風險預測 的英文怎麼說

中文拼音 [fēngxiǎn]
風險預測 英文
risk profile
  • : 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副詞(預先; 事先) in advance; beforehand Ⅱ動詞(參與) take part in
  • : 動詞1. (測量) survey; fathom; measure 2. (測度; 推測) conjecture; infer
  • 風險 : risk; hazard; danger
  • 預測 : calculate; forecast; prognosis; divine; forecasting; foreshadowing; predetermination
  1. Risk prediction for biliary tract surgery

    膽道手術的風險預測
  2. The third part mainly analyzes four risks of house tenancy center and the corresponding managing measures. the part analyzes profit and free - rent period through discussing probability of house in - and - out quantity in profit risk, proposes the risk management measures of cash supervisory mechanism and selectivity financing in capital gap risk, putts forward the measures of liquidity gap forecast, improving credit and adopting different free - rent period in house liquidity risk, and introduces the credit swap to transfer leaseholder default risk

    本部分主要分析了房屋置業中心的四個,分別是收益,通過引入給定時間段內的房屋存貸量的概率分佈分析了房屋置業中心的收益和空租期的確定;資金缺口,並提出現金監理機制和選擇性融資的防措施;房屋流動,提出流動缺口、提升自身形象、採用不同空租期的管理措施;承租人的支付,主要引入了信用掉期合同來轉移這種
  3. It ' s more and more important to find an efficient way to manage the financial risk. the author carries out the investigation, collects related materials, researchs demonstratively and tries to find an efficient mechanism of financial risk " s management. that is to establish an effective supervisal mechanism and a veracious mda ( multiple discriminant analysis ) model

    針對這一現實問題,筆者採用實地考察、運用各種渠道收集相關資料、實證研究等方式,努力探索建立一個有效的企業財務管理機制,主要包括建立一個有效的財務機制及一個具有一定超前準確性的財務警判別模型用以進行財務管理。
  4. In reference with the major earlier symptoms and index of agreement violation of loan put forward by bosnian a. roger, and combining the basic elements that influence credit risk forewarning of commercial banks, some key indexes have been selected to establish the prediction model of single loan credit risk. the model may serve as reference in the practice of controlling credit risk of commercial banks

    參考bosmana . roger提出的貸款違約主要先期跡象和指標,綜合影響商業銀行信用警基本因素,遴選出一些關鍵指標建立銀行單筆貸款信用模型,這個模型在商業銀行控制信用的實際操作中具有一定的參考價值。
  5. Effect of ue3 on prenatal screening for down ' s syndrome

    3在唐氏綜合征孕中期多指標聯合篩查風險預測中的效果評估
  6. Based on the principle of early warning management of enterprises and linked up with practice, the theories and methods are discussed on the inspection, the identification for signs, early warning and control of credit standing risks of commercial clients

    本文運用企業警管理原理,通過理論和實證研究,採用定性和定量分析相結合的方法,探討了客戶資信、徵兆識別、警及控的理論和方法。
  7. Chapter 4 : the management of the derivative risk, describe the character, kind of the finance instrument. i argue that we should the risk warning system, risk control system

    第四部分,衍生金融工具管理,詳細描述了衍生金融工具的特點、種類、原因,筆者認為,應該建立衍生金融工具會計的風險預測系統、事中的監督系統及審計防範系統。
  8. Mine project evaluation, work out project suggestions, feasibility report, plan design and basic design of mines, cement plants, fruit processing plants, as well as consultation of overseas project overall contracts investment risk forecasting and mine water prevention and control

    礦山項目評估;編制礦山、水泥廠、果汁飲料加工廠項目建議書,可行性研究報告,方案設計,初步設計;海外工程總承包項目咨詢,投資風險預測;礦山水害防及治理措施。
  9. In order to forecast, define and avoid financial risks of merge & acquisition ( m & a ) more effectively, according to the m & a financial risk pre - warning system design, the method of efficiency coefficient and delphiis are used to construct a financial risk pre - warning system for m & a, which includes seven subsystem such as : organizations of financial risk pre warning system, m & a information collection and transmission system, qualitative pre - warning system, quantitative pre - warning systems, financial risk analysis system, alarm system and exclusion of alarm system

