風險相關 的英文怎麼說

中文拼音 [fēngxiǎnxiāngguān]
風險相關 英文
risk correlation
  • : 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...
  • : 相Ⅰ名詞1 (相貌; 外貌) looks; appearance 2 (坐、立等的姿態) bearing; posture 3 [物理學] (相位...
  • : Ⅰ動詞1 (使開著的物體合攏) close; shut 2 (圈起來) shut in; lock up 3 (倒閉; 歇業) close down...
  • 風險 : risk; hazard; danger
  • 相關 : be interrelated; be related to; be bound up with; correlation; dependence; relevance; mutuality
  1. Context low levels of cardiorespiratory fitness are associated with high risk of mortality, and improvements in fitness are associated with reduced mortality risk

    背景:低水平的心肺功能與發病率的高風險相關,提高其適應性可以減少發病
  2. The first part is introduction, presenting this paper ' s structure, research background and so on ; the second part introduces some issues relating closely to risk, the tangency point between indifference utility curve and efficient frontier is the optimal portfolio ; the third part explores risk evaluation, this part begins with some risk factors affecting security ' s price and return, then analyzes the methods evaluating degree of risk, finally, introduces a more popular method of risk evaluation - - var ; the forth part expounds risk management, this part studies some risk control strategies correspond to specific risk mentioned above ; the last part put forward some advice contrapose issues existed in risk management in china

    第一部分為緒論,介紹本文的背景;第二部分是與風險相關的幾個問題,等效用曲線與有效邊界的切點是投資者選擇的最佳投資組合;第三部分是衡量,該部分首先分析了證券與股票所面臨的,然後對債券和股票分別介紹,最後介紹了目前比較流行的衡量方法? ? var方法;第四部分為企業管理,這里針對上文所述的提出應的控制策略;第五部分針對目前我國管理中存在的問題提出了幾點建議。
  3. At last it concluded the venture of sc is relation venture and performance venture, proposed relevant elusion measure

    最後歸納了供應鏈合作中存在的和績效,提出了應的防範措施。
  4. How could the epd know the best steps to take without hard scientific evidence of the nature and extent of beach water pollution in hong kong ? the epd realised it would need to develop a scientifically sound set of water quality objectives. it would need to conduct epidemiological studies that could establish clear relationships between bacteria in the water and the specific health risks associated with swimming at beaches in hong kong

    可是當時環保署並沒有可靠的科學數據以界定香港泳灘水質污染的性質和程度,因此環保署便開展了流行病學研究,以評估水中細菌含量與游泳疾病系,從而為泳灘水質監測訂定一套具科學性的水質指標。
  5. After adjustment for age and body mass index, high intakes of both heme iron and red meat were associated with a significantly increased risk of fatal coronary heart disease, coronary reascularization, and total coronary heart disease

    排除年齡和體重指數因素,攝入較多的血紅素鐵和紅肉與致命性冠心病、冠脈血運重建和總的冠心病高發作風險相關
  6. 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,應處理好安全、經濟和互之間的系,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理的觀念轉移;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。
  7. Considering limitations of previous studies above, this study take both perceived benefit, perceived risk into consideration and try to discuss consumer perceived risk reducing behavior. also the connection between perceived risk perceived value, and consumer purchase intent is the content of the paper

    鑒于上述感知風險相關研究領域所存在的缺陷,本研究將感知利得和感知同時納入研究范圍,來探討消費者的感知及減少的行為,並嘗試發現感知與感知價值之間如何聯結,進而影響購買意願。
  8. The proportion relationship on corporation ' s long - term indebtedness and interests form capital structure of the corporation, capital structure relate to the decision making in investment and financing directly, to the maximum of the stock holder ' s wealth and the creditor ' s interests rate which accord with the risk they take on

    企業長期負債和權益之間的比例系形成企業的資本結構。企業的資本結構直接繫到企業的投資決策和籌資決策,繫到企業股東財富最大化是否能夠實現,債權人是否可以得到與其承擔的對應的收益率。
  9. And i also learned that when analyzing project risks we should find those key factors influencing the project returns, according to their sensitivity factors to irr, and then take appropriate preventive actions in order to ensure the expected economic returns of investment projects

