risk analysis and decision 中文意思是什麼

risk analysis and decision 解釋
風險分析與決策
  • risk : n 1 風險,危險;冒險。2 【保險】(損失的)風險(率);保險金額;被保險人,被保險物。vt 冒…的危險...
  • analysis : n. (pl. -ses )1. 分解,分析;【數學】解析。2. 梗概,要略。3. 〈美國〉用精神分析法治療(= psychoanalysis)。
  • and : n. 1. 附加條件。2. 〈常 pl. 〉附加細節。
  • decision : n. 1. 決定。2. 判決。3. 決議。4. 決心;決斷。5. 【美拳】(根據分數而不是根據擊倒對方做出的)裁判。
  1. The new ways that solve multiple objectives decision making under risk into probability permanent type : decision making diagram method, matrix analysis method, multiple objectives markov method, the shortest distance method, successive type variation multiple objectives decision making under risk method and fuzzy analysis decision making method. 3. the new modes that solve multiple objectives decision making under risk into probability interval type and uncharted type : weighted method and sorting method 4 the new repent average value criterion that handle multiple objectives decision making under risk into probability uncharted type and generalizing the criterions that have been used into one objective decision making under probability into uncharted type to multiple objectives decision making under probability into uncharted type. 5. giving the error analyses method and decision result regulating method that been used into multiple objectives decision making under risk

    2 、探討了『決策圖法』 、 『矩陣法』 、 『多目標馬爾科夫法』 、 『最小距離法』 、 『連續型變量的多目標風險型決策法』和『模糊分析決策法』等解決概率固定型的多目標風險型決策的新方法。 3 、探討了『加權法』 、 『排序法』兩種解決概率區間型和未知型的多目標風險型決策的方法; 4 、在概率未知型的多目標風險型決策中改進了『後悔值準則』 ,提出了『後悔均值準則』 ;並將單目標概率未知型風險型決策的準則推廣運用到多目標概率未知型的風險型決策中去; 5 、探討了多目標風險型決策方法誤差分析及決策結果值調整的方法。
  2. The method and contents to build up the drought early warning system for agriculture based on the application of the risk analysis technique for drought control are described in detail herein ; for which the practice shows that the drought warning system made with the core technique of drought risk analysis is practicable and can provide the decision - making basis for making the relevant measures of drought control and drought resistance

    摘要文中對應用乾旱風險分析技術建立農業乾旱預警系統的內容和方法做了詳細介紹,通過實例證明,應用以乾旱風險技術為核心的乾旱預警系統對農業乾旱進行預警是切實可行的,可以為實施防旱抗旱措施提供決策依據。
  3. At first, this paper introduces sensitivity analysis and its advantages and disadvantages. risk analysis is the key point of this paper, and statistics - analsis method and monte - carlo method are well studied in this paper. it also introduces recognization of risk, balance of risk, and at last it offers method of decision - making

    在進行風險分析同時本論文還提出決策的方法,根據對風險的認識,介紹對風險衡量的方法和理論,最終可以得出相應的決策。
  4. Through the practice of business intelligence system, it can provide the function involving enterprise operation, decision, and the production analysis and statistics for enterprise administrator and the most effective, accurate data and the management decision reference for the decision maker. meanwhile, it can support to make the strategy aim and the market strategy of the company, promote the business development, perfect service quality and meet the requirement of the consumers. as a result, it can improve the ability to control the risk and make business decision and the competition for the enterprises

    通過實施商業智能系統,可以為企業管理層提供面向企業經營決策和面向生產統計、分析的功能,為決策者提供最為有效和準確的數據依據,提供高層決策參考,對制定公司的戰略發展目標、市場策略,促進業務發展,完善服務質量,提高客戶滿意度等提供支持,從而提高風險控制能力和經營決策能力,提高企業的競爭力。
  5. Uncertain decision approaches consist certainty equivalent approach, risk adjusted discount rate approach, sensitivity analysis and decision tree analysis

    不確定性決策方法包括肯定當量法、風險調整貼現率法、敏感性分析法和決策樹法。
  6. In the deregulated power market , the power grid operator is facing many uncertainty and risks risk concept , risk analysis approach and risk management are introduced in chapter ii , the maj or risks of grid operators is analyzed and evaluated in details based on the real situation and data of yueyang city, hunan province , the economic risk resulting from the uncertainty of load prediction of whole system , generation capacity and parallel quantity of the large enterprises self - owned power plant are analyzed meanwhile , the increase of large enterprises self - owned power plant may cause economic and security risks considering different risk , the qualitmive and quantitative approaches are respectively adopted the direct and indirect congestion risks are evaluated based on probabilistic theory and decision theory the retail pricing and trade modes are major areas embracing risks as well chapter iii divides the risks in internal and external ones based on the characteristics of risk and put forward the layered risk management approach

