風險點 的英文怎麼說

中文拼音 [fēngxiǎndiǎn]
風險點 英文
risk point
  • : 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名詞1 (液體的小滴) drop (of liquid) 2 (細小的痕跡) spot; dot; speck 3 (漢字的筆畫「、」)...
  • 風險 : risk; hazard; danger
  1. Key points in commercial bank credit risk control

    商業銀行信貸控制的要
  2. The second is the part transferring of property, holding that during the ownership reserved, the subordinate relationship of object belongs to a floating state, so both the bargainer and the bargainee cant not be said to possess the complete ownership, whereas with the payment, the ownership gradually shifts from the bargainer to the bargainee

    其次分析了所有權保留的效力,主要是從出賣人的取回權、買受人的期待權、標的物的負擔以及對第三人的效力等四個方面展開論述,並表明了自己的觀
  3. The thesis, somehow, is a summary, which expounds the main contents of traditional portfolio theory ( tpt ) and mpt, also gives a comparison between tpt and mpt ; analyses two aspects of markowitz theory, one is the effects of risk disperses and the demonstration, the other is how to make an optimal portfolio strategy ; researches into capital assets pricing model ( capm ), factor model ( fm ) and arbitrage pricing theory ( apt ) respectively in three parts ; studies another two parts, one is the premise of mpt, which is the efficient market hypothesis ( emh ), the other analyses the behavior finance theory ( bft ) produced in the background of challenging and querying to emt and capm. the thesis finally discusses the researching and applying prospects of mpt in china

    論文對現代資產組合理論與傳統資產組合理論分別進行了分析,並對兩者進行了比較研究,對馬克維茨的均值? ?方差理論從資產組合分散效應和最優資產組合選擇兩方面進行了重分析,對資本資產定價模型、因素模型、套利定價理論進行了一定深度的分析和研究,對現代資產組合理論的前提假設? ?有效市場理論及在對有效市場理論和資本資產定價模型形成挑戰和質疑背景下提出的行為金融理論進行了論述,論文最後分析了現代資產組合理論在我國的研究及其應用的廣闊前景。
  4. The advantages of boq valuation include : saving enormous labor force, material and time, meeting the requirements of market competition, promoting joint bearing risks by both parties of contract, controlling effectively the investment of construction projects, and avoiding some bad behaviors of present construction market

    工程量清單計價的優包括:節約大量的人力、物力、時間,滿足市場競爭的需要,有利於承發包雙方的共擔,有效控制建設項目投資,避免當前建築市場的一些不良行為。
  5. Issues and data sources for identifying brownfield sites and other environmental risks are presented along with a simple framework for conducting an economic base analysis

    我們將提出識別棕地地與其它環境議題和數據,以及一個用於經濟基礎分析的簡單架構。
  6. Through the canalization to the marketing strategy research of the substantial evidence of the fuxin company, in the foundation that the author has collected large quantity of data, mainly using the relevant marketing theory of dr philip kotler, famous as " the father of marketing ", the author importantly expound that in the operating process, to small enterprise, there are six most important contents, that is : the market marketing environment analyzes, the market marketing investigation analyzes, the marketing segmentation, the choice of the marketing positioning, target market, the pricing of product, adjective pricing strategy, the marketing outlet management of the business and credit sale risk

    本文作者通過對富新公司的營銷策略研究實證分析,在收集大量資料的基礎上,主要應用有「營銷學之父」稱謂的菲利普.科特勒( philip . kotler )博士有關營銷策略的相關理論,重闡述了在經營運作過程中,對中小企業至關重要的六個方面的內容:市場營銷環境分析,市場營銷調研分析,市場細分、市場定位、目標市場的選擇,產品定價和價格調整戰略,企業的營銷渠道管理以及賒銷的問題。
  7. To research the status of the use of shell resource in china securities market, in this paper, firstly, i interpret the shell resource from the economic point of view, and point out the important significance of the study on the shell resource ; secondly, i analyze the status of the use of shell resource in our country at present including the motivation, means, benefits and cost of buying a shell ; thirdly, the status of the use of shell resource in the securities market is positive studied in the way of statistics by taking the civil listed companies as examples, this part is the emphasis of the paper ; at last, i analyze the cause that the shell resource was not used well in our securities market, and bring forward some advice at five aspects, such as perfecting the law condition of buying a shell, building up the measures of resisting risk etc

