strategic risk 中文意思是什麼

strategic risk 解釋
戰略風險
  • strategic : adj. 1. 戰略(上)的;(戰略上)重要的。2. 為戰略計劃用的。
  • 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. This thesis mainly analyses the factors that stop liaoning traditional superior industry from developing, and introduce the innovating ideas of strategic alliance and ambidexterous manufacturing to overcome technical developing risk and applicating risk so as to improve the supporting ability of liaoning traditional superior industry

    這里從分析阻礙遼寧傳統優勢產業科技支撐能力提高的因素入手,提出建立戰略聯盟和實現敏捷製造等方面的管理創新思想,以克服技術開發與應用的風險,提高遼寧傳統優勢產業支撐能力。
  2. The dissertation focuses on the theory & mechanism research on life insurers ’ integrated risk management ( irm ). based on the realistic contexts and theoretical foundations of irm, the paper tentatively establishes the theoretical frameworks of value - based irm and sets up an irm model & its extended model with a step - by - step risk integration system including capital risk integration, asset - liability risk integration, strategic & business risk integration, risk management & risk management culture integration. the paper is organized in preface ( contexts analysis ), irm theoretical framework & irm model establishment ( chapter 1 - 3 ), and the model ’ s practical execution ( chapter 4 - 7 )

    論文基於壽險公司整合性風險管理構架進行理論與運行研究,以公司整合性風險管理產生的背景(導論)為起點,以經濟金融理論、財務理論、風險社會與風險文化理論為理論基礎(第一章) ,建立了基於價值創造的公司整合性風險管理理論體系(第二章) ,建構壽險公司整合性風險管理模型(第三章) ,並對所建模型進行擴展運用,形成了資本風險的整合管理、資產負債風險的整合管理、戰略風險與經營風險的整合管理、風險管理與風險管理文化的整合管理(第四章至第七章)的遞階式風險整合管理體系。
  3. Formalisation of a strategic planning process for banking supervision ; development of a formal risk assessment framework and quality assurance programme

    制定銀行業監管的正式策略性規劃程序制定正式的風險評估制度和品質保證計劃
  4. The comparison of the key risk in strategic alliances and mergers amp; amp; acquisition

    戰略聯盟與並購中核心風險的比較分析
  5. Wwf cares about the health of our staff and visitors and so have put into place a number of measures to reduce any possible risk of visitors coming into potential contact with the birdflu virus. these include having a disinfectant foot bath at the entrance to the reserve, locating alcohol sterilizing gel stations at strategic locations around the reserve, and keeping clean the outdoor surfaces that visitors may touch e. g. handrails

    本會非常關注職員和公眾人士的健康,並已制定一系列措施,盡可能減低訪客接觸禽流感病毒的風險,包括在保護區入口設置消毒地毯,在區內不同位置放置火酒消毒清潔劑,以及在訪客或會接觸的戶外地方如欄桿保持清潔。
  6. Cast protect add strategic place to protect with average in order to cast to plant for the foundation, different additional risk need is cast first keep different with average

    投保附加險要以投保基本險種為基礎,不同的附加險需要先投保不同的基本險。
  7. In view of the high risk in drilling new - field wildcats in frontier areas, the geological risk and strategic value should be taken into consideration besides the reliability of the prospects during selecting of the best traps to drill

    摘要根據新區預探圈閉鉆探風險高的特點,提出預探圈閉的優選評價除考慮圈閉可靠性和有效性之外,還應著重考慮圈閉的地質風險和戰略價值(簡稱含油氣概率與戰略價值評價法) 。
  8. This paper presents a study and analysis of project management organization ' s set up, progress control, quality control, safety control, capital control, bidding management and construction spot management, risk management etc. and on the basis of the study and analysis, a set of strategic plan about project management appropriate for beijing huamao center is worked out

    本文從投資方工程項目管理的角度對北京華貿中心工程項目建設管理模式、組織機構的設立、工程工期控制、質量控制、安全控制、投資控制、工程招投標管理、合同管理、信息管理、施工現場管理、竣工驗收及項目后評價管理、風險管理等方面作了較深入的研究、分析,制定出一整套適合本工程項目特點及市場定位的工程項目的建設管理策劃方案。
  9. Therefore, the risk source of regional water system can be confirmed, the risk degree at varies planning year and the strategic planning flames can be carried out in the future and realize sustainable social a nd economic development and water resource sustainable utility. thus the study on regional water resource risk management has theoretic and practical value. taking the capital circle region as the case study, the paper systemically studies the theories and methods of regional water resource risk management based on concerned specialty knowledge, such as systems engineering, probability theory, water resources and hydrology, fuzzy mathematics and compute mathematics

    本研究在繼承已有研究成果的基礎上,以首都圈(京、津地區)為例,綜合運用水資源工程、風險分析理論、系統工程、概率論、模糊數學、計算數學等相關專業知識,對區域水資源短缺風險管理的理論與方法進行了系統研究,本文特色在於對風險分析理論的系統化、實用化和理論聯系實際方面貢獻,主要研究內容涵蓋如下方面: ( 1 )對水資源風險的定義進行了詳細闡述,建立了水資源系統可靠性和風險系統框架,構建並描述了水資源風險的性能指標,對水資源系統的風險屬性和風險特性等進行了分析。
  10. Through strategic it, firms strive to deliver a better customer experience, increase customer stickiness, lower operating cost and better manage compliance and risk

