風險之處理 的英文怎麼說

中文拼音 [fēngxiǎnzhīchǔ]
風險之處理 英文
response to risk
  • : 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...
  • : 處名詞1 (地方) place 2 (方面; 某一點) part; point 3 (機關或機關里一個部門) department; offi...
  • : Ⅰ名詞1 (物質組織的條紋) texture; grain (in wood skin etc ) 2 (道理;事理) reason; logic; tru...
  • 風險 : risk; hazard; danger
  1. At last, the author discussed the approach of releasing the two types of risk, pointing out that it must be the only outlet to breaking the path dependence effect and pushing the institutional bifurcation. the innovativeness of the dissertation was manifested in the following facets : first, the two heterodox paradigms were concluded after a thorough and systematical retrospect ; second, a brand - new framework was established by embracing the two paradigms ; third, the concepts of risk and financial risk, especially their information and institutional contains, were expatiated under the framework ; fourth, the characteristics of china ' s economic structure and financial structure and their theoretical meanings were well concluded ; fifth, the commercial banking systematical risk and the stock market systematical risk of china were well explored and explained, and some solutions were reached

    文章創新主要體現在以下幾點:通過對既有文獻的廣泛深入了解,歸納出兩個可能對主流經濟學形成挑戰的經濟學研究範式;通過模型化模擬,探討了將兩個範式相互融會貫通、從而建立起具有更好解釋能力和預測能力的論體系的可能;在上述論體系下對與金融進行了經濟論和經濟史論層面上的闡釋;以上述闡釋為基礎,對我國經濟結構與金融結構特點進行了論歸納,對我國目前的商業銀行系統與股票市場系統進行了深入剖析,並總結出可行的化解途徑。
  2. 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

    的識別是進行的基礎,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進行識別;然後對識別出的編制調查表,用專家打分法或層次分析法進行的評估和分析;針對評估出的結果對項目進行規劃,提出不同的應該採取的置方法及可以採取的措施;後根據不同的情況,從六種置方式中選擇適合的方式進行
  3. After analyzing the character of risk, i introduce data mining method into risk management, to solve the contradiction between great capacity of data and lack of information, the methods include mathematics statistics and artificial neural network ( ann ). then, i study on the methods of risk management in risk identification, risk evaluation and risk disposal, what is advanced, fault tree analysis method based on fuzzy probability, stochastic simulation method and the topsis method based on interval number all consider the characteristic of risk. finally, i discussed the application of information system ( mis ) in project risk management, and developed a risk management information system

    論文在深入分析了特徵後,將數據挖掘技術引入,用以解決海量數據與貧乏信息間的矛盾,所採用的技術有數統計和人工神經網路( ann )兩種方法;接著,論文對識別、評價、中的方法進行了研究,所提出的基於模糊概率的故障樹技術、隨機模擬技術和基於區間數的topsis方法都體現了的特點;最後,論文對信息系統( mis )在工程項目中的應用進行了探討,開發出一個信息系統。
  4. 18th june 2003 - mr freddie lee of icrm was interviewed by south china morning post - jiu jik regarding crisis management and crp programme

    本會主席接受南華早報招職訪問,內容關于危機及核準評估策劃師課程。
  5. Preliminary studies suggest that the mutual relations of the security, economic and risk should be adjusted and made into organic unity during determination of design flood standards for construction, the concepts on the cascade exploitation of the river should be transferred from flood control to flood management, the design flood standards for construction at the initial, middle and later stages of high dam projects should be driven up gradually according to reservoir capacity

    初步研究認為,在施工洪水設計標準選擇時,應好安全、經濟和相互間的關系,以達到三者有機的統一;在梯級開發河流上應實施從施工洪水控制到施工洪水管的觀念轉移;高壩大庫工程的初期、中期、後期三個時段的施工洪水設計標準應根據庫容等指標逐步抬高。
  6. But just like other theory, because the real economic is too complexity, the " financial depth theory " is not perfect too. in order to fetch up its shortage, we do two works : the first is analyse the characters of the efficiency financial system through the dynamic economic growth model, the second is to analyse all kinds of critical theory to " financial depth theory ". based on this, finally we defined the content involved by this paper, which includes two parts : the first part is to review the characteristics and macroeconomic performance of china ; the second part is to analyze the feature and performance of china ' s financial depth based on the " financial depth theory ". for this, we will investigate the macro sects and the each measures in the same time. the third part is to analyse the financial structure and the financial risk which is the other index to measure the performance of financial depth

