conditional risk 中文意思是什麼

conditional risk 解釋
條件風險
  • conditional : adj 1 帶有條件的,有限制的;視…而定的。2 【語法】條件的,假設的。3 引起條件反射的。n 【語法】條件...
  • 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. 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、次序安排、條件創造、風險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。
  2. Under this mechanism, the delivery of a currency in a fx trade is conditional upon the delivery of the other currency in the trade, thus reducing the risk of non - delivery of any currency through real time settlement in the same time zone

    在外匯交易同步交收機制下,一宗外匯交易的其中一種貨幣必須與另一種貨幣同步交付,透過在相同時區內進行即時交收,以減低其中任何一種貨幣未能交付的風險。
  3. The risk of loss in leveraged foreign currency trading can be substantial. customers may sustain losses in excess of their margin deposits. placing conditional orders, such as stop - loss orders will not necessarily limit losses to the intended amounts

    杠桿式外匯買賣的虧損風險可以十分重大,客戶所蒙受的虧損可能超過其按金款額,即使客戶定下限價盤,例如止蝕盤,亦未必可以將虧損局限於原先設想的數額,市場情況可能使這些限價盤無法執行。
  4. In this paper, we first set up the concept of the ideal conditional profit value, proved the ideal conditional profit value is a constant in any risk decision problem, and set up the relationship between conditional profit and conditional loss value on the basis of above the concept and conclusion

    摘要首先給出了理想條件收益值的概念,證明了一個風險決策問題的理想條件收益值是一個定數,並給出了條件收益值與條件損失值的關系。
  5. We find that fitness of returns on stocks to non - normal stable distributions in china stock market is very good by fitness test ; study measurements of return and risk of a portfolio conditional on non - normal stable distributions and put forward mean - scale parameter model ; find that mean - scale parameter model can explain asset allocation puzzle by empirical analysis

    通過擬合優度檢驗發現我國的股票收益率與非正態穩定分佈的擬合效果非常好;研究了非正態穩定分佈條件下投資組合收益和風險的度量,建立了均值尺度參數投資組合模型;通過實證分析發現均值尺度參數模型能夠解釋資產配置之謎。
  6. We are uncertain if the issue is purely a matter of professional standard, and we should like to know the extent of the risk, and the complexity of the conditional fee structure

    對于有關議題是否純屬專業標準事宜,本局無法肯定,但本局須認識有關風險的情況,以及按條件收費結構的復雜性。
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