risk avoidance 中文意思是什麼

risk avoidance 解釋
風險規避
  • 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...
  • avoidance : n. 1. 迴避,逃避。2. (牧師職位的)空缺。3. 【法律】無效;廢止。
  1. 2 this insurance covers general average and salvage charge, adjusted, or determined according to the contract of affreightment and / or the governing law and practice, incurred to avoid or in connection with the avoidance of loss from a risk covered under these clause

    2本保險承保為避免或與避免根據本保險條款承保的風險有關的損失,按照運輸合同及/或管轄法律和慣例理算或確定的共同海損和救助費用。
  2. Expounds the five main aspect of risk in national commercial bank, i. e. signal liability structure, bad loan quality, low capital efficiency, imperfect restriction on interior power, thin consciousness on risk avoidance ; summarizes five characters of the bank risks, including risk concentration, moral risk, risks caused by system structure, inequi ty between bank risks and revenues, aggrandizement trend of bank risks ; analysis eight reasons for bank risks, including proprietary ownership voidance, macroeconomic fluctuation, ineffective capita ] buffer mechanism, enterprise reasons. no synchronous fiscal investment and financial reform, incompetence law and regulation enforcement. chapter4 argues the opportunities and challenges of the financial globalization and requirement for bank risk managem ent. chapters suggests the methods for the risk management of national commercial bank

    緊接著在第三章闡述了我國國有商業銀行風險的「五大表現」 ,即負債結構單一、信貸資產質量差、資本充足率低、內部控制機制薄弱、防範風險的意識淡薄;總結了我國國有商業銀行風險的「五大特點」 ,即風險高度集中、風險人為匿藏、風險的體制性、風險與收益嚴重不對稱、風險呈繼續擴大態勢;剖析了我國國有商業銀行風險形成的「八大因素」 ,即金融產權「人格」虛設、宏觀經濟波動、資本金等緩沖機制不健全、財政、投資和金融的體制改革不配套、法律和法規不健全等。
  3. The personality of township enterprises " managers includes five factors : extraversion, conscientiousness, openness, emotional stability and agreeableness. 3. the autonomy in entrepreneurship is influenced highly by extraversion, conscientiousness and agreeableness in personality, while the conscientiousness and openness have significant influence upon the risk avoidance

    3 、個性特徵中的外向性、責任意識、相容性對創業精神中的自主性有顯著影響;而個性特徵中的責任意識、開放性對創業精神中的風險規避有顯著影響。
  4. Abstract : this paper analyses the necessity and urgency of exploitation of a marine collis ion - avoidance expert system. it specifies the thinking, scheme and the criterion of the software and makes a study of a mathematical model of risk degree

    文摘:分析了航海避碰專家系統軟體開發的必要性與緊迫性,並對整個軟體開發的思路、方法及軟體要求作了論述,同時建立了船舶避碰危險度的數學模型
  5. This will, as a result, greatly enhance our effectiveness in identifying high - risk cases for audit and investigation, thereby minimizing the risk of revenue leakage due to tax evasion and avoidance

    這樣預期可加強本局抽查的機制,使我們能更有效地識別和偵破逃稅和避稅個案,保障稅收。
  6. 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? ?風險分析。通過對威脅因素、誤差因素對飛行風險的作用,調整性能準則而進行了水平安全走廊設計、威脅迴避、垂直離地高度實時修正以及最快速航跡規劃。
  7. In the process of the system study, the knowledge in the domain of ship collision avoidance is analyzed and the collision mechanism, process and the tactic are studied firstly. and then, using the fuzzy mathematics theory, the fuzzy mathematical model of judging collision risk is built, which take into account of the factors such as ship maneuverability, visibility and so on. in addition, based on the expert system theory, a design method of ship intelligent collision avoidance expert system is put forward, and the frame of ship intelligent collision avoidance expert system is built

    在系統的研究過程中,首先對船舶避碰領域知識進行分析,並研究了船舶碰撞的原理、過程及對策;然後運用模糊數學理論,建立了一種評判碰撞危險度的模糊數學模型,該模型考慮了船舶的操縱性能、能見度等多種因素;接著根據專家系統理論,提出了一種船舶智能避碰專家系統的設計思路,並構建了一種船舶智能避碰專家系統的框架;最後以visualbasic6 . 0作為軟體開發平臺,設計了一種具有良好的可視化人機交互界面的船舶智能避碰專家系統軟體。
  8. On prevention and avoidance of internal audit risk