    但是作為經濟增長論的一個分支,金融深化論對金融與經濟增長關系的考察也有不完善。為彌補不足,在本部分內容當中,分析了動態經濟增長模型所展現的有效率金融體系所應具有的特徵以及對金融深化論的各種批評論。在總結上述分析的基礎上,最後對本研究所涉內容做了這樣的界定:一是從總體上考察我國金融深化的特點與宏觀經濟績效;二是從麥金農的金融深化實現路徑次序安排出發,對金融深化不同階段的經濟環境狀況及其經濟績效進行具體分析;三是做為對上述研究不足的補充,對金融深化與金融結構以及金融深化與金融的關系進行了考察。
  7. International trade is one of the best areas where a bank can help local companies manage the risks of trading with companies in foreign countries

    國際貿易是銀行幫助本地公司與境外公司貿易的最佳領域一。
  8. On the basis of s & t management activity law, this paper preliminary make mechanism and course analysis of s & t management ' s cause formation mechanism - evolution course - forewarning controls. this paper try to reveal in favorable circumstance the identifying and defending fault mechanism and in adverse circumstance controlling and solving fault mechanism of the s & t management activity in s & t department ' s, in order to build the forewarning management system in the s & t management organization and control the emergence signs of different fault in s & t management activity. this paper study the source, reason influence of the fault in s & t management and analyses the defending measures to s & t management faults, to make the s & t department be able to predict potential risk and crisis of s & t itself and also in s & t management, then adopt the corresponding countermeasure, guarantee that s & t management activity is on the safe orbit

    本文嘗試著從預警管的角度去分析科技管中出現的問題,將預警管思想置入科技管的框架中,在把握科技管活動規律的基礎上,初步對科技管失誤的成因機? ?發展過程? ?預警控制進行機性分析和過程性分析,力圖揭示科技管部門在科技管活動順境中的識錯防錯機和逆境中治錯化錯的機,意在科技管組織中構建預警管系統,來監控科技管活動中的各種失誤現象的發生徵兆,通過研究科技管中失誤的來源、原因、影響,探析科技管失誤的預防措施,使科技管部門能夠預見科學技術本身及科技管中潛在的和危機,從而採取相應的對策,保證科技管活動于安全的運行軌道上。
  9. The author considers that portfolio selection theory mostly study the relationship between return and risk of optimal portfolios, its essential is return maximization or risk minimization, however, asset pricing theory mostly study the relationship between return and some influence factors of assets or portfolios when the capital market is in equilibrium

    作者認為,資產組合選擇論主要研究最優資產組合的收益-關系,其實質是收益極大化或極小化;而資產組合論則主要研究資本市場于均衡狀態時,資產或資產組合的收益與各種影響因素間的關系。
  10. As china ' s capital market opens more widely to the outside world, project finance gains rapid development and plays important roles in infrastructure financing. but, it also has its demerits. long - time negotiation, a wide variety of involved parties and complicated structure lead it to being exposed to many risks and so that it is asked to implement rigid supervision and risk management during the whole financing course

    然而項目融資也有它的不足,由於項目融資時間長、規模大、參與方多、結構復雜,導致融資極大,因而項目融資要求從前期的項目可行性研究開始到項目的談判、簽約、建設施工直至運營,實行全過程的監督和嚴格的
  11. This article, regarding m & a as a kind of enterprise ' s investment behavior in property right, systematic analyze and identify of the strategy risk at preparing stage, the information risk at trade stage, and the conformity risk after m & a ; establishes the multi - factors assessing model of m & a risk of enterprise and multi - goals risk deciding model of m & a risk of enterprise based on grey systematic theory, and proposes the related treating view from the angle of analysis and management of investment project risk by adopting basic principles of investment, risk economics, project risk management, strategic management and system engineering

