decision under risk 中文意思是什麼

decision under risk 解釋
風險情況下的決策
  • decision : n. 1. 決定。2. 判決。3. 決議。4. 決心;決斷。5. 【美拳】(根據分數而不是根據擊倒對方做出的)裁判。
  • under : adv 1 在下,從屬著,服從著。 bring under get under keep under 等〈參看各該動詞條〉。 The ship wen...
  • 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. Algorithm study on models of multiple objective risk decision under principal and subordinate hierarch decision - making

    主從遞階多目標風險決策模型構建及演算法研究
  2. The new ways that solve multiple objectives decision making under risk into probability permanent type : decision making diagram method, matrix analysis method, multiple objectives markov method, the shortest distance method, successive type variation multiple objectives decision making under risk method and fuzzy analysis decision making method. 3. the new modes that solve multiple objectives decision making under risk into probability interval type and uncharted type : weighted method and sorting method 4 the new repent average value criterion that handle multiple objectives decision making under risk into probability uncharted type and generalizing the criterions that have been used into one objective decision making under probability into uncharted type to multiple objectives decision making under probability into uncharted type. 5. giving the error analyses method and decision result regulating method that been used into multiple objectives decision making under risk

    2 、探討了『決策圖法』 、 『矩陣法』 、 『多目標馬爾科夫法』 、 『最小距離法』 、 『連續型變量的多目標風險型決策法』和『模糊分析決策法』等解決概率固定型的多目標風險型決策的新方法。 3 、探討了『加權法』 、 『排序法』兩種解決概率區間型和未知型的多目標風險型決策的方法; 4 、在概率未知型的多目標風險型決策中改進了『後悔值準則』 ,提出了『後悔均值準則』 ;並將單目標概率未知型風險型決策的準則推廣運用到多目標概率未知型的風險型決策中去; 5 、探討了多目標風險型決策方法誤差分析及決策結果值調整的方法。
  3. 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,訣策者傾向于風險追尋,降低拒絕閾限,錄用人數多一些。
  4. The purpose is to give an introduction to some of the main subjects in this field : risk sharing, moral hazard, adverse selection ( signaling, screening ), mechanism design, decision making under uncertainty

    目的是要為這個領域的一些主題作一個介紹:風險分攤、道德危機、逆選擇(導因、審查) 、機構設計、在不確定性下的決策。
  5. The innovation direction of financial management explains the development tendency of chinese financial management under the knowledge economy circumstances. the objective innovation direction of financial management is the structure that revolves around the broad financial resources allocation ; the conception innovation direction of financial management includes the management finance conception based on human management finance conception of united competition and corporation management finance conception of risk, management finance conception of information and management finance conception of knowledge ; the method innovation direction of financial management embodies the trends about network, reproduction, system, project and strategy ; the institution innovation direction of financial management which is based on the financial administration structure highlights that the interest - related participates in decision - making, the holder of maximum human capital possesses the most important financial administration rights, financial administration is adjusted according to opportunities, the knowledge and economics experts participate in the financial administration ; the content innovation direction of financial management insists admitting the knowledge capital into financial management scope admitting the capital operation into financial management system, building the interest - related financial management system, reforming the method and content of cost management, valuing the promotion of risk management level

    財務管理目標的創新方向是以泛財務資源配置為核心的體系結構;財務管理觀念創新的方向包括與知識經濟緊密相連人文化理財觀念、競爭與合作想統一的理財觀念、信息理財觀念和知識化理財觀念;財務管理方法創新的方向體現了網路化、再生化、系統化、工程化和戰略化的趨勢;財務管理制度創新的方向以財務治理結構為基礎,強調利益相關者共同參與財務治理、人力資本最大者擁有最重要的財務治理權、財務相機治理、以及知識與信息專家參與財務治理;財務管理內容創新的方向考慮將知識資本納入財務學體系、建立利益相關者財務學體系、改革成本管理的內容和方法、重視風險管理水平的提高。
  6. It is the time that they have to consider multiple decision making objectives, balance each aspect benefit and be confronted with international and inland assorted risks when highest class constitute strategic layout or countermeasure, medial class handle things of economic construction or produce management and lowest class arrange routine work, so which is to say that system and comprehensive concept must be brought hi our decision making, wherefore research into multiple objectives decision making under risk possess full realistic meaning

