根據風評 的英文怎麼說
中文拼音 [gēnjùfēngpíng]
根據風評
英文
reputedly- 根 : Ⅰ名詞1 (植物的營養器官) root (of a plant) 2 (比喻子孫後代) descendants; posterity 3 [數學] ...
- 據 : 據Ⅰ動詞1 (占據) occupy; seize 2 (憑借; 依靠) rely on; depend on Ⅱ介詞(按照; 依據) according...
- 風 : Ⅰ名詞1 (空氣流動) wind 2 (風氣; 風俗) practice; atmosphere; custom 3 (景象) scene; view 4 ...
- 評 : Ⅰ動詞1. (評論; 批評) comment; criticize; review 2. (評判) judge; appraise Ⅱ名詞(姓氏) a surname
- 根據 : 1 (依據; 按照) on the basis of; according to; in the light of; in line [accordance] with; based...
- 風評 : rumor
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In this paper, it provides seven ways for construction enterprises when they carry out project management to distinguish risk. then use expert survey or administrative levels analysis to analyses risk and give out the different dealing way to different risk. at the last, they choose a suitable way to deal with the risk
風險的識別是進行風險管理的基礎,本文提供了七種方法對建築企業進行工程項目運作時可能遇到的風險進行識別;然後對識別出的風險編制風險調查表,用專家打分法或層次分析法進行風險的評估和分析;針對評估出的結果對項目進行風險規劃,提出不同的風險應該採取的風險處置方法及可以採取的措施;之後根據不同的情況,從六種風險處置方式中選擇適合的方式進行風險處理。Based on the theory of safety evaluation and risk assessment, this paper first ascertained the evaluating indices affecting ships ' seaworthiness and classified them according to their importance degrees by experts investigation, and used judgment matrix method to calculate weight of the evaluating indices, and then got the membership function by fuzzy collection theory, and finally established the mathematical model to realize a fuzzy comprehensive evaluation to ships ' seaworthiness
摘要根據安全評價理論、風險評估理論,通過專家調查方式確定影響船舶適航性的評價指標並按照重要程度進行分類,然後採用判斷矩陣法計算評價指標的權重,運用模糊集合理論確定隸屬函數,進而建立數學模型,實現對船舶適航性的模糊綜合評價。Finally, according to the practical requirement of classification management to credit risk management, it uses k - means clustering method to cluster the evaluation result, and then get the credit ranks the small and middle enterprises belong to
最後,根據對信用風險管理應實行分級管理的實踐要求,利用k -平均聚類劃分法對信用風險評估結果進行聚類劃分,從而得到各中小企業所屬于的信用風險等級。So this paper tries to solve these problems through the following work : first, we select some index to valuate the close - end funds, including income, stability, risk in falling, stocks selecting ability and tuning ability, based on overseas funds valuation methods and domestic market condition ; second, we analyze the stability of all index and form two styles index, which are f and other bad stability index ; then, we form the valuation system, including two - layers index, which are p and factor score ; last, we use this system to analyze the close - end funds which came into existence before 2000 and get the final comparative result. the main intention of this paper is to create the system of valuating close - end funds in our country, which is comprehensive and objective. in my valuation system involving the period from 2000 to 2003, the funds as a whole performs inferior to the stock index