    而企業亦擅用策略資訊科技,去提高顧客服務素質,進而與顧客建立長久的合作關系;同時藉此減少營運成本,更有效地施行管理及應付風險。
  11. Conclusions could be drawn out through a positive analysis of some port companies : the factors that have a positive effect on the strategic target are the rate of main business return, the velocity of the assets, while the capital structure and the rate of the increase of the increase of investment have little effect, which illuminate that the port company should focus on the main business to enhance the return of net assets, it also shows that the business of the list port companies is over - concentrated, and should be diversified to lessen the operating risk ; the companies should accelerates the turnover speed of the assets ; the appropriate structure of the assets can bring benefit to a company, but the ultimate approach to enhance the return of the net assets is to look for items with high return ; the sightless investment made the increasing speed of return lag behind the expanding speed of the capital ; and result in no scale economic benefit

    本文通過對部分港口類企業進行計量分析后發現港口企業的資本結構和投資對凈資產收益率沒有顯著的影響,而港口企業收入過分集中。針對未來財務環境發生的變化,本文從戰略財務管理的角度對南京港口集團公司提出以下建議:在投資領域,今後應以綜合物流為契機,專業化與多元化並重;適度發展集團化經營;優化資源配置,提高資產營運效率。在融資領域,要合理選擇融資渠道,降低融資成本,更多關注債務融資;確定合理的資本結構,控制負債風險,建立償債保障機制。
  12. Analysis of strategic risk management of china ' s securities company

    證券公司的風險管理與控制
  13. This paper starts with the current situation of china ' s financial computerization to grasp its developing trend, then analyzes the subsequent broad impacts on traditional financial risks and challenges to financial supervision, and at last puts forward a framework to effectively supervise financial computerizing risk and accelerate the financial development. this paper points out that, payment system modernizing, data centralizing, electronic banking applying, financial networking, and money electronicing are bound to boost financial innovation and cause fundamental changes to financial services, therefore affect strategic risk, operational risk, reputational risk, legal risk, and innovation risk greatly, which will bring about challenges to the principles, modes, measures, and contents of financial supervision

    本文研究認為,我國金融電子化將呈現電子支付體系現代化、數據高度集中化、電子銀行應用廣泛化、金融業務網路化和貨幣電子化五大趨勢,極大推動金融創新的發展,金融業務模式發生根本變革,戰略風險、操作風險、信譽風險、法律風險等出現新的重大變化,金融風險的來源、范圍、結構、復雜性和影響程度極度擴大,傳統的監管原則已不再適應金融業發展的需要,監管方式必須向非現場監管和現場檢查的有機結合轉變,原有的監管手段失效,金融監管的內容也有了更廣泛的內涵。
  14. We research the stability of the three - factor model by using chow test and research the coefficient stationary by using unit root test, and forecast the coefficient of the model using arma 、 garch model. the results show that the model is instability in the long run, most coefficient is non - stationary, and we can preferably forecast the coefficient by using the arma 、 garch model. in the process of designing strategic investment portfolios and the strategic risk budgeting prevailing in resently which in order to control investment risk, the investors generally structure their portfolios in different industries

    模型回歸系數是測度投資對象系統風險的重要指標,我們利用chow檢驗對證券收益三因素模型結構的穩定性進行了分析研究,用adf檢驗對模型的三個回歸系數的穩定性進行了實證分析,採用arma和garch模型對回歸系數的預測能力進行了研究,結果表明組合三因素模型結構不穩定,但短期比長期結構穩定性要高;大部分組合回歸系數時序穩定性較差,同時arma和garch模型對每個回歸系數時間序列進行預測顯示有較好的預測能力。
  15. Cosidering the particularity of china ' s enterprises ' s merging, in order to study easily, this text, based on the decision making procedure of merging, will divide the merging into the propety right risk - examination stage for the goal enterprise, strategic risk - strategy implementation stage, management risk - manages stage after the merging, taking the cost study as a main thread analyze the three risk stages and try to find out the method of controlling risk at last

    考慮中國企業兼并的特殊性,為了便於研究,本文基於兼并的決策程序,將兼并劃分為產權風險? ?對目標企業的審查階段、戰略風險? ?企業兼并的戰略實施階段、管理風險? ?企業兼并后的整合管理階段,將三個風險階段進行分解剖析,最後力圖找出一種風險管理的方法。
  16. I would mention in particular the strategic risk, in that venturing into a new business arena may not always be assured of success ; the operational risk, of dependence on it networks, and the associated security considerations to which i have already referred ; and any additional banking risks which may arise if internet transactions are deemed to be potentially more volatile or unpredictable, or customers less reliable, than in normal banking business

    首先是策略風險,須知進軍任何新行業市場,都不能擔保必定成功。第二是營運風險,有此風險是因為網上銀行業務需倚賴資訊科技網路,以及我剛才提過的相關保安技術。第三是比普通銀行業務更多的風險,原因是一般都認為相比于普通銀行業務,網上交易的不穩定因素較多或較難預測,或是客戶的可靠程度較低。
  17. Research on strategic risk management for group companies

    集團公司戰略風險管理的理論探討
  18. Research on strategic risk management mechanism of group corporation

    集團公司戰略風險的管理控制機制探討
  19. The paper analyzed the difference between the strategic risk management and traditional ones

    摘要主要分析了戰略風險管理與傳統企業風險管理的差異。
  20. Strategic risk management is based on the financial and competitive advantages, including the enterprise strategy and risk management, the purpose is to lower risk, to gain maximum benefit through exploring risk forward

    企業戰略風險管理是企業以財務和競爭優勢為出發點,兼容企業戰略和風險管理,其目的是使企業在市場中通過尋求風險領先來有效控制風險,從而獲取最佳的風險與收益組合。
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