道德風險問題 的英文怎麼說

中文拼音 [dàofēngxiǎnwèn]
道德風險問題 英文
moral hazard problem
  • : Ⅰ名詞(道路) road; way; route; path 2 (水流通過的途徑) channel; course 3 (方向; 方法; 道理) ...
  • : 名詞1 (道德; 品行; 政治品質) virtue; morals; moral character 2 (心意) heart; mind 3 (恩惠)k...
  • : 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...
  • : Ⅰ動詞1 (請人解答) ask; inquire 2 (詢問; 慰問) question; ask about [after]; inquire about [aft...
  • : Ⅰ名詞1. (題目) subject; title; topic; problem 2. (姓氏) a surname Ⅱ動詞(寫上) inscribe; write
  • 道德 : (人們共同生活及其行為的準則和規范) morals; morality; ethics
  • 風險 : risk; hazard; danger
  • 問題 : 1 (需回答的題目) question; problem 2 (需研究解決的矛盾等) problem; matter 3 (事故或意外) tr...
  1. Moreover, it sheds light on the free rider problems. then it proposes some suggestions to solve these issues respectively, such as signaling mechanism, screen mechanism and incentive mechanism. it is proved that good reputation and broad network can improve the efficiency of syndication

    然後針對這些提出了相應的解決措施:如通過信息傳遞機制、激勵機制解決聯合投資中存在的逆向選擇與道德風險問題,並證明良好的聲譽和廣泛的關系網路可以提高聯合投資的效率。
  2. Through incorporating the effect of the brand advertising and the local promoted advertising jointed investment on demand into the perishable product ' s supply chain, the game models linking the brand advertising and the local promoted advertising jointed investment and order policy are established under uncertainty environment, the paper points out the moral hazard in their advertising investment and proposing the method of eliminating incoordination in perishable product ' s supply chain

    摘要通過將品牌廣告和地方促銷廣告聯合投入對需求的影響引入易逝品供應鏈,建立了需求不確定環境下品牌廣告、地方促銷廣告聯合投入和訂貨量博弈的模型,指出易逝品供應鏈中廣告投入存在道德風險問題,並給出了消除易逝品供應鏈中不協調的方法思路。
  3. Moral hazard can cause many problems which will threaten and impair the benefit of the venture capitalists seriously, for example negative work, excessive consumption on work, misusing capital, excessive investment and so on

    它將直接導致企業家的消極怠工、在職消費以及濫用資本、過度投資等,嚴重威脅和損害投資家的利益。防範和控制道德風險問題關繫到資本的安全及使用效率,也是投資家和理論界關注的對象。
  4. First, the author introduces the theory of the asymmetric information in brief. on the base of the theory and experience of insurance market in china, the author divides this asymmetric information problem into four parts, such as adverse selection and moral hazard of the insured, adverse selection and moral hazard of the insurer

    所以在下筆之初筆者簡要介紹了信息經濟學的非對稱信息理論,然後根據我國保市場的實際把我國保市場的非對稱信息分別分為來自投保方的逆選擇和道德風險問題及來自保方的逆選擇和道德風險問題
  5. Based on the cases analysis in chapter four, this paper divides the opportunism in franchising relationship into two parts : one is ex ante adverse selection and the other is ex post moral hazard. for the former, this paper suggests regulating the franchisor ’ s qualification and relevant information disclosure ; for the later, this paper suggests setting up “ reputation incentive mechanism ” and “ discredit penalty mechanism ”, or enhancing both parties ’ asset specialization

    契約前逆向選擇的治理可以通過特許方的資格審核和規范信息披露機制來實現;通過對特許雙方的博弈分析本文認為對雙方的契約后的道德風險問題的治理可以通過建立「信譽激勵機制」和「失信懲罰機制」 ,以及提高雙方合作的專用性等方式來實現。
  6. Issues on moral hazards in the operation of local public finance in china

    論我國地方財政運行中的道德風險問題
  7. Research on moral hazard of investment manager in venture capital company

    創業投資公司投資經理的道德風險問題研究
  8. Meanwhile, the moral hazard produced by the system itself has also drawn people ' s attention

    同時,這一制度運用所可能引發的道德風險問題也引起了人們的關注。
  9. Unlike the pure moral hazard models, we assume that individual entrepreneurial abilities also affect team output

    與純道德風險問題不同,我們設想企業中的個人能力也會影響團隊的產出。
  10. Through the introduction of the information economics theory, this part analyzes the low efficiency problem aroused by adverse selection and moral hazard

    引入信息經濟學理論,對房地產市場逆向選擇道德風險問題導致的市場低效率進行剖析。
  11. Trust - type investment fund in securities is a typical system that separates ownership from managing rights, in which existing high risk of trustees " morality

