規避投資風險 的英文怎麼說

中文拼音 [guītóufēngxiǎn]
規避投資風險 英文
avoid investment risk
  • : Ⅰ名詞1 (畫圓形的工具) instrument for drawing circles 2 (規則; 成例) rule; regulation 3 [機械...
  • : 動詞1. (躲開;迴避) avoid; evade; dodge; seek shelter; shun; flee 2. (防止; 避免) prevent; keep away; repel
  • : Ⅰ名詞1 (錢財; 費用) money; wealth; expenses 2 (資質) intelligence; endowment 3 (資格) quali...
  • : Ⅰ名詞1 (空氣流動) wind 2 (風氣; 風俗) practice; atmosphere; custom 3 (景象) scene; view 4 ...
  • : Ⅰ名詞1 (險惡不容易通過的地方) a place difficult of access; narrow pass; defile 2 (危險) dange...
  • 規避 : (設法躲避) evade; dodge; avoid; set around; escapism
  • 風險 : risk; hazard; danger
  1. This is the innovation of the paper, and i think it ' s helpful for the house agents to foster an idea of investment risk. also, the basic measures may help them to apply relevant theories and methods to the investment risk analyses to find ways which can minimize the risk and result in the expected investment return

    這對房地產開發商樹立房地產意識,正確運用相關理論和方法對進行分析,找到或者是將減小到最低限度的方法,從而達到開發商所期望的報酬,將會起到十分重要的參考作用。
  2. Improving competibility of radial tire enterprises

    規避投資風險提高子午線輪胎企業競爭力
  3. Comparing with the basic financial instruments, the derivative financial instruments have the peculiarities as followed ( l ) the derivative financial instruments are depended on the basic financial instruments ; ( 2 ) the value of the derivative financial instruments showes an obvious fluctuation ; ( 3 ) the business of the derivative financial instruments attributes go credit business, which has leverage ; ( 4 ) using the derivative financial instruments can elude the risks in a certain extent ; ( 5 ) the derivative financial instruments have very supernal risks ; ( 6 ) the conformation of the derivative financial instruments is very complex, which is difficult to understand to common investors ; ( 7 ) the business of the derivative financial instruments showes dummy ; ( 8 ) the business of the derivative financial instruments showes uncertainty

    與基本金融工具相比,衍生金融工具的特點主要表現在: ( 1 )衍生金融工具依存於基本金融工具; ( 2 )衍生金融工具的價值具有明顯的波動性; ( 3 )衍生金融工具的交易屬于信用交易,具有杠桿作用; ( 4 )利用衍生金融工具可以在一定程度上; ( 5 )衍生金融工具具有極高的性; ( 6 )衍生金融工具的構造靈活復雜,難以為一般者理解; ( 7 )衍生金融工具具有虛擬性; ( 8 )衍生金融工具交易具有不確定性。
  4. In this article, firstly the background of the textile trade conflicts within sino - us or sino - euro are introduced, thus learn that how to discern and dodge the foreign trade risks, how to choose the appropriate investment projects have already become one of the most important questions for exporting companies on foreign trade affairs well - known as high investment and high risk. so the main text makes a risk analysis qualitatively and quantitatively on a textile - exporting trading company from three angles of statistic 、 game theory and portfolio theory, which is the main content that we studied. firstly, the statistic article adopts data of the transaction closing price of the textile clothing index in shenzhen stock exchange at the end of each quarter as well as several other kinds of data reflecting the macro - economic changes, performs an empirical analysis of these data according to the theory of co - integration test 、 granger cause test and impulse response function of time series in economitric, and learn that the impact to ti is more obvious by the economic index reflecting local commodity price level and economic prosperity degree home and abroad, as well as the impact degree and the time lag degree, and knows the macro - economic risks faced by textile business enterprises ; after that by the game theory angle we analyze exactly the managing risks faced by one textile export corporation named beauty. from the game expansion chart the system arrangement between censor ways by exportation goal countries and exporting strategies by the exporting enterprises has been analyzed. involving the benefit assignment between them both the limited rounds and infinite rounds negotiations of cooperation games have been studied, and then country responsibility and the enterprise managing risks on foreign trade affairs and so on have been analyzed exactly ; in order to realize the investment multiplication in the certain degree to disperse the risk, the