    我們有必要對我國證券市場的殼資源利用狀況進行研究,以期對投資者的投資決策、證券市場監管的制定及殼資源利用績效的提高有所裨益。為了考察我國證券市場殼資源利用的狀況,本文首先從經濟學的角度對殼資源進行了解釋,並指出研究殼資源利用的重要意義;其次,分析了我國現階段殼資源利用的現狀,包括買殼的動機、方式、收益和成本;再次,以國內買殼上市企業為研究對象,用統計學的方法對我國證券市場殼資源利用狀況進行了實證分析,這部分是本文的重;最後根據實證的結果,分析了我國證券市場殼資源利用不佳的原因,並從完善買殼的法律環境、增強防範措施等5方面提出了一些相應的建議。
  8. This dissertation can be divided into three parts as following : focusing on institutional risk control, this dissertation demonstrated the effect of institutional risk on dis " objects by analyzing the relationship between deposit insurance and financial development, financial stability and market discipline, in light of foreign or native primary theory and empirical results of dis. in virtue of statistical method and with the theory of game, this dissertation explored the cause the institutional risk such as moral risk and adverse selection, on the basis of which discussed the approach of controlling institutional risk and proper deposit insurance pattern. because deposit insurance assessment is the core of institutional risk control, this dissertation introduced and discussed deeply the passive casualty - insurance model, the option - pricing model, the game - theory - based pricing model, and reasonable pricing interval, and put forward the hierarchical pricing strategy of dis on the balance of information confiscatory and risk - based - assessment necessity

    本文以存款保制度控制為中心,在借鑒國內外關于存款保制度的基本理論和實證的基礎上,通過分析存款保與金融發展、金融穩定和市場懲戒等方面的關系,論證了存款保制度對存款保制度目標的影響;並藉助統計學的方法,運用信息博弈論的觀,從主要制度參與者? ?投保機構和存款保機構? ?的效用函數出發,對存款保所引發的道德和逆向選擇等制度的成因進行深入的剖析,探討有效控制制度的途徑和制度參數的安排模式;由於存款保定價是制度管理的核心問題,本文還專門對意外存款保消極模型、存款保的期權定價模型、基於信息經濟學的存款保定價模型以及合理定價區間等定價模式進行深入分析和詳細評述,闡述各種定價思路的局限性和可能運用的空間,通過權衡信息的充分性和定價的必要性,提出存款保制度的層次性定價策略。
  9. 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,介紹本文的相關背景;第二部分是與相關的幾個問題,等效用曲線與有效邊界的切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相應的控制策略;第五部分針對目前我國管理中存在的問題提出了幾建議。
  10. As the result of financial system innovation, venture capital has it " s unique characteristic : it is cultivable investment rather than industrial investment and it ' s profit comes from transferring stock of high - tech enterprise rather than investment of fixed capital and floating capital

    作為世界經濟轉型期金融體制創新這一內在動力作用的結果,投資有其獨具的特投資是培育性投資而不是產業化投資,其獲得的利潤來源於對高新技術企業投資股權的轉讓所得到的資本收益而不是某個產品規模化生產階段的固定投資和流動資金的投資。
  11. Facing with the adjustment blemish of the market and the government, knowledge problem and market growth degree etc, the article analyzes and arguments tmsm, the investment theory of the gapsm and two - mechanism forming reason and specialty of our country, and tries to explain and answer the question of breadth fluctuation, high risk, price decision, proceeds and investment strategy etc in the gapsm. since 80 ages, a series of the important development has all taken place in the world and the economy of our country, and it produced the deep influence on the growth of the security market, and particularly the information revolution, all markets forming one body and the quick development of the derivable security product brought the unprecedented macroscopic opportunity and power to the security market ; but at the same time our security market with the structure absurdity of participators, higher risk, irregular law, closed market, the validity of supervise and no science of market regulation does not accommodate to the macroscopic environment and so our country security market needs a new set of security theory with environment. according to the macroscopic and microcosmic environment, this article defines that our country security market is both a gapsm and the initial stage of the gapsm

