risk estimate 中文意思是什麼

risk estimate 解釋
輻射誘發的乳腺癌危險度的估計
  • 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...
  • estimate : vt 1 估計,估算;估價;估量。2 評價,評斷。3 〈古語〉尊重。vi 估計,估價。n 1 估計;預測;〈英國〉...
  1. The second part, the author introduce the common risk, conception of the common risk, the estimate model of risk, the means of apron string. in the third part the author n brought up to risk question in creating new project

    有的企業就是由於沒有充分重視風險,而最後導致企業失敗。本論文所探討的就是創業企業的風險問題。本論文共分為四章。
  2. Ptwi is an estimate of the amount of a contaminant that can be ingested over a lifetime without appreciable risk

    暫定每周可容忍攝入量是指人於一生中,每周可攝取某一污染物而不致帶來風險的分量。
  3. The economical capital is the capital which produces after the internal estimate of the commercial bank ’ s administrative level, disposes for the property or some business to slow down the risk impact

    經濟資本是由商業銀行的管理層內部評估而產生的配置給資產或某項業務用以減緩風險沖擊的資本。
  4. In, it is discussed how to estimate the profit expection and risk of portfolio by time series, and that the portfolio investment model can be made by the variance of portfolio selection random profit

    在1中,我們首先介紹了如何利用時間序列預測法估計證券的預期收益率和風險,然後以投資組合隨機收益率的方差作為投資的風險度量,建立起投資組合模型。
  5. ( 3 ) the idea suggested in this paper of converting flood into utilizable resource 、 attempering flood by engineering means and supervising human behaviors in the flooded area. to overcome the various barriers arising from ideology 、 systems 、 technology and economy which the establishment of risk management system of flood will be confronted with, this paper also suggests a statistical approach to estimate extremum and the concept of gray - uncertainty risk in figuring flood risk and analyses the severe harmfulness of accidents of extremum risk, furthermore, supplements and perfects present quantity - analyzing method of risk loss

    3 、本文提出洪水資源化的觀念,以工程手段對洪水進行調節,以法律、行政、經濟、教育等綜合性的手段對人類在洪泛區中的行為進行管理,是削弱洪水的危害性、減輕洪水風險的有效方式,提高的防洪安全保障需求,實行洪水風險管理是必由之路。洪水風險管理體制的建立必然面臨觀念方面、體制方面、技術方面與經濟方面的重重障礙,並提出洪災風險評價的極值統計學方法和灰色-隨機風險率的概念,建立了其表達形式與計算方法,它完善了現有的風險損失量化方法。
  6. Futures price is the unbiased estimate of expected spot price, which is based on the function of risk transferring

    期貨價格是未來現貨價格的無偏估計,這是建立在風險轉移功能基礎之上的。
  7. The model includes three stages from hazard identification, risk estimate through risk evaluation, which can be divided into seven steps

    這種模式一般包括危險識別、風險估算和風險評價3個連續過程,並可分解為7個具體步驟。
  8. From the point of view of risk, a index system of risk assessment of winter wheat losses caused by drought was established, including the meanings, token models and estimate methods of risk index of natural water deficiency rate, risk index of yield reduction rate and trending vector coefficient of disaster resistance capability, then on the base of these indices, the comprehensive risk index model of losses caused by drought was established and regionalized. the results indicated : the high risk region included the middle north of shanxi, some of middle of shaanxi and some of hebei in east ; the higher risk region included some of middle of shaanxi, the tangshan region and some of west of hebei ; the moderate risk region included the middle of s

    從風險的角度,建立了冬小麥乾旱災損風險評估的指標體系,包括自然水分虧缺率風險指數、減產率風險指數和抗災性能趨勢向量系數的意義、表徵模式和估算技術方法,在此基礎上構建了災損綜合風險模型,並對模型參數區域化,結果表明:冬小麥乾旱災損高風險區在陜西中北部、山西中部的部分地區和河北滄州的部分地區;較高風險區在山西中部的部分地區、河北的唐山地區和西部的部分地區;中風險區在陜西中部、山西南部、河北滄州的大部分地區;低風險區在陜西中南部、河南中北部、北京市、天津市、河北中南部和山東省。
  9. ( 3 ) the theories of the frame of reference : basis on the origiual theories of the frame of reference, using the method of the statistics theories to find the frame of reference, and estimate and verify the value of the coefficient change of the frame of reference on the higher than a kite reliablityjn the end find the market risk

    參照系的思想:以獨創的參照系理論為基礎,運用數理統計學的辦法找出參照繫系數,在極高置信度水平上(本文一般選取= 95 )對參照繫系數變動的臨界值進行參數估計並檢驗,而最終發現牛-熊反轉信號,規避市場風險;該系統還能夠對股民的中、短線操作提供即時指導。
  10. We will find out what organism causes the red tide, estimate the area affected and assess the potential risk on mariculture

