types of investment risk 中文意思是什麼

types of investment risk 解釋
投資風險種類
  • types : 分類
  • of : OF =Old French 古法語。
  • investment : n. 1. 投資;投資額;(時間、資本等的)投入;投入資金的東西。2. 授職(儀式);授權。3. 包圍,封鎖。4. 覆蓋。
  • 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. By means of the numerical simulation and considering many factors synthetically such as steel weight of the platform structure, the construction program, investment costs and geotechnical risk, the contrastive analysis has been made to the types of the platform structures with skirt piles and main pile, and finally it is determined in use skirt piles for weizhou 11 - 1 platform

    通過數值模擬計算,綜合考慮平臺結構用鋼量、施工方案、投資費用和工程地質風險等多種因素,對平臺採用裙樁結構型式和主樁結構型式兩種方案進行了對比分析,最終確定潿洲11 - 1平臺採用裙樁結構型式。
  2. Chapter four control the stock investment risk, aims at the different types of risks discussed above, has constructed a systematic scheme to control the investment risk effectively. firstly, it utilizes basic analytic approach, the technological analytic approach and index system of the risk measurement to control individual stock ' s unsystematic risks in minimum ; secondly, it uses modern investment theory to dispel the unsystematic risks through combination investment. finally, our country should introduce the stock price index futures and so on in good time, utilize stock price index futures to hedge the stock portfolio and control the systematic risks of the stock portfolio, thus can finally realize the effective systematic controls on stock investment

    第四章「證券投資風險的控制」 ,針對前面討論的不同種類的風險,構造k碩士學位論文物篇夕m引皿』 s 」 l 」 i壓引s一了個有效控制投資風險的系統方案:首先,利用基本分析法、技術分析法和風險度量指標體系,將單個證券的非系統性風險控制在最小;其次,利用現代投資理論,通過組合投資來消除非系統性風險;最後,我國應適時推出股票指數期貨等衍生余融工具,利用股指期貨對證券組合進行套期保值,就能控制證券組合的系統性風險,最終實現對證券投資風險的有效系統控制。
  3. According to modern portfolio theory, you can reduce your investment risk by creating a diversified portfolio that includes enough different types, or classes, of securities so that at least some of them may produce strong returns in any economic climate

    依照現代項目組合理論,您可以通過創建包含足夠不同的類型,或類的安全措施的多種項目組合來減小投資風險,以便至少其中一些會在任何經濟環境中產生有力的回報。
  4. In this paper, the rum problems of two types of discrete time risk models are mainly discussed. firstly, the discrete time risk model with the interest of investment and the rate of inflation is considered

    本文主要討論了兩類離散時間風險模型的破產問題:首先,對含有投資利率和通貨膨脹率的離散時間風險模型進行了研究。
分享友人