    在分析項目時,應根據各因素對內部收益率的敏感系數大小排出可能給項目效益帶來鍵因素,並採取應的防範措施,從而確保投資項目能達到預期的經濟效益。
  10. This paper analyzed the noniinear, non - - equilibrium, fractai and chaos characteristics of chinese stock market, identified, estimated and tested three fractionaliy integrated time series models the first chapter " introduction to the evoiution of stock market investment theory " summarized the nine important representative theories of different stage, summed up the trend of the development that the stock market investment theory is evotving from static portfplio theory to dynamic time series modei, from univariate modei to muitivariate modei, from linear modei to nonlinear complicated model and from traditional modei to fractai modei, paved the way for following discussion

    實際情況卻是股票市場影響因素以及各因素之間互作用系復雜,受投資者個人及群體心理因素影響明顯,股票的波動以及收益與系常常是非線性的,非均衡的,收益的方差和均值是自的、不穩定的,收益的波動符合分形布朗運動,表現出分形和混沌的特徵。本文分析了股票市場的波動的非線性、非均衡、分形和混沌特徵,建立並檢驗了幾種股票的分形差分異方差時間序列模型。
  11. It will also highlight current practices and approaches of the industry in managing operational risk as a distinct risk similar to credit and market risks

    此外,有章節亦會特別指出銀行業目前就業務運作作為一項與信貸及市場若的獨立而採用的管理方法與模式。
  12. Now, new research finds iron may be associated with the risk of ovulatory infertility

    如今,新研究發現鐵可能與排卵性不孕的風險相關
  13. The evaluating method in the paper is to calculate its guarantee risk degree. after that it is necessary to decide the relevant guarantee parametres including charge rate and the magnifying multiple. as for the whole risk of cgo, the paper sets forth the method of capital abundance rate which comes from the new basel agreement, and try to control the rate into the safe scale through risk dicentralization and compensation. afterwards, this paper studies the social credit system which influences the developent of cgo

    對于申請擔保的單個中小企業,控制鍵是建立一套科學的審查、評估程序,論文提出了擔保度的評估方法,確定擔保參數,包括擔保收費率和擔保放大倍數等。在擔保機構的整體控制方面,論文利用新巴塞爾協議的于商業銀行管理思想,建立了擔保機構資本充足率的計算方法,並從分散和補償兩個方面來控制擔保機構的資本充足率水平。
  14. The results of a nested - case control study suggest that the use of certain types of hormonal contraceptives during the 5 years leading up to a pregnancy may be associated with the risk of developing gestational diabetes

    重疊病例對照研究結果顯示孕前5年內使用某種類型的激素避孕方法可能與發生妊娠糖尿病風險相關
  15. Risk factors of non - insulin - dependent diabetes mellitus in children with central obesity

    中心性肥胖兒童的2型糖尿病風險相關因素
  16. New york ( reuters health ) - lung disease is associated with an increased risk of mental health problems, according to findings published in the american journal of epidemiology

    紐約(路透社健康專欄) ?根據《美國流行病學雜志》報道的研究結果,肺部疾病的發生與患者心理疾病發生的風險相關
  17. It involves testing process, objects and techniques. in addition, risk estimation in regression testing and resources prediction by risk assessment was studied, some testing metrics related to

    研究了回歸測試中被測試對象的處理方法;研究了利用估計結果對資源使用進行預測的方法;並提出了一些與風險相關的測試度量。
  18. Firstly on the basis of relevant theoretical research of credit risks, the paper analyze the production and control of enterprises " credit risk management, through comparing current state of the domestic and foreign enterprises " credit risk management, seek the experience which is worthy reference for chinese enterprises

    首先在信用風險相關理論研究的基礎上,對我國企業信用產生和治理進行了分析,通過國內外企業信用現狀對比研究,探尋值得中國企業借鑒的實踐經驗。
  19. Secondly, it describes the main expression in financial risk that macro - finance field and micro - management main body are faced with. at the same time, it gives a deeply analysis of the generating and conducting mechanism in financial risk. at last, it emphatically constructs the system of monitoring and early warning in financial risk including the selection and recognition of financial risk ' s early warning targets, magnanimity model of risk and installation of warning conduction. furthermore, it advances rationalization proposal

    首先對金融的涵義、基本特徵和國際上金融風險相關理論作了簡單介紹;其次,描述了我國宏觀金融領域和微觀經營主體面臨的金融的主要表現,並對金融的生成機理和傳導機制進行了深入剖析;最後,著重構建了包括金融預警指標的選擇、識別和度量模型、警示傳導設置在內的金融監測預警系統並提出合理化建議。
  20. Pay due attention to the relevant study of financial and monetary risks

    要充分重視財政與金融風險相關性的研究
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