    在這樣的環境中,無論是高層制定戰略規劃或對策,中層對于經濟建設或生產經營的管理,以及基層具體工作安排等,都不得不權衡各方利益,考慮多種決策目標,同時,還不得不面臨國際、國內各種各樣的風險,也就是說必須要有一種系統、全面的觀念來做出決策。因此,多目標風險型決策的研究具有十分現實的意義。
  7. On the strength of the square loss function, this part also defines the vector loss function and matrix loss function, and discusses the bayesian risk decision solutions about random vector parameter and random matrix parameter under these loss functions respectively. secondly, the bayesian inference theory about single equation model is explored

    在單參數平方損失函數的基礎上,定義了向量損失函數,利用向量化運算元vec定義了矩陣損失函數,並討論了這兩類損失函數下隨機向量參數和隨機矩陣參數的貝葉斯風險決策解。
  8. This thesis has investigated the perception of risk in types of situation and their decision making. then, investigated the relationship of the personality and decision making under risk

    本文系統研究了中小企業經理對各種經營決策風險的認知與評估,並對經理人格特質與風險決策進行了相關研究。
  9. A new look at framing effects : the neural basis of decision - making under risk

    從對框架效應的分析看風險決策的神經基礎
  10. Decision - making under risk

    風險下的決策
  11. Under this theory frame, a series of indexes with effectiveness has been formed while analyzing through the datum point and financial risk factor. the article structures basic theories of administrative system of fiscal risk with characteristic of our country frame tentatively, including early warning index basket, financial content, such as risk planning, macro risk decision, the management information system of the risk, etc.

    在這個理論框架下,藉助基準點和財政風險因素分析中形成的一系列具有可操作性的指標,文章初步構建了具有我國特色的財政風險管理系統基本框架,包括財政風險預警指標籃、宏觀風險決策、風險管理信息系統等內容。
  12. This paper has value in instructing the project investor / manager in how to establish a risk management configuration and making decision under risk condition in the implement stage of construction project

    本文對指導工程項目的投資者管理者如何在項目實施階段建立一個風險管理體系並正確作出風險決策有一定的參考價值。
  13. Research and teaching : asset pricing, theory of decision under risk and uncertainty, investment, and risk management

    主要研究和教學領域:資產定價、不確定性下的決策理論、投資和風險管理等。
  14. Decision - making model incorporating risk behavior under project risk management

    行為決策模型及分析
  15. Based on the analysis on the characteristics of the sudden water pollution accidents in detail, such as the uncertainty of space - time, the polluted range and the suffered objects, the features of different fiver basins and the unclearness of the main subjects to respond urgently, the concept on the construction of the early - warning and emergency response system is made under the consideration of three parts - the early warning mechanism, the emergency mechanism and the computer - aiding decision system ; for which the hazard resources distinguishing, risk appraisal and the emergency response principles with the relevant organization, classification, monitoring, treatment method etc. are described, and then the requirements of both the processing of the accident simulation and the database design are analyzed as well

    在深入分析突發性水污染事故時空、污染范圍和污染對象的不確定性、流域性、應急主體不明確等特點的基礎上,構建突發性水污染事故預警應急系統體系,認為該系統應包括預警機制、應急機制和計算機輔助決策系統三個部分,並詳細闡述危險源辨識、風險評價、應急原則、應急組織機構、應急分級、應急監測、應急處理方法等內容,同時分析了事故模擬的流程和數據庫設計的要求。
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