risk point 中文意思是什麼

risk point 解釋
風險點數
  • 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...
  • point : n 1 尖頭,尖端;尖頭器具;〈美國〉筆尖;接種針,雕刻針,編織針;小岬,小地角;【拳擊】下巴。2 【...
  1. To research the status of the use of shell resource in china securities market, in this paper, firstly, i interpret the shell resource from the economic point of view, and point out the important significance of the study on the shell resource ; secondly, i analyze the status of the use of shell resource in our country at present including the motivation, means, benefits and cost of buying a shell ; thirdly, the status of the use of shell resource in the securities market is positive studied in the way of statistics by taking the civil listed companies as examples, this part is the emphasis of the paper ; at last, i analyze the cause that the shell resource was not used well in our securities market, and bring forward some advice at five aspects, such as perfecting the law condition of buying a shell, building up the measures of resisting risk etc

    我們有必要對我國證券市場的殼資源利用狀況進行研究,以期對投資者的投資決策、證券市場監管的制定及殼資源利用績效的提高有所裨益。為了考察我國證券市場殼資源利用的狀況,本文首先從經濟學的角度對殼資源進行了解釋,並指出研究殼資源利用的重要意義;其次,分析了我國現階段殼資源利用的現狀,包括買殼的動機、方式、收益和成本;再次,以國內買殼上市企業為研究對象,用統計學的方法對我國證券市場殼資源利用狀況進行了實證分析,這部分是本文的重點;最後根據實證的結果,分析了我國證券市場殼資源利用不佳的原因,並從完善買殼的法律環境、增強風險防範措施等5方面提出了一些相應的建議。
  2. The first part is introduction, presenting this paper ' s structure, research background and so on ; the second part introduces some issues relating closely to risk, the tangency point between indifference utility curve and efficient frontier is the optimal portfolio ; the third part explores risk evaluation, this part begins with some risk factors affecting security ' s price and return, then analyzes the methods evaluating degree of risk, finally, introduces a more popular method of risk evaluation - - var ; the forth part expounds risk management, this part studies some risk control strategies correspond to specific risk mentioned above ; the last part put forward some advice contrapose issues existed in risk management in china

    第一部分為緒論,介紹本文的相關背景;第二部分是與風險相關的幾個問題,等效用曲線與有效邊界的切點是投資者選擇的最佳投資組合;第三部分是風險衡量,該部分首先分析了證券與股票所面臨的風險,然後對債券和股票分別介紹,最後介紹了目前比較流行的風險衡量方法? ? var方法;第四部分為企業風險管理,這里針對上文所述的風險提出相應的風險控制策略;第五部分針對目前我國風險管理中存在的問題提出了幾點建議。
  3. Defenders of basel 2 point out that the agencies are under the cosh now, but that their record in assessing the risk of default is pretty good

    巴塞爾協議2的捍衛者指出評級公司遭受批評,但是它們的評價違約風險的紀錄是非常好的。
  4. From the point of accounting disinformation, the game analysis model on audit risk is established

    摘要從會計信息失真這一角度出發,建立審計風險博弈分析模型。
  5. ( 1 ) financial risk is summed up : have analysed a researcher and is expound the financial risk and risk this of the possibility of the financial crisis takes place and stated basically to the definition of the financial risk both at home and abroad in this chapter, point out at the same time mat the financial risk has objectivity, endogeny and other natural disposition the characteristics of compatible, disguise and accumulating nature, and has observed to the present china ' s finance potential risk theory : namely scholar attempt mostly

    ( 1 )財政風險概述:本章分析了國內國外研究者對財政風險的定義,並闡明財政風險是發生財政危機的可能性的風險這一基本表述,同時指出財政風險具有客觀性、內生性與外生性並存、隱蔽性和累積性的特徵,並對當前中國財政潛在風險理論進行了評述:即學者大都試圖通過對于國債規模與結構是否合理的判斷來判別中國是否存在著財政危機。
  6. According to reality situation hi bank of china mudanjiang branch, the author goes step further to detail and perfect the alrm ' s index within the rule of the central bank and bank of china head office. from secondary banks point of view, the author applies system theory, cybernetics and linear programming theory to establish a set of the index system of the alrm of bank of china mudanjiang branch. the author refers to strengthen and perfect the internal control institution and preventative measure of risk and establish alrm ' s integrated evaluation model and examinatorial method

    論文從二級分行的角度,應用系統理論、控制論和線性規劃理論,建立了一套適合中國銀行牡丹江市分行資產負債比例管理的指標體系,提出了加強和完善中國銀行牡丹江市分行資產負債比例管理的內部監控制度和風險防範措施,建立了該行資產負債比例管理綜合評價模型及考核辦法,並對其組織機構的設計及指標的管理提出了相應建議,初步形成了一套資產負債比例管理的組織、指標管理和評價考核體系,從而使中國銀行牡丹江市分行能夠更好的管理本行的資產和負債,創造更大的效益,增強其競爭能力。
  7. Head lice are relatively common, particularly among children, and can cause itching, sometimes to the point of excoriation with risk for secondary infection