    本文首先介紹了中美、中歐紡織品貿易爭端的來龍去脈,由此可知在涉外貿易這種以高入、高著稱的行業里,如何甄別和外貿、如何選擇合適的項目已經成為外貿企業的首要問題。因此,正文分別從統計學、博弈論和組合三種角度對涉外紡織品貿易公司進行了定性和定量的分析,這也是本文的主要研究內容。首先,統計學篇選取了深圳證券交易所行業分類指數?紡織服裝指數( ti )每一季度末的交易收盤價和若干種反映宏觀經濟變化的指標,利用計量經濟學中時間序列的協整檢驗、 granger因果檢驗和脈沖反應函數等理論做實證分析,從而得知反映國內物價水平和國內外經濟景氣程度的經濟指標對紡織板塊上市值的沖擊比較明顯,且可知沖擊程度和時滯度,進而分析出涉外紡織企業所面臨的宏觀經濟;接著,從博弈論的角度具體分析一家紡織品出口公司( beauty )的外貿活動所面臨的各種經營,該篇從博弈擴展圖入手,分析了出口目的國審查方式與本企業出口策略之間的制度安排;並圍繞雙方的利益分配,研究了有限回合和無限回合合作談判博弈,然後具體論述了國家責任和企業涉外經營等問題;在一定程度上為了實現多元化來分散的目的,組合篇從經典的markowitz模型著手,在一些特定條件的限制下,給出了一個相應的組合模型。
  5. Secondly, aiming at the shortage of the present study on this problem, this thesis try to make some creative breaks : explain the connotative definition of intermediate business in systematically to benefit this kind of problem to further study ; study the problems of risk aversion and prevention with it ' s development ; evaluate the market risk, the credit risk, investment risk etc. ; try to establish a valid system to evaluate the risk of intermediate business. the main method we used in this thesis to evaluate the risk of intermediate business is var ( value in risk ). at last, study to take some measures which will match the real state of our country to prevent the risk of intermediate business, which will do some good to intermediate business in china " s commercial bank

    其次,針對已有研究中的不足和此類問題的研究現狀,本論文力求創新與突破的是:比較系統地對商業銀行中間業務進行界定和研究其發展策略,有利於對此類問題的進一步深化和擴展;從商業銀行中間業務不斷發展的角度來研究和防範等問題,評估中間業務面臨的市場、信用和管理等一系列,嘗試建立有效防範中間業務的評估體系,本文主要運用var法來評估中間業務的市場;探討符合我國國情的商業銀行中間業務防範措施,以期對我國商業銀行中間業務的發展有所裨益。
  6. After that, a lot of research works were made in the vc ' s investment decision combined with many practical cases from the investment area to the investment composition. and the thinking structure of how to establish the investment strategy of a vc company has been found. avoid the risks which the vc faced effectively is the main purpose here

    並在此基礎上運用評價的定性與定量理論分析相結合的方法,結合大量實際案例,以「公司應有效所面臨的」為基本出發點,從理念、組合到結構等方面進行了深入而細致的研究;提出了公司建立自己的戰略的方法。
  7. The paper analyzed the status of chinese foreign exchange reserves investment at present, and then put forward suggestions for improving reserves investment returns, such as discriminating investment function from the management ; constructing efficient mechanism ; setting up investment benchmark and limitation, evading and manipulating risks ; optimizing the currency and assets compounding ; expanding invest channel ; absorbing more person with ability in international finance market and perfecting relevant laws etc

    本文分析了我國外匯儲備基金增值的現狀,從區分管理功能和功能,組建高效基金運營模式;設定基準和限額,控制和規避投資風險;優化外匯儲備的貨幣結構和產結構,拓寬渠道;加快培養吸納國際金融市場操作人才,完善有關法等幾個方面提出了改進外匯儲備基金增值的對策。
  8. From the point of characters of the life insurance funds, part ivinquires into how to set up scientific and reasonable and efficient investing tactics, so as to evade hazard of investment and increase the investing profits

    第四部分從壽金的性質這一角度出發探討如何制定科學、合理、高效的策略,以達到規避投資風險,提高收益的目的。
  9. Merger and acquisition ( m & a ) is a high - risk and high - return business. many companies hope to transfer the industry crisis, avoid the investment risk, solve the trouble of debts, decrease the cost of labor and expand the company ' s scale by m & a

    企業並購是一項高與高利潤並存的商業行為,許多企業希望通過並購達到轉嫁產業危機,規避投資風險,化解企業債務,降低勞動力成本,擴張企業模之目的。
  10. It selects " technical and economic evaluation of thin - type spunbond nonwoven project " as the graduation thesis, namely it wants through its own research to realize suggested scheme, effectively avoids investment risk and brings the project profit into full play, in the meantime, it comprehensively utilizes the studied theory to approach the new way and new thinking for technical and economic evaluation of the invested project so as to provide a complete feasible way to prove the succeeding project