    上世紀80年代以來,世界和我國經濟都發生了一系列重大的變化,對證券市場的發展產生了深刻的影響,尤其是信息革命、市場一體化和證券衍生產品的迅速發展,給證券市場的發展帶來了前所未有的宏觀機遇和動力,而同時我國證券市場參與者結構的不合理、較高的、不規范的法律、市場的不開放、監管的不完全以及不科學的市場調控等微觀市場環境條件與此宏觀環境並不適應,從而我國證券市場需要一套適應環境變化的股票理論;本文就是以這一宏觀環境和微觀條件為依據,把我國證券市場定義為既是政府主導型證券市場又是市場初期;並對我國證券市場二元制產生的原因、特及特殊性進行了分析,並通過我國政府調節的實例進行了論證,並對投資理論和投資策略進行了研究,這對控制我國證券市場的高以及獲取收益都具有重大意義。
  12. These findings should be considered in evaluating the risk ? benefit ratio of treatment with ergot derivatives

    在評估使用麥角?生物進行治療的-效益比率時應考慮到這一
  13. The western region faces the historical opportunity to develop vc, which brings evangel for the medium and small - sized enterprises there. if used approperly, vc can become the new economic increasing point to promote the medium and small - sized enterprises

    我國西部地區面臨著發展投資的歷史機遇,這給西部地區的中小企業帶來了福音,因為只要運用得當,這種投資將成為促進西部中小企業發展的新經濟增長
  14. Part3 : the problems with china ' s fiscal policy on venture capital. the problems include : a definite and integrated system of fiscal law on venture capital has not be built up. the present tax law and code are not fit for the development. the government expenditure on tech - research and product - transform is not enough. the structure of government expenditure is not in reason. the efficiency of the go

    指出問題主要包括以下幾: 1 、缺乏一種針對投資的明確而又完整的財稅法律與政策支持體系; 2 、現行稅收法律政策不利於投資業的發展; 3 、財政投入科技研發和成果轉化的資金總量不足,並且存在結構性問題,資金使用效率低下的問題普遍存在。
  15. Since entered 21 centuries, the customer elephant internet of the on - line bank is similar to become the geometric progression growth, trading the amount of money to amount to 60 renminbis in 2005. the on - line bank has all specific weight of business of bank more and more high, trade to act for the rate also at fly to increase soon. statistics according to the department concerned, the industry and business bank and canvass business the bargain of the bank network bank acts for the rate all already over 25 %, also is to say, have 1 / 4 of bank pay the business to pass the net to complete up

    網上銀行是金融領域的一場革命,將引發金融業經營管理模式,業務運作方式,經營理念監管等一系列重大變革。同時,網路經濟特別是電子商務的迅速發展,為網上銀行提供了極其廣闊的市場。本論文通過分析我國網上銀行發展的現狀及郵政金融業務,探討郵政部門建設網上銀行的需求和可行性,提出網上銀行的業務功能及對系統實施、業務發展的幾思考,建議郵政部門抓住時機建設網上銀行,以促進郵政金融業務發展。
  16. All departments and branch offices shall voluntarily carry out self - inspections on compliance as a routine task, report compliance risk information or potential risks to the compliance department or the compliance posts, and support and cooperate with the compliance department or the compliance posts in risk monitoring and evaluation

    公司各部門和分支機構應當主動進行日常的合規自查,定期向合規管理部門或者合規崗位提供合規信息或者風險點,支持並配合合規管理部門或者合規崗位的監測和評估。
  17. In the first part, we analyze the risk and reasons that a securities corporation in china is facing at present, then develops a securities corporation risk control system based on the realities in china by the ways of advanced qualitative management pattern from oversea. in the second part, we consider the existing situations that market risks became a major problem to a securities corporation, we have a method to measure developed market risk by adopting an advanced quantitative model var which is popular internationally, and we focus on studing risk metrics ( var - covar ) application in securities market of china practically. we conclude that var model is useful and effective at controlling market risks in china by our analysis and test

    第一部分通過對證券公司成因的分析,借鑒國外先進管理模式提出了構建符合中國國情的證券公司控制體系,對目前我國證券公司主要業務的風險點管理進行闡述,並佐以案例;第二部分針對市場日益成為證券公司主要的現狀,引入了國際上最廣泛使用的市場控制方法? ?價值法( var ) ,從實用角度重研究了方差協方差法在我國證券市場的應用,通過實證分析得出了在我國使用var控制市場是切實可行的結論。
  18. Table 2. possible risk points in the medication use process

    表二藥物使用流程可能的風險點
  19. Water passes from a liquid to a solid state when it freezes

    課文中的意思是風險點從賣方的手中轉移到買方的手中的
  20. Eliminate risk points

    消除風險點
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