    詳細分析和論述了電網經營企業面臨的各種風險。基於湖南省岳陽地區電力市場的實際情況和多年歷史數據,採用定性分析和定量計算的手段具體分析了負荷、自備電廠發電量和上網電量預測不確定性以及自備電廠的大量增加給電網企業帶來的經濟性風險和安全性風險。無論是長期還是短期,阻塞不僅會對電網造成直接風險,還可能造成間接風險。
  7. Abstract : this paper discusses the principles for selecting the breakdown decision current value in electrolyte strength test based on the structure features of electrolyte, causes and processes of electric breakdown, and human body reaction when suffering from macro electric shock risk by different electric currents, and makes supplementary analysis and explanation on the conditions of micro electric shock risk and the larger distributing capacitance in test circuits

    摘要:從電介質的結構特點和產生電擊穿的原因、過程以及人體遭受不同電流宏電擊危險時的反應兩個方面,論述了電介質強度試驗中擊穿判定電流值的選取原則,並對微電擊危險和試驗迴路中存在較大分佈電容的情況,作了補充分析、說明。
  8. 2. progress in china and overseas in reliability theory and engineering risk analysis and decision area is introduced in the paper

    2 、介紹了可靠度領域及工程風險分析決策領域的國內外研究進展狀況。
  9. Here the operations research, economics and related knowledge are used to analyze this issue. the author firstly elaborates such issues as : finance decision - making, investment environment analysis, decision making evaluation index, and investment risk analysis, and then a dynamic multi objective programming model is set up. there are three objectives in the model, which are npv, value and opportunity loss

    本文針對我國航運企業的經營特點及其所面臨的問題,運用運籌學中的多目標規劃法,在分析闡述融資決策、投資環境、投資決策評價指標及投資風險分析的基礎上,提出並建立了船舶投資決策多目標規劃模型,在船舶運營經濟效果、決策者效用值、機會損失等方面,對各種投資方案的不同特點進行了比較選優。
  10. Statistics and reliability theory are used as the basic theory in this paper to deal with the key and difficult questions in engineering risk analysis and risk decision area. some important structures in south - north water transfer project ( snwtp ) of middle route as the engineering examples are detailed studied in the paper. the main contents researched in this paper are as follows : 1

    本文以概率論及可靠度理論為基礎,以南水北調中線工程為背景,從工程角度針對當前工程風險分析及風險決策領域的熱點和難點進行了研究,主要工作內容如下: 1 、分析了南水北調中線工程中的風險因素,及可能採取的應對措施。
  11. This paper analyses hunan intellectual faculties mechanical limited company investment decision marking process of project, function of mountains and rivers : the technological demonstration, market, sales tactics. and risk analysis, financial situation analysis, administrative staff ' s quality of the project are analysed etc. on the basis of analysing, this paper proves hunan intellectual faculties mechanical limited company current situation and development trends of project, intelligence of mountains and rivers, through market survey. this paper draws a proposal that hunan hi - tech pioneering investment company invest in hunan intellectual faculties mechanical conclusion of limited company, intelligence of mountains and rivers, on the basis of the analysis, and recommends a kind of comparatively rational capital project to hi - tech pioneering investment company of hunan

    在風險投資的理論基礎上,結合本人在工作中的實際情況,分析了湖南高科技創業投資公司對湖南山河智能機械股份有限公司項目的投資決策過程:項目的技術論證、市場、銷售策略及風險分析、財務狀況分析、管理人員素質分析、市場調查分析等;在分析的基礎上,通過市場調研來論證湖南山河智能機械股份有限公司項目的現狀及發展趨勢;並對湖南山河智能機械股份有限公司項目的投資方案進行了比較,在這些分析的基礎上得出建議湖南高科技創業投資公司投資湖南山河智能機械股份有限公司的結論,並向湖南高科技創業投資公司推薦了一種較為合理的投資方案,高創投董事會在分析各方案的基礎上,作出了合理的決策。
  12. The objective innovation suggests the financial management objective system that includes the total objective - economic value added rate and the subsidiary objective such as the optimum of cash stream the optimum of capital profit rate the optimum of allocation value added rate ; the conception innovation of financial management builds the financial management conception system that revolve around the maximum of economic value added rate objective, which includes objective judgment conception. legal conception and moral conception system ; the method innovation of financial management offers five developed technologies of financial management that includes network finance, financial reproduction tactics financial resource planning financial project and financial strategy ; the institution innovation of financial management designs the institution structure of financial management with the enterprise financial management content and financial subjective behavior from the decision of innovation principle, as well as mentions the concrete content of financial institution innova tion ; the content innovation of financial management highlights adjusting the point of financing management and investment management transforming the objective of inventory management reforming the model of profit allocating improving the level of risk management promoting the financial analysis and appraisal system