    我們會找出造成紅潮的生物品種,評估受影響的范圍及可能對海魚養殖造成的影響。
  11. Cramer - lundberg model is changed into the form : in chapter 2, we will discuss two - sided bounds for the ruin probability ( u, c, t ) of the risk model in finite time [ 0, t ], where ( u, c, t ) is defined by we get an estimate :, when n > n where 0 < < 1

    我們在該章中是在索賠額的分佈是gerv族( generalizedextendedregularlyvarying )並帶有安全負荷的條件下得到了一個關于中心化隨機和s 、 ( , )的大偏差的估計:對于任意固定的y > 0與6 > 0 , / , , 。
  12. The three - factor model provides a substantially lower estimate of the risk premium for computer stocks than the capm

    三因素模型比capm提供了明顯更低的對計算機股票風險溢價的估算值。
  13. The system theory is adopted to research risk management methods of a large type scientific research project, pointing out that risk management of a large type scientific research project is a sort of synthetical management theory, and method of risk identification, risk estimate and risk response of the project

    指出重大科研項目風險管理是一種綜合性的管理活動,並得出重大科研項目的風險識別、風險分析與風險處理的方法。
  14. ( 3 ) the pre - warning scheme for dam group safety is studied : the constitutes and frame of dam group safety pre - warning are discussed, the dam group safety monitoring information analysis & estimate model safety pre - warning indexes and mode on condition of remote network are researched, and corresponding frame and realization method are put forwarded ; aiming at " emphasizing pre - warning, but making light of pre - scheme " in dam safety management at present, the treatment pleasure pre - scheme and corresponding decision support model for dam group abnormity and risk are analyzed and researched

    ( 3 )研究了大壩安全預警方案:探討了大壩群安全預警系統的構成和框架;研究了遠程網路條件下大壩群安全監控中的信息分析評價模型;安全預警的指標及模式,提出了相應框架及實現方法;針對目前重預警輕預案的特點,分析研究了異常和險情處理措施、預案及相應決策支持模塊。 ( 4 )以福建省大壩群安全監控遠程網路系統為例,研究了系統開發的思路、具體框架以及部分實現細節。
  15. In the risk analysis, based on the presentation on the risk identification ' s method, risk evaluation ' s content, risk estimate ' s aim, risk step of evaluate, risk technique for opinion and risk the means are researched

    並將工程項目全面風險管理過程分為以下二個階段:工程項目風險分析與風險管理。對工程項目風險分析中的風險的識別的方法、風險估計的內容、風險評價的目的、步驟與方法進行了研究。
  16. This text takes the risk management procedure as the main clue, and makes a systematical approach to the connotation of risk discern, risk estimate, risk evaluation and risk reaction. meanwhile, this text establishes several new analytic models

    本文以風險管理工作程序為主線,針對建設項目的特點,系統探討了風險識別、風險估計、風險評價、風險應對的內涵;並借鑒相關學科知識,建立了幾種新的分析模型。
  17. In the risk analysis, this paper summarizes the fundamental theories and ways to risk estimate and analysis, finds out the main risk resources by fault tree analysis, analysises the main risk sources in detail and classes them with risk evaluation matrix. risk classes are transformed fuzzy risk values which can be numerical value analyses by the fundamental ways basing on fuzzy mathematic for the risk resources can be easily analysised quantitatively

    在風險分析中,首先,綜述了進行風險分析和評估的基本理論與方法,用事故樹的方法找出了主要的風險源,並對主要風險源進行了詳細的分析,再用風險評價矩陣方法給出了主要風險源的風險等級。
  18. The plan of the mobile offshore platform is passed in the risk estimate

    近海機動卸載平臺的設計方案可以通過風險評估。
  19. Visual modeling technique for simulation of industrialization risk estimate and its forewarning

    產業化風險診斷與風險預警模擬的可視化建模技術
  20. We intent to give a more precise method to describe practical capital market. the purposes of the thesis are the following : ( 1 ) discusses the applicability of studying chinese capital market by traditional capital market theories and complexity theories respectively. ( 2 ) broadens the research domain of complexity sciences. ( 3 ) concerned chinese capital market, provides some practical models such as forecast model, risk estimate model, etc. ( 4 ) contributes to the complexity theory of capital market that considers all nonlinear effects

    本論文的研究目的主要在於: ( 1 )研究傳統資本市場理論和復雜性理論對中國資本市場的適用性: ( 2 )拓展復雜性理論的研究領域; ( 3 )為中國資本市場預測、風險衡量等方面提供一個可運作的理論模型; ( 4 )為最終形成一個把所有的非線性效應都考慮進去的復雜性資本市場理論起到一定作用。
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