    信託制證券投資基金是典型的所有權與經營權分離的制度,存在突出的代理人道德風險問題
  12. In reality, output of the whole team is observable, while every member ’ s effort isn ’ t, which causes double - side moral hazard in teamwork

    在實際中,團隊生產產出是可觀測的,而各自的努力程度卻是很難觀測衡量的,這就導致了團隊生產中的雙向道德風險問題
  13. However, it is also recognized that deposit insurance schemes are not without their drawbacks. in particular, the risk of moral hazard is one that needs to be taken seriously

    然而我們亦知,存款保制度並非沒有弊處,其中的道德風險問題更需要慎重考慮。
  14. The thesis considers that the application of the encouragement - restraint mechanism is able to solve the problems of moral hazard which are caused by asymmetric information

    激勵約束機制可以有效地解決信息不對稱帶來的道德風險問題,以上具體策略正是這一思想的體現。
  15. Secondly, moral hazard in teamwork is expounded, which is then proved to be existed by different quantificational methods, thus exploring its effect factors

    其次,文章對團隊生產中道德風險問題進行了徹底的闡述,用不同的定量方法證明了它的存在性,並探索了與其相關的可能因素。
  16. The investment funds and its performance has arrested the the public concerns and the scientific fields recently. as a new investment method and system, the investment funds is of benefit to reducing the transaction costs and improving the investment, so that it can get a better expected performance by specialist s control and portfolio selection. however, its real performance is affected by many facts including the managers " ability to investment manage, the system and the finance market condition, etc. especially, if the finance market and the profolio funds market are not sound, its expected performance will be restricted owing to the manager ' s poor ability and the insider control which can not well overcome the " adverse selection and moral hazard " leading to a bad stimulating system and the bad finance market condition

    從理論角度來說,投資基金作為一種新型的投資方式和制度,有利於降低交易成本,並通過專家理財、組合投資以獲取理想績效。但投資基金的實際績效受諸多因素的影響,如制度因素、基金經理人的技術因素以及外部環境因素等。在金融證券市場不完善和基金發展還不成熟的情況下,投資基金「內部人控制」較為嚴重,激勵機制不完善,不能有效地克服「逆向選擇」和「,從而使得投資基金的理論績效沒有得到充分的顯現。
  17. This article has following achievements : ( 1 ) simulating the relationship between investor and venture capitalist as a model ; ( 2 ) putting forward explicit incentive mechanism and implicit incentive mechanism ; ( 3 ) applying quantitative method to make analysis ; ( 4 ) applying kmrw model to establish an implicit incentive model direct against venture capitalist ; ( 5 ) applying fuzzy mathematics to design a appraisal system which can appraise the ability of venture capitalist

    ( 3 )用定量方法證明投資家相對業績比較、分階段投資等顯性激勵機制對投資家具有很好的激勵作用。 ( 4 )本文運用kmrw聲譽模型的原理建立了一個對投資家的隱性激勵模型,該模型以完善的投資經理市場為基礎,依靠「時間」來解決投資家的道德風險問題。 ( 5 )採用模糊數學方法設計出一套對投資家能力的評價體系。
  18. During the constant exploration and study on bank crises, more and more economists have realized that moral hazard problems have severely endangered the healthy operation of the bank institution and financial system and founded some financial crisis models to show how moral hazard functions and does severe damage to the whole financial field. chapter one introduces moral hazard ' s basic theories including its name source, implications, causes and effects on financi al system, which shows that government guarantee and incomplete information leads to the moral hazard problem between principals and agents

    在對銀行危機產生根源的不斷探索和研究中,越來越多的經濟學家意識到道德風險問題己嚴重危及到銀行機構和金融系統的健康運行,著名經濟學家如克魯格曼和柯斯提等還建立了在不同背景下的金融危機模型,以說明是如何在政府、銀行、企業和投資者之間產生作用,從而給整個金融領域帶來災難性後果的。
  19. The article looks at the issue from the point of enterprise theory, explaining why an accounting firm should be a partnership, making a comparative analysis of the three kinds of partnership form as general partnership, limited liability partnership ( llp ) and limited partnership, and also discussing the moral hazard problem associated with llp

    本文從企業理論的角度闡釋了會計師事務所應進行合夥,對普通合夥、有限責任合夥、有限合夥三種合夥形式進行了比較;並就有限責任合夥下的道德風險問題進行了探討。
  20. On the framework of trust - agent theory, this article uses the theory of information disequilibrium to qualitatively analyze the problem of moral hazard between teachers and universit, and construct teaching game model between teachers and university on the basis of qualitative analysis, and then puts forward several advices on the reform of teaching incentive mechanism

    摘要在委託代理論的框架下,運用不對稱信息理論對高校與教師之間存在的道德風險問題進行定性分析,在此基礎上構建高校與教師之間的教學博弈模型,並根據其結論對教學激勵機制改革提出幾點建議。
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