    摘要為了更好地、界定以及規避企業並購時的財務,本文根據企業並購財務警系統的設計思路,綜合運用功效系數法和德爾菲法,建立了包含並購財務警系統組織機構、並購信息收集與傳遞系統、定性警系統、定量警系統、並購財務分析系統、報警系統以及排警對策系統7個子系統的企業並購財務警系統。
  10. Ttis paper sms the recen research results in the topic, maks a briefly descripon of the foral risks, then researthes on the mechanism to cause them, introduces way to assess the level of anancial risk. based on it, this paper finds out the main finaniai ratios to influeoce risk through survtw, and bulld the financial riskleve forecasting model by the method of two group ofdiscdrinate analysis. ih the research, 60 listed compedes are selected as our statstical analsis samples and cataloged into two groups, which has 30 samples, one is company which is no specially wdopn st ) the othe is on the cotw ( st )

    本文對已有研究成果進行了總結回顧,接著從我國上市公司財務的現狀分析入手,揭示了上市公司總體財務的水平,並從多方面具體分析了上市公司財務的成因,然後介紹了財務評估的幾種常用方法;在此基礎上,採用問卷調查法確定了財務警指標體系后,選擇滬深兩市60家上市公司作為估計樣本(其中30家為st公司, 30家為非st公司) ,運用兩組判別分析法建立了上市公司財務警模型,再選擇了20家上市公司作為試樣本,來試已建立模型的效果;對ykf公司的財務進行綜合分析,其結論與運用建立的警模型的試結果相吻合,故對其發出了財務警;最後,針對我國上市公司的實際情況,從完善公司治理機制、重塑社會信用體系等方面提出防範公司財務的對策和建議。
  11. This is the most popular and hard topic for multinational company, the same its researching difficulties focused on exchange rate predicting and exchange rate risks managing

    四、匯率風險預測、管理分析。匯率的管理是本文的研究重點,也是跨國公司理財管理中難度最大、最普遍的問題。
  12. Risk prediction is also set to be used to assess the threat posed by people ranging from terrorist suspects to potential delinquents

    風險預測同樣用於區分到底是嫌疑恐怖分子的威脅還是潛在罪犯的恐嚇。
  13. Financial risk monitoring and crisis pre - alarming

    財務與危機
  14. Objective to study the relationship between clinical risk profile and incidence and efficacy of icd intervention in hcm

    目的:研究肥厚心肌病患者植入icd的效果與臨床風險預測和事件發生的關系
  15. So it is necessary to study the opportunities and risk of the financial leasing to keep the risk away, the article points out a series of methods including risk forecast, risk supervise, risk shift and solve

    在分析我國當前外部環境存在的基本問題基礎上,建立以風險預測警和防、監控、鎖定、轉移和化解等為組成的控制體系,提出了思路和看法。
  16. It analyses the composition and yield origination of net - assets of open - end fund, fees and fees rate of open - end fund, the determination and calculation to the value of open - end fund under different yield rate, and the affection of financial ratios to yield rate. meanwhile, it discusses measurement of the future value of fund ( mainly risk of the fund and desired yield rate ), the determination of system risk and non - system risk of open - end fund. at last, this article analyses the relation of income distribution and the value of fund and taxation distribution and the value of fund

    分析了開放式基金凈資產值的構成及其收益來源,開放式基金的費用和費用率,不同收益率下基金價值的算、幾種財務比率對收益率的影響;分析了基金未來價值的度量(主要是基金的期收益率) ,開放式基金的系統與非系統及對量;分析了各種因素(宏觀經濟因素、微觀決策層)對基金價值的影響,分析了收益分配與基金價值的關系,稅務籌劃與基金價值的關系,並在此基礎上闡述了』開放式基金的推出對我國的券商、基金管理公司、國有商業銀行及金融市場的影響。
  17. Risk forecasting for mining the jgs copper mine

    銅礦開採的風險預測
  18. Study on agent - based credit risk prediction implementation technology

    的信貸風險預測實現技術研究
  19. Total plan risk forecasts

    全程計劃風險預測
  20. Application of rbf artificial neural network in risk prediction of engineering project

    人工神經網路在工程項目風險預測中的應用
分享友人