    淺談內部審計風險的防範與規避
  9. As an effective tool of risk - avoidance, sif has been adopted by a lot of money market in different countries

    股指期貨作為一種有效的避險工具已被大多數國家的金融市場所採用。
  10. It includes six ways : loss control, risk keep, risk avoidance, risk decentralization, risk transfer and risk use

    這六種風險處置方式包括:風險的損失控制,風險的自留,風險的迴避,風險的分散,風險的轉移和風險的利用。
  11. The enterprise ' s exchange rate risk avoidance choice under the new rmb rate forming mechanism

    新的人民幣匯率形成機制下企業規避匯率風險的選擇
  12. Safeguarded by 4 arrangements, accelerate economic and financial reforms and openness to world, create healthy financial environment. 2. bui id up interm bank risk avoidance mechanism including risk discern, risk analysis and measurement, risk control arrangements to strengthen risk management

    第四章重點分析了金融全球化對商業銀行風險的影響,指出金融全球化有利有弊,同時對商業銀行的風險管理提出了更高的要求。
  13. Economic responsibility audit and risk avoidance

    領導幹部經濟責任審計風險的特殊性及防範之我見
  14. Group decision - making for risk avoidance in software project bidding based on vprs

    的軟體項目投標風險規避群決策研究
  15. Reducing the probability and or impact of a risk to an acceptable level. risk mitigation is not risk avoidance

    將風險的發生概率和/或影響降低到一個可接受的水平。
  16. The autonomy affects highly contextual performance, while risk avoidance influences task performance. 5. there were differences to some extent between personality of township enterprises " managers and entrepreneurship

    5 、不同管理模式下鄉鎮企業經營管理者個性特徵與創業精神、創業精神與管理績效之間存在著不同程度差異。
  17. The entrepreneurship of township enterprises " managers includes two factors : autonomy and risk avoidance. the higher the risk avoidance is, the higher the risk - loss sensitivity, and the managers will tend to become more conservative

    2 、鄉鎮企業經營管理者的個性特徵包括外向性、責任意識、開放性、情緒穩定性和相容性五個因素。
  18. On the contrary, the system promotes risk avoidance by bank management and employees, simply because they do not derive tangible benefits from successful risk - taking but, disproportionately, get the blame for unsuccessful risk - taking

    相反,有關制度促使銀行管理層及雇員避免風險。原因很簡單,他們不會因為適當地承受風險而得到任何實際利益,反而若有任何錯失,則要承受嚴重的後果。
  19. Thirdly, utilizing the five measures of risk control in the risk management methods : risk avoidance and prevention, risk dispersion, risk transferring, risk compensation and risk resistance, it carries out concrete measures of risk management and presents some suggestion to venture capital investment in china. fourthly, by analyzing a case of risk management in a venture capital firm, the reasonability and practicability of the argument in the thesis is empirically verified

    第三,結合風險控制的五種方法:風險規避和預防、風險分散、風險轉移、風險補償、風險抑制,提出在風險投資中具體的控制風險的方法和風險管理措施:通過科學的評估決策程序和方法實現對風險的規避和預防,運用組合投資、聯合投資等策略分散投資風險;採用合理的分批投資方式以及恰當的和約條款達到對風險投資風險的抑制和轉移。
  20. Financial globalization, just as " an two edge weapon ". will put forword challenges and opportunities to commercial bank risks, improper globalization will exacerbate the bank risks. 2. the logic of this thesis is : concept of financial globalization ? he present risk situation of national commercial bank ? nfluence of financial globalization on bank risks ? ays and methods to risk avoidance

    首先,用四項措施做保證,加快經濟體制和金融體制改革,堅持對外開放,營造健康的金融環境;其次,建立一套包括風險的識別、分析與估量、控制、止損補償在內的過渡時期銀行風險防範機制,切實加強國有商業銀行的風險管理。
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