首先,對國外理論界經典成型的、以及前沿的基金評價指標和評價方法進行了詳細的分析,並結合我國的基金市場狀況,選取了可以衡量基金收益、穩定性、下跌風險、股票選擇能力、時機選擇能力等量化指標;其次,根據我國基金分析的需要,採用了諸如基金交易價格、換手率等二級市場表現指標;然後,對這些指標進行了時間延續性分析,檢測這些指標在運用到我國基金市場時能否有效預測基金未來表現,從而形成了兩類指標:時間延續性很好的s _ p和時間延續性不好的其它所有指標;再次,在以上工作的基礎上形成了由兩個層面的指標構成的我國證券投資基金評價體系: s _ p和因子分析中綜合因子得分值;最後,選取了我國2000年1月1日前成立的23隻封閉式基金作為樣本,並同時採用上證a股與深成a股兩個基準組合進行了3年樣本期的實證分析,得出了最終的比較性評價結果。The first step, set a suit of index system for evaluation, taken all the risks through the construction and running process of logistics projects into account, and number the indexes by experts investigation. introduce an example and judge the risk levels by a team of experts, then evaluate the whole risk level of the project by fuzzy mathematics comprehensive judgment and get the result. the second step, analysis the economic risk qualitatively, forecast the profit of the certain logistics project, to find out the economic risk of the project by risk compensation way
本文根據大型物流項目投資大、風險高、專業性強的特點,將風險評估應用於物流項目,將物流項目的風險評估分為兩個層次:第一層次,充分考慮了物流項目投資建設及營運過程中的各種風險因素,建立了一套適用於物流項目的風險綜合評價指標體系,採取專家調查法對各因素權重賦值,並通過專家評審委員會對某一物流項目實例中各因素的風險程度進行判斷,採用模糊綜合評判法對該項目整體的風險程度進行訐估;第二層次,結合項目整體風險程度訐估的結果,對物流項目投資建設的收益狀況進行預測,採用風險報酬率法對具體的物流項目投資方案進行經濟風險分析,對該項目的經濟風險進行定量分析。According to orthogonal design and sensory investigated, this study explored the key points like protect color and stabilizer compounding
以山藥和還原乳為主要原料,採用正交實驗和感官評定,根據原料特點和產品風格,針對護色、穩定劑配方比等工藝難點進行研究。At first, this thesis analyzed some essential elements about the system of personal houe loan and make the compare to chinese and foreign system, and established the system of personal credit evaluate ; the second, the thesis discusses the investment technique and strategy of national debt in the provident fund, and established the model about how to invest the national debt ; the third, the thesis build the forecast model about fund collecting and drawing, and make use of the combination invest theories to build model of individual loan and national debt ; at last, the thesis analyses the risk ' s inside reason of house funds with the risk type, and to give out the related suggestion to funds risk. mechanism. the thesis research show me how to make use of that some models and methods in the process of haf management and make me deeply understand the house funds
本文首先分析了個人住房貸款制度基本要素,即貸款期限、貸款利率與抵押物價值的比例、政府在個人住房貸款市場中的作用、貸款違約情況下的處置措施、個人住房貸款的流動性問題,並對中外製度作了比較,建立了個人信用評分評級體系和信用評估模型,並以重慶市住房公積金為研究對象做出了住房資金個貸風險評估的實證研究;其次,分析了影響國債價格走勢的因素,討論了公積金國債的投資技巧和策略,並建立了基於理論的國債投資組合模型;接下來,根據資產負債管理理論中的資金總庫法和資金分配法分析了公積金總體資金項目的來源和運用,並就此作了總量平衡模型,對住房公積金季度累計歸集金額作了直線回歸和季節趨勢比率預測,運用投資組合理論建立了公積金個人貸款和國債投資組合的最優化模型;最後,探析了住房資金風險的內在原因和風險類型,從資金籌集風險、信貸回歸風險、保險機制、法律風險和政策風險五個方面為住房資金風險防範機制建設提出了相關建議。They can then, if they do not have more time for it, assign the rest as homework for those responsible for risk management in their organisations, with a requirement that they make an assessment of how the risk management systems of their organisations compare with the 47 recommendations and guiding principles in the report
若他們沒有時間再細閱報告的其他部分,可以指派機構內負責風險管理的同事讀畢整份報告,並要求這些同事根據報告提出的47項建議與指導原則,來評估機構的風險管理制度。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) 。Based on the theory of hazardous resources in safety system engineering and applying the relevant principles in environment risk assessment, this paper makes a comprehensive assessment of environment risk on terminals of liquid chemicals in bulk
本文以安全系統工程中的危險源理論為理論基礎,根據環境風險評價的程序,對散裝液體化學品碼頭區域環境風險水平進行了綜合評價。Researchers have also advocated assessing health risks within ethnic groups based on inherited variations in just one dna base pair