    本文將並購視為一種企業產權投資行為,運用投資學、經濟學、項目學、戰略管學和系統工程論的基本原,從投資項目分析及管的角度,對企業並購準備階段的戰略、並購交易階段的信息和並購後的文化整合等三個主要因素進行論與實證分析;構建企業並購多因素評價模型和基於灰色系統論的企業並購多目標決策模型;提出企業並購的分類防範建議與意見。
  12. The dynamic asset allocation model under the downside - risk - averse framework is more reasonable and scientific and thus is more applicable in practice

    作者指出,下偏厭惡模型架下的動態資產配置模型在論上具有更強的科學性和合性,在實際應用上具有諸多優越
  13. The risk management plan for alosetron should not be altered until further safety and efficacy data has been collected

    在收集到更多的安全、有效的數據前,對阿洛司瓊治療的方案不應改變。
  14. Finally, feedback the treated achievement of risk to the stages of project plans, designs and construction as reduce the uncertain risk and loss for the railway reconstruction

    最後回歸后成果到工程規劃、設計及施工階段,作為降低鐵路改建工程施工不確定及損失參考及應用。
  15. The second part ( chapter two ) : by describing the concept and characters of h the risk ; by describing the essence and the process of the risk management ; by giving a clear definite of " the asset evaluation risk ", explaining its character, inducing the views concerning the risk categories at the same time, in the last, introducing the leading actor - " risk management of asset evaluation ", and discussing its quality and its scope

    第二部分(第二章) :明確了的含義、屬性及其特徵,以此為論基礎,指出了當前有些觀點存在的不足,對資產評估的本質、特點作了清晰的界定;通過介紹的本質、內容及操作程序,說明了「資產評估」的性質及其系統層次結構,為全文的展開做了論鋪墊。
  16. So, study and discuss the credit relationship between the commercial bank and the corporation, including the information distribution, the information communication, the information identification, the information disposal and so on, is very important to control and alleviate the credit risk and support the developing of the market economy

    因此,研究和探討信貸關系中銀行與企業間的信息分佈、信息溝通、信息識別、信息機制,對于防範和化解信貸,支持市場經濟發展,具有十分重要的意義。
  17. Operational risk is one of the main risk resources, and the proportion to the risk of commercial banks is far larger than that of international level. it makes the research of measurement and management of operational risk important in china. this thesis studies a method of measuring operational risk ? the internal measurement approach, which is applied in our commercial bank

    由於我國的大多數銀行還在向真正的商業銀行轉型的過程中,內部控制機制還不完善,而操作已成為我國商業銀行的主要來源一,其在商業銀行總的比重遠大於國際同行的水平,這使得操作的度量和管的研究在我國有著重要的現實意義。
  18. It is cheaper that if consign square prepaid meeting, general consignment is tasted, because you expressed to request to consign a company to execute consigned mission really, i. e. reached each other between consign a contract ; conversely, you let consign a company to consignee place to collect fees again, once do not receive fund, he is afraid of, this risk is about oneself are carried, ask a price is so higher the compensation that also is consciousness of a kind of risk, give no cause for more criticism, want many money to be inside reasonable range only, it is lawful commonly, and i look only much 10 yuan, still calculate reasonable, should belong to limits of regular ask a price

    一般托運物品若托運方先付會較便宜,因為你確實表示了請求托運公司執行托運的任務,亦即達成了彼此間的托運合同;反,你讓托運公司到收貨人再收費,他怕一旦收不到錢,這個就要自己扛,所以要價較高也是一種意識的補償,無可厚非,只要多出的款項在合的范圍內,一般是合法的,而且我看只多了10元,還算合,應該屬于正常要價范圍。
  19. The work of capacity management is finding a balance between the unused expense of having too much idle capacity against the risk of reputation - damaging problems from not enough capacity

    容量管的工作是找出能破壞問題時候有足夠的容量和有過多的空閑容量間的一個平衡點。
  20. But in china, project finance is still at the starting stage and leaves us many things to explore, so people, especially those who are affected by planned - economics lack risk consciousness

    但是在我國,項目融資起步較晚,很多東西還在探索階段,加受計劃經濟的影響,人們普遍對項目融資中的認識不足,對的認識也存在著一定的誤區,往往把狹義地解為控制或是
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