    財務管理目標創新探討了以經濟增加值率最大化為總目標,輔之以現金流量最優化、資金利潤率最優化、分配增值率最優化分目標的目標體系;財務管理觀念創新構建了以經濟增加值率最大化目標為核心觀念、包括客觀判斷觀念、法律觀念和道德觀念的財務管理觀念體系:財務管理方法創新提出網路財務、財務再生策略、財務資源規劃、財務工程、財務戰略五種先進的財務管理方法技術:財務管理制度創新從確定創新原則入手,分別按企業財務管理內容和財務行為主體進行財務管理制度的框架設計,並從財務融資機制創新、激勵與約束制度創新、財務信息披露制度創新四個方面說明了財務管理制度創新的具體內容;財務管理內容創新強調調整籌資管理與投資管理的重點、轉移存貨管理目標、變革利潤分配模式、提高風險管理水平、改進財務分析和財務評價體系。
  13. From the angle of uncertainty of inflow and water consumption, the risk of water dispatching on the lower reaches of the yellow river is analyzed. inflow series are generated by use of the method of representative disaggregation. water consumption series are generated according to rainfall probability distribution. a model for risk analysis of water dispatching is established with the technique of stochastic simulation, and a quantitative description of risk is presented, thus, making the water dispatching decision - making more scientific

    從來水和用水不確定性角度分析黃河下游水量調度風險.對來水採用典型解集方法生成來水系列,對用水根據降雨概率分佈生成用水系列,利用隨機模擬技術建立了水量調度風險分析模型,給出風險的定量描述,從而使水量調度決策更加符合實際
  14. But the existing risk analysis model based on term rewriting ignores the induction procedure from risk to decision, and makes it easy to propagate the potential vulnerability

    但是現存項重寫的模型忽略了分析和決策之間的推理過程,容易導致潛在威脅的傳播。
  15. This paper analyzes and develops the existing risk analysis model bases on term rewriting system. it divides the group of assets into critical and normal subset, and performs the analysis in separate procedure. this reduces the system complexity, guarantee the priority of the critical assets ; it also introduces and / or attack tree into the attack scenario, cut down the system requirement of space, and provides support for both the coming graph rewriting model and decision selection algorithm

    本文針對項重寫風險分析模型中資產的關鍵性級別,劃分出關鍵資產,通過分步的風險分析,實現不僅可以降低系統復雜度,還能有效保證關鍵資產的優先處理;引入了與或攻擊樹構建攻擊場景,節約了運行所需的空間,為后來的決策選擇打下基礎,同時也為以後的圖重寫的風險分析提供依據。
  16. As one of the major parts of environmental risk assessment, the ecological risk assessment provides tools or frameworks for ecological analysis and thus serves environmental risk management and decision - making

    生態風險評價是20世紀90年代以後興起的新的研究領域,是環境風險評價的重要分支,也是環境管理和決策的科學基礎。
  17. At present, there are many achievements of risk analysis and decision - making of huge investment projects, but there are no generally recognized standardization model. combining the project, this paper tries to establish an applied standardization model and make it be applied to the project. and according to character of management of information system, it also underlines development of computer program

    在本論文中,首先介紹了敏感性分析,同時結合實際項目,對敏感性分析的優缺點進行了探討。風險分析是本論文的重點,在對風險因素進行辨識和估計后,共提出三種方法,即離散狀態組合法、統計解析法和蒙特卡洛法。
  18. The paper analyses the necessity of the investment risk analysis of chinese petroleum enterprises in dint of the development about the same business in home and overseas and gives a new method - monte carlo simulation method through connecting with general theories of investment risk analysis and basing on analyzing the problems which lie in the investment risk analysis and management and by grounding on original evaluation guideline system of investment risk analysis and decision - making model. the merits are that the method not only embodies uncertainty of risk elements but also makes up the limitation rooted in underestimating influence extent about all of risk elements by com bining original break even analysis and sensitivity analysis. the method perfects deeply investment risk analysis system and improved the accurateness of investment risk analysis

    本文結合石油企業投資風險分析在國內外的發展狀況,分析了我國石油企業進行投資風險分析研究的必要性,結合投資風險分析的一般理論,在分析我國石油企業目前投資風險分析與管理方面所存在的問題和我國石油企業原有的投資風險分析評價指標體系與決策模型的基礎上,根據我國石油企業實際情況,引入蒙特卡羅模擬方法,充分體現各風險因素的不確定性,使之與原有的盈虧平衡分析、敏感性分析相結合,以彌補原有石油企業投資風險分析決策模型對各風險因素的影響程度考慮不足的缺陷,進一步完善投資風險分析系統,增強石油企業投資風險分析的準確性,並將其應用於遼河油田冷家西部開發方案中。
  19. On the basis of summarizing the literature of financial risk theory and methods in china as well as in other countries, with the reference on system and control theory, and with the method of systematic analysis and decision analysis, an analyzing framework to study financial risk forecast and control in enterprises was put forward in this paper. the framework includes the following aspects : financial risk formation and conduct analysis, risk forecast analysis, and risk control tactic system analysis

    本文在總結國內外有關企業財務風險理論和方法研究文獻的基礎上,借鑒系統理論和控制理論的思想,運用系統分析和決策分析的方法,提出了研究企業財務風險預警與控制問題的系統分析思維框架,包括企業財務風險生成與傳導分析框架、財務風險預警研究框架、以及風險控制體系構成分析框架。
  20. Risk analysis and investment decision assessment about cims

    風險分析與投資決策評價方法
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