研究人員也主張,僅僅根據一個dna堿基對的遺傳變異,就可以評估不同種族的健康風險。And then, it especially introduces the theoretical basis of pert predicted method and the technology of monte - carlo simulation, it ascertain the random variables of the model by analysing the uncertainty factors of economic effect index. and it brings forward random npv model in the light of basic npv model. using the theory of expected utility to evaluate the risk of project by the probability distribution of project ' s npv
通過分析影響項目經濟效益指標的不確定性因素,確定了模型的隨機變量;根據基本凈現值模型提出了隨機凈現值模型;通過項目凈現值的概率分佈運用期望效用理論對項目的風險進行評價。Soil water condition is calculated by watsat model, its result ( suff ) is input into ales. the soil water condition is sufficient for maize in most of handan, suff value is between 0. 8 and 1. 0
根據邯鄲地區1 25萬soter土壤土地數據庫和ales土地適宜性評價模型原理,建立了基於水分滿足程度、土壤侵蝕風險、土壤肥力指標的邯鄲地區夏玉米適宜性決策樹模型。It forms the basis of risk communication and risk management in a risk - based food safety control model
在以風險為本的食物安全管制模式中,風險傳達和風險處理是根據風險評估來進行。Based on the results of the wind tunnel test, the response of the structure and the wind pressure distribution of different position are gotten. the evaluation of the safety and the comfortable extent under the wind vibration are achieved
根據風洞試驗結果得到結構不同部位的風壓分佈以及結構在風載下的響應,確定對結構安全度的評估,實現風振下結構舒適度的驗算。In 2002, professor ronen proposed a new concept ? financial statement insurance. under financial statement insurance system, listed companies no longer hire accounting firms to conduct financial statement audit, but rather purchase a kind of insurance ? financial statement insurance from insurance companies. these insurance companies then will audit the listed companies and decide the insurance fee and insurance rate according to risk assessment. additionally, loses to investors, which are caused by fraudulent or inadequate statement, should be afforded by the insurance company
在財務報表保險制度中,上市公司不再直接聘請注冊會計師對財務報表進行審計,而是向保險公司投保財務報表保險,保險公司聘請注冊會計師對所投保的上市公司進行審計,根據風險評估結果決定承保金額和保險費率,對因為財務報表的不實陳述或漏報給投資者造成的損失,由保險公司負責向投資者進行賠償。The paper attempted to introduce real options theory & method to the investment appraisal of venture capital. on the basis of properties of venture capital such as high profit with high risks as well as many stage of capital investment, the multi - stage compound real options model was build to appraise the investment decision of venture capital
論文嘗試把實物期權的理論方法引入風險投資的決策評價之中,根據風險投資項目的高風險、高收益性以及分階段資金注入的特點,首先證明了風險投資的實物期權特性,闡明了實物期權理論對于風險投資決策評價的適用性。There are two levels of restriction based on the risk - based approach in the new schedule 4
修訂草案附表四載列的限制,根據風險評估方法分為兩級。Accoding to its risk exposures in all sorts of real estate insurance and relevant insurance clauses, the insurable interest is oriented to the land or to the buildings on land under different circumstances. correspondingly, we should apply various valuation approaches to the caculation of insurance value and insurance indemnity
根據風險因素所起的作用,不動產保險不同保險條款中,可保利益有時指向地上建築物,有時指向土地,相應地,保險價值的評估和保險補償也要適用不同的方法。Venture capital has great effects on the project, so a two - stage evaluation model is advanced. it is reasonable to use different ways to evaluate different indexes
在此基礎上,根據風險投資對風險項目的巨大影響,提出了風險投資項目評價的兩階段評價模型。分享友人