    頭虱相對更常見,特別多見于兒童,並引起騷癢,表皮抓破脫落處有時可繼發感染。
  8. This thesis attempts to have an analysis and study of the interior audit ' s functions in the basic point of fact, which also attempts to search after the hypostasis, the introversion of the service and structure of the auidt. it must be designed to the enterprise ' s flow to settle the matters of the interior audit in the luhua corporations and other corporations which have the same matters in our country. for improving interior control and risk management, this thesis makes research and design to the means and process to the system guiding and risk guiding audit using viewpoint of cybernetics and systemics into the enterprise ' s basic system and key flows ' design. for the sake of adapting new position of the audit, the auther bring forward many advices and plans to improve it. it may have helpful for the corporation to enhance and improve their management, perfect their structure too. in this thesis, the auther point out that it is not a perfect structure without interior audit. do more things about audit to the management of corporations and do less to financial affairs

    本文作者以內部審計的實務為基點,對內部審計的職能作了進一步的分析和研究,針對魯化企業內部審計中存在的主要問題,並結合國內大中型企業內部審計中揭露出的普遍問題,進行了分析、研究和流程設計;對內部審計的本質、服務上的「內向性」以及組織形式進行了探索;從企業基礎制度重建和關鍵流程設計的角度,以完善內部控制和改善風險管理為目標,運用控制論與系統論的觀點,對系統導向、風險導向內部審計、經濟責任審計等的方法和程序進行了研究與設計;並為適應內部審計新形勢、完善內部審計建設提出了自己的政策建議,以期對改善企業管理、加強內部控制、完善公司治理結構有所借鑒。
  9. Excessive sedation, to the point of immobilizing the patient, enhances the risk of venous thrombosis.

    鎮靜作用過大到使患者不能活動的程度時,會增大靜脈血栓形成的危險。
  10. Following the research route of mend with study and development with creation, give the definition of risk and the methods of risk identifying, divide the risk attitude into risk loving, risk neutralism and risk avoiding, point out the importance of enhancing the risk consciousness for lightning hazard, and summarize the mechanisms of lightning hazard the theories and methods of risk assessment for lightning hazard. provide a set of risk assessment parameters for lightning hazard, which includes lightning times n, hazard probability p, hazard loss d, hazard risk r and protection efficiency e, and give the definition, decisive factor, value method and value scope of each parameter. establish a risk assessment model for lightning hazard which includes lightning hazard base module, lightning hazard probability module, lightning hazard loss module, lightning hazard accepted risk module, lightning protection cost module, correcting coefficient module, lightning hazard risk module, and lightning protection class and efficiency module

    遵循借鑒改造和發展創新的研究思路,給出了風險的定義和風險識別的方法,將風險態度分為風險喜好型、風險中庸型和風險逃避型,指出了提高雷電災害風險意識的重要性,總結了雷電災害的作用機制和雷電災害風險評估的理論與方法;提供了包括雷擊次數n 、雷災概率p 、雷災損失d 、雷災風險r和雷電防護級別與防護效率e等5類基本參數的雷電災害風險評估參數體系,並給出了各個參數的定義、參數的決定因素和取值方法以及取值范圍;設計了包括雷電災害基礎模塊、雷電災害概率評估模塊、雷電災害損失評估模塊、雷電災害允許風險評估模塊、雷電防護成本評估模塊、校正系數模塊、雷電災害風險評估模塊、雷電防護級別與效率分析模塊等8個模塊的雷電災害風險評估模型,評估模型以iec61662的評估模型為基本參考,以雷災損失d為中心,把雷災風險劃分為經濟雷災風險r _ e和人身雷災風險r _ l ,並對r _ e和r _ l分開單獨處理。
  11. New use of atypical antipsychotics was associated with a statistically significant increase in the risk for death at 30 days compared with nonuse in both the community - dwelling cohort ( adjusted hazard ratio, 1. 31 [ 95 % ci, 1. 02 to 1. 70 ] ; absolute risk difference, 0. 2 percentage point ) and the long - term care cohort ( adjusted hazard ratio, 1. 55 [ ci, 1. 15 to 2. 07 ] ; absolute risk difference, 1. 2 percentage points )

    非標準抗精神病藥物的新用法與未運用抗精神病藥物中用藥30日後的死亡風險性統計學上的顯著增加相關,其中在社區居住隊列組別(校正危害比為1 . 31 , 95 %可信區間為1 . 02至1 . 70 ,絕對風險差異為0 . 2百分點)中和在長期護理組(校正危害比為1 . 55 , 95 %可信區間為1 . 15至2 . 07 ,絕對風險差異為1 . 2百分點)中都如此。
  12. Putting forward to the clear and definite concept and principia in proseminar ", the sustained land management evaluation in developing country ", and " the sustained land management ( using ) hi 21st century " point out : the land using is to combine the technique, policy with the social economic principle and the incorporated behavior of circumstance relation, in order to attain the keeping or increasing production or services at the same time, lowering the production risk, keeping nature resources potential and preventing the soil degeneration, making its have the economic vitality and accepted by the social

