risk-focus 中文意思是什麼

risk-focus 解釋
風險集中
  • 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...
  • focus : n (pl focuses foci )1 【物理學】焦點。2 【物理學】焦距;聚焦,對焦點,配光,對光。3 (活動興趣...
  1. Section 6 and 7 focus on risk management of traditional and original businesses in investment banking of china

    第六、七章重點研究了我國投資銀行各項本源業務與創新業務的風險管理。
  2. The hkma is also taking a number of initiatives to reinforce the focus on aml cft issues, including issuing circulars and guidance to authorized institutions on combating the financing of weapons of mass destruction, conducting in - depth examinations of institutions aml cft controls, and setting out the practices expected in high - risk areas such as correspondent banking, private banking and remittances

    金管局亦正採取一系列措施,加強就打擊清洗黑錢及恐怖分子籌資活動的工作,其中包括向認可機構發出有關打擊涉及具大殺傷力武器融資活動的通告及指引深入審查認可機構在打擊清洗黑錢及恐怖分子籌資活動方面的管控措施以及制訂認可機構在高風險環節如代理銀行私人銀行及匯款業務所應遵行的營運手法。
  3. The risk management has great significance to china security company. when china security company expand themselves, they should focus on enhancing the idea of risk management, improving asset quality, and also should import advanced risk management technique, develop their own technique. from this point, we can say it ' s realistic for the study on the business risk management of china security company

    我國證券公司在擴大規模的同時,應有超前意識,在全面開放市場前就注重加強風險管理意識,提高資產質量,加強經營業務風險研究,積極引進、掌握國外先進、成熟的風險管理技術,並在此基礎上投入一定人力、物力開發出適合本公司經營特色的風險管理技術,使經營風險管理盡旱擺脫粗放式、隨意性強的管理模式,而以規范、科學的風險管理技術全面衡量市場風險,從而達到精細化管理的目標。
  4. The dissertation summarizes the situation of some research on making profit of commercial bank treasury maximized and analyzes the reason that the profit of commercial bank treasury is so low. with following the three basic principles, namely profitability principle, safety principle and liquidity principle, the dissertation focus on analyzing the basic models of commercial bank management which are income model, safety model and liquidity risk model. meanwhile, one of the two decision models of commercial bank is taken in good consideration and it designs a model according to the two decision models. in the end, a profit maximization model of commercial bank treasury is proposed and the research achieves the aim of maximizing commercial bank profit when assuring the necessary liquidity and safety of commercial bank benefit

    論文對國內外關于商業銀行資金收益最大化問題的研究狀況進行了綜述,就商業銀行收益不高的原因進行了剖析,且在遵循商業銀行經營的三大基本原則,即效益性原則、安全性原則和流動性原則的前提下,深入淺出的分析了商業銀行經營的基本模型,即收入模型、安全模型和流動風險模型,再結合我國商業銀行的兩種決策模式,著重對其中一種模式進行分析和設計,最後建成一種商業銀行資金收益最大化模型,從而實現了保證銀行資金必要的流動性和安全性的的同時使得銀行資金收益最大化的目標。
  5. With respect to different lending strategies, banks that focus on consumer loans have higher prime rates than those offering more commercial loans to reflect their different risk premia

    相對于以從事企業授信為主之銀行而言,其目標偏重消費性放款之銀行則會訂定較高的基本放款利率以反映其風險溢酬。
  6. Since 1980s, the risk investment was the focus of the attention of the economic academic community in developed countries especially in u. s. a. not only the basic theory of the indenture economics, information economics and the agency by agreement shows the operational mechanism of the risk investment, but also the means of the experience and empirical analysis are used to study the risk investment ’ s positive affection to the development of the high - tech industry and economy

    本文在系統梳理風險投資基本理論與國內外研究進展的基礎上,對美國風險投資的發展歷程及影響因素、風險投資資金來源與風險投資機構的組織形態、風險投資機構的決策過程、風險投資機構與創業企業的契約關系、風險投資的退出途徑等問題展開了具體分析。並且以風險投資對象企業? ?高科技創業企業的治理結構為實例,剖析了以知識經濟為背景的企業權力轉移論,對有關假說進行了經濟學理論與經濟現實相結合的批判。
  7. Since the issue of the risk in the second board has caught the attention of every party concerned, to curb the risk likely to occur during the operation of the second board market, we should avoid the problems at the preparatory stage. the following tasks must be put special focus on : reducing the administrative intervention to facilitate the process of issuing and checking stocks and to promote the sound development of distributing market, introducing the competitive selection system into the market to lay a solid foundation for the second board and boost the development of investors " investment conducts and controlling the rhythm of the distribution of listed securities at preliminary stage and the scale of initial raising of fund etc

    由於二板市場的風險問題受到了參與各方的關注,為控制二板市場日後運作的風險,從開始籌備階段就應避免問題的發生,應特別注意以下幾個方面的工作:減少政府部門行政干預,促進發行審查工作和發行市場的健康發展;引入「競爭性遴選機制」 ,使創業板市場的基礎扎實,促進投資者投資行為的成長;控制市場初期上市節奏並控制公司首次募資規模等。
  8. The major focus is on the acquisition of knowledge and skills that facilitate self - reliance for individual, as well as for collective health - seeking behaviour, including preventing the adoption of risk behaviour and the maintenance of protective lifestyles