    通過對薄型紡粘非織造布項目的技術經濟評價,實現推薦方案,有效的規避投資風險,發揮項目效益的目的;同時綜合運用所學過的理論,探討進行項目技術經濟評價新方法新思路,為公司后續項目的論證提供一套切實可行的辦法。薄型紡粘非織造布項目技術經濟評價主要研究工作如下。
  11. Therefore, a timely introduction of the stock index futures is necessary for meeting the requirements of the mass investors and the development of china ' s securities market. the third chapter expounds the selection of index of china ' s stock index futures

    這說明中國的金融市場適時的推出股票指數期貨是十分必要的,從而滿足廣大市場的要求,促進中國證券市場的健康發展,以及增強中國證券市場的國際競爭力。
  12. To elude the systemic risk, stock index futures can be used in the stock portfolio of pension found

    為了系統,可以用股票指數期貨對養老保基金的股票組合進行套期保值。
  13. However, human resources are unstable owing to fierce competition of human resources by organizations and dynamical change of organization. the study of human resource investment risks have become the focus of organizations because of its high risks

    然而,組織間對人才的激烈爭奪及組織的動態變化,使人力源成為極不穩定的流動源,致使人力成為極大的活動,人力亦成為當今各種類型組織所關注的重大問題。
  14. In order to avoid the investment risks, the technical and economical evaluation of the project is very necessary

    該項目,項目的技術經濟可行性分析是非常重要的。
  15. Ubs said the index, called the ubs - gwi, will allow investors most affected by the uncertainty of climate change to hedge their exposure to weather and to diversify their portfolios with an alternative asset class

    瑞士銀行表示,此名為ubs - gwi的指數可以使受天氣的不確定性影響的天氣,同時以相關產類別將組合多元化。
  16. The risk aversion strategy analysis of portfolio investment

    組合策略分析
  17. This text take evade insurance capital listed risk, improve investment efficiency of investment as cui - in points, study china insurance industry situation, insurance capital listed risk and risk of investment of china insurance enterprise, indicate that it is necessity trend for insurance capital, but china capital market is not mature, it is weak for them to burn up the risk

    本文以金入市,提高保金的效率為切入點,分析研究了中國保業的現狀,保金入市的及我國保公司存在的后,指出保金入市是必然趨勢,但中國本市場不完善,對的化解能力弱。
  18. 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,結合控制的五種方法:和預防、分散、轉移、補償、抑制,提出在中具體的控制的方法和管理措施:通過科學的評估決策程序和方法實現對和預防,運用組合、聯合等策略分散;採用合理的分批方式以及恰當的和約條款達到對的抑制和轉移。
  19. In thes paper, we set up a risk quantiative appraisal system for the scientific risk management of the real estate invesbent whih is based on the probability theory, mathematial statistics and fmancial anaiysis theorythis system developes the application of the probability theory and mathematical statishcs to the risk appraisal on the base of current risk appraisal methods. what ' s more, in orde to filfulthe need of prachcal application, we create a set of risk - fmance index models in whih we analyze five kinds of twortant risk in the real estate investinen from their orighs, such as the general price fluctuation risk, the markt risk, the interest rate risk, the operation risk and the decision risk. ih the system, standard deviation of the npv ( net present value ) is uesed as the quantitative index of the singe risks and the whole risk. in addition, we connect the system with risk avoiding tactics in the risk managemen of a proect. all these provide a decision basis for risk management

    本文應用概率論、數理統計、財務分析等理論為房地產的科學管理建立了一套定量評價系統。該系統是在現有的評價方法的基礎上,將概率論和數理統計的理論在評價中的應用進一步深化。並結合房地產的實際,從形成的原因出發,針對其中影響較大的幾類像利率、物價、行業、經營、決策,建立了一套- - -財務指標評價模型,運用凈現值的標準差這一指標將房地產所面臨的個體和整體定量化,同時與項目管理中的策略有機地結合在一起,為房地產管理提供了決策的依據。
  20. The author proposes that economic growth should be cultured by the evasion of risks that investors ca n ' t bear, and by setting up a risks diversification mechanism for investment operation, and that the setting up of areas creativity system is a effective way to promote the development of risk investment and economic

    文中提出要從超過主體承擔能力的的角度去培育經濟增長點,確立運行過程中的分散轉移機制,指出建立區域創新系統是促進發展和經濟增長點培育的有效途徑。
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