    土地資源的可持續利用是可持續發展的基礎,沒有土地資源的可持續利用就不可能有可持續發展。 1991年9月在泰國清邁舉行的「發展中國家持續土地管理評價」研討會和1993年6月在加拿大舉行的「 21世紀持續土地管理(利用) 」國際會議上提出了持續土地利用的明確概念和基本原則:指出可持續土地利用是將技術、政策和旨在使社會經濟原理與環境關系一體化行為結合起來,以便同時達到保持或提高生產或服務,降低生產風險,保持自然資源潛力和防止土壤退化,使其具有經濟活力和被社會所接受。
  13. So at this point, it probably makes sense to reprovision these resources to the risk management application or other grid applications that might run around the clock

    因此現在來說,我們可以將這些資源重新提供給風險管理應用程序,或者當時可能運行的其他網格應用程序。
  14. The study outcomes of this part point out smaller capital scale, inferior making - profit capability, lacking of risk controlling and creative capability is the main causes of bad core capability of chinese stockjobbers. this part include chapter 1

    指出資本規模較小、盈利能力較弱、盈利模式單一、風險控制能力較差、缺乏創新能力是我國證券公司核心競爭力差的主要體現,而我國證券市場由管制到競爭的轉軌更是加劇了這種表現。
  15. The appraisal takes the ecology material, the environment material, chemistry material, the toxicology material as the foundation, through the project analysis, the source strong analysis sets a target the pollutant, distinguishes its hazardous nature, the probability, the degree, the scope which the computation risk occurs and so on, the choice appraisal end point, the use appraisal model forecast goal pollutant exposed density, the analysis risk source to the acceptor the harm degree, carries on the risk attribute

    評價以生態資料、環境資料、化學資料、毒理學資料為基礎,通過工程分析、源強分析,確定目標污染物,鑒別其危害性,計算風險發生的概率、程度、范圍等,選擇評價終點,利用評價模型預測目標污染物的暴露濃度,分析風險源對受體的危害程度,進行風險表徵。
  16. Finally, the author advices to perfect culture environment for economic growth and culture risk - averse from the point of culture creativity, and expounds the relation between culture and economic growth, analyses the economical behaviour of culture in resource exhausted cities, points out the culture choice for the economic renaissance in resource exhausted cities - to reinforce the demonstrative function of the economic growth point, and to raise measures for culture creativity

    最後,從文化創新的角度去完善經濟增長點培育過程中的文化環境,規避文化風險,闡述了文化與經濟發展的關系,分析了資源枯竭地區文化經濟行為,指出資源枯竭型地區經濟復興的文化選擇? ?加強經濟增長點生成的示範導向,提出培育創新文化措施。
  17. A major issue is whether the metabolic syndrome is a valid indicator of cardiovascular risk. i would have to agree with the ada and the easd on this point

    一個主要的爭議是代謝綜合征是否是心血管疾病風險的一個有價值的預測指標。在這一點上我不得不同意美國糖尿病協會和歐洲糖尿病研究協會的觀點。
  18. From the point of risk - averse, the conclusion of this paper enriches the studies of investment environment construction for the education of point of economic growth in resource exhausted areas, and is of realistic directory signification for the education of point of economic growth in resource exhausted areas

    本論文的研究從風險規避角度豐富了資源枯竭地區經濟增長點培育過程中的投資環境建設問題,對于資源枯竭地區政府培育新的經濟增長點具有現實指導意義。
  19. The objective of thesis is to find out the exact risk factors and establish a kind of evaluated system that could fit chinese markets. based on foreign researching, this thesis presents a point of view that external risk factors should get more weight in the evaluated system through expert survey

    國外和港臺地區的研究市場與大陸有較大差異,其市場環境和結構較為完善,在具體的風險評價體系構建中可以較少的關注宏觀因素,同時其公司治理結構相對大陸的國有企業等也較為簡單。
  20. In chapter 1, the western audit theories on risk factors about fraudulent behaviors, the " gone " theory and the iceberg structure theory are introduced and analyzed ; further, the achievements of the researches on the fraudulent behaviors by the american independent audit scholars and professionals are systematically discussed, including the development process of the usa ’ s researches on the fraudulent audit, the researches on the process of the usa ’ s audit standards setting, the researches on the sticking point analysis of these behaviors in the usa ’ s stock market and so on. the above introductions and analyses are made in order to explore the rule of the fraudulent behaviors, the environments and the characteristics of the behaviors in the western capital markets, especially the recently important accounting fraud cases in the usa ’ s

    在第一章「國外審計界對舞弊行為的理論研究」中,介紹並分析了西方審計理論界揭示舞弊行為的舞弊風險因素理論、 「 gone 」理論、冰山結構理論;系統說明了美國獨立審計界對舞弊行為的研究成果,包括美國獨立審計界對舞弊行為研究的發展過程、美國舞弊審計準則的制度變遷狀況及美國證券市場中舞弊行為的癥結分析;探索了西方資本市場中舞弊行為的規律性、環境線索和舞弊行為特徵,並對美國近期發生的重大會計舞弊案件進行了剖析。
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