male person, 50 years old of men of half above can get the worry of prostate disease

    男人在耐饑、耐寒、耐受精神壓力等方面都不及女性,男子的預期壽命要比女性短6年, 35歲以下的男性患高血壓的風險遠高於女性,每年全國約有100萬男士發生心臟病, 12 %的心臟病會發生在44歲以下的男人身上,一半以上的50歲男人會受到前列腺疾病的困擾。
  19. Bidding consortia are now all the rage in private equity, since they allow bidders to go after bigger companies and to spread the risk they bear in any one deal

    聯合競標在私人資本運營公司中風行一時,因為這種形式允許競標者分散其單獨交易的風險以緊跟大公司。
  20. The author proposes that economic growth should be cultured by the evasion of risks that investors ca n ' t bear, and by setting up a risks diversification mechanism for investment operation, and that the setting up of areas creativity system is a effective way to promote the development of risk investment and economic

    文中提出要從規避超過投資主體承擔能力的投資風險的角度去培育經濟增長點,確立風險投資運行過程中的風險分散轉移機制,指出建立區域創新系統是促進風險投資發展和經濟增長點培育的有效途徑。
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