    主要焦點是在促進個人自我依賴的知識和技巧之獲得,就像共同追求健康的行為,包括避免危險行為的使用和維持自我保護的生活方式。
  9. Conclusions could be drawn out through a positive analysis of some port companies : the factors that have a positive effect on the strategic target are the rate of main business return, the velocity of the assets, while the capital structure and the rate of the increase of the increase of investment have little effect, which illuminate that the port company should focus on the main business to enhance the return of net assets, it also shows that the business of the list port companies is over - concentrated, and should be diversified to lessen the operating risk ; the companies should accelerates the turnover speed of the assets ; the appropriate structure of the assets can bring benefit to a company, but the ultimate approach to enhance the return of the net assets is to look for items with high return ; the sightless investment made the increasing speed of return lag behind the expanding speed of the capital ; and result in no scale economic benefit

    本文通過對部分港口類企業進行計量分析后發現港口企業的資本結構和投資對凈資產收益率沒有顯著的影響,而港口企業收入過分集中。針對未來財務環境發生的變化,本文從戰略財務管理的角度對南京港口集團公司提出以下建議:在投資領域,今後應以綜合物流為契機,專業化與多元化並重;適度發展集團化經營;優化資源配置,提高資產營運效率。在融資領域,要合理選擇融資渠道,降低融資成本,更多關注債務融資;確定合理的資本結構,控制負債風險,建立償債保障機制。
  10. Which illuminate that the shipping company should focus on the main business to enhance the return of net assets, it also shows that the business of the list shipping companies is over concentrated, and should be diversified to lessen the operating risk ; the companies should accelerate the turnover speed of the assets ; the appropriate structure of the assets can bring benefit to a company, but the ultimate approach to enhance the return of the net assets is to look for items with high return ; the sightless investment made the increasing speed of return lag behind the expanding speed of the capital, and result in no scale economic benefit

    本文通過對航運類上市公司進行計量分析后發現航運企業的資本結構和投資對凈資產收益率沒有顯著的影響,而航運企業收入過分集中。針對未來財務環境發生的變化,本文從財務戰略管理的角度提出以下建議:在投資領域,今後應以綜合物流為契機,專業化與多元化並重;適度發展集團化經營;優化資源配置,提高資產營運效率。在融資領域,要合理選擇融資渠道,降低融資成本,更多關注債務融資;確定合理的資本結構,控制負債風險,建立償債保障機制。
  11. The financial risk measurement is the focus of all of the society

    金融風險的測度問題是近年來國內外金融界、學術界非常關注的課題。
  12. Complexity in the battlespace demands that we shift focus from attrition - based mass to purpose - based distribution, from apocalyptic, episodic fires to high - fidelity, continuous sensors and from deliberate risk aversion to informed risk - taking

    作戰空間的復雜性要求我們將焦點從立足於消耗大規模作戰轉變到立足於實現目標的分散式作戰,從世界末日式的短暫火力轉變到高保真的、持續不斷的監測,從謹慎地避免冒險到有準備的承擔風險。
  13. According to this article, the following aspects are the important tactics guarantee and the starting - point of policy decision : 1. the demand of r & d cost and the high return of profit are the focus of risk investment

    通過分析,本文認為以下幾個方面是促進風險資本與生物醫藥產業高效融合的重要策略保證和決策出發點: 1 、高研發( r & d )費用的需求和高額利潤的回報是風險投資的切入點。
  14. This review focus on the characters of patients with cleft palate and micrognathia, the pathologic and physiological changes of this malformation and their influence on the patients, the risk factors of cleft palate repair, the indication and the outcome of palatoplasty

    摘要作者主要對齶裂合併小下頜畸形的臨床特徵、病理生理表現及對患兒的影響、齶裂修復治療的影響因素、相對適應證以及齶裂修復術后的效果進行了綜述。
  15. The focus of regulators, yet, seems to have been placed overwhelmingly on the reform in safeguarding financial soundness. for example, the new capital adequacy framework, proposed by the bank for international settlements, differentiates the capital requirement for assets of different risk levels, is a major innovation in supervision after the financial crisis

    不過,監管機構的關注重點,似乎較為傾向在維持穩健財政狀況方面;例如國際結算銀行提出的新資本充足比率架構,按不同資產風險程度設定資本要求,是金融風暴以後一個主要的創新監管方式。
  16. Improve the operation and management mechanism, define the business development strategy and focus, strengthen financial position, upgrade the risk management system, and tighten internal control

    完善了經營管理機制,明晰了業務發展戰略和重點,夯實了財務基礎,改善了風險管理體系,加強了內控監督機制。
  17. But the risk might be dodged and focused through the anticipation operation - - focus the settlement of exchange rate through the forward settlement of exchange, to get away from exchange rate risk

    但風險可以通過事前的操作予以規避和鎖定? ?通過遠期結匯來鎖定結匯匯率,規避匯率風險。
  18. Most of the foreign works focus mainly on the development and research of the most advanced technology of risk management, to meet the need of the developed international foreign exchange market and the risk management, which provide powerful tools for the commercial banks ’ management of foreign exchange risks in the innovation of foreign exchange ramifications and the measure and control of risks

    中資銀行第一次在同一平臺上與國際著名的銀行集團展開競爭,它們連續不斷地報出各貨幣對買/賣雙邊報價,並接受非做市商的訂單。對做市商來講,如何做好風險管理是一大挑戰。
  19. It is expected that the revised liquidity regime will place more supervisory focus on ais liquidity risk management systems and controls, including their ability to conduct cash flow management and scenario analysis

    預期經修訂的流動資金制度將會更集中監管認可機構的流動資金風險管理制度及監控措施,其中包括進行現金流量管理及情況分析的能力。
  20. Great research has been made on the choice of the operation business pattern of a country ' s financial industry. it is held that the operation risk is the focus of the divided - operation business pattern versus the multi - operation business pattern, and the operation risk is the cause of their debate

    國內外學者對一國金融業選擇何種經營模式做了大量研究,認為分業經營與混業經營爭論的焦點在於風險的控制,而對經營效率的追求則是分業經營與混業經營爭論的起端。
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