security management practices 中文意思是什麼

security management practices 解釋
安全管理實踐
  • security : n 1 安全(感);安穩;穩妥;平安。2 確實;確信;把握;可靠性;安心。3 【軍事】防禦物。4 保護;防...
  • management : n. 1. 辦理,處理;管理,經營;經營力,經營手腕。2. 安排;妥善對待。3. 〈the management〉〈集合詞〉(工商企業)管理部門;董事會;廠方,資方。
  • practices : 革除陳規陋習
  1. In this article, skyler answers your questions about the architecture and design of ibm websphere portal hereafter called websphere portal applications, including hardware topologies and development and deployment architecture, security and single sign - on, content management and personalization, and generic websphere portal best practices

    在本文中, skyler回答了關于ibm websphere portal (以下稱為websphere portal )應用程序的架構與設計問題,包括硬體拓撲與開發和部署架構、安全與單點登錄、內容管理與個性化,以及一般websphere portal最佳實踐。
  2. Beta is a measurement of correlation between the price fluctuations of individual security ( or portfolio ) and the average price fluctuations of all securities in the market, that is called " systematic risk coefficient ". beta has not only important implications in finance theory, but also widely used in investment practices such as asset pricing, portfolio management and performance valuation

    一方面,系數是正確理解資本市場理論中有關收益?風險關系的關鍵參數,系數的穩定與否對于capm模型在投資決策方面的應用如資產定價、股票收益預測和投資績效評價至關重要;另一方面,資本市場上的許多事件研究也都依賴于系數的穩定性。
  3. With references on the institutions of western investment bank and the practical developments of capital & security market and investment banking, this paper makes not only studies on basic theory of risk management of investment bank but also investigations on risk management practices of investment bank both in china and abroad. through systematic exploring the essences of risk management in investment banking and comparative analyzing the successes and failures of investment risk management practices in developed countries, this paper provides an effective approach for constructing the risk management system of investment bank and advances strategic counterme asures on risk management practices of investment banking and administrative department in china

    本研究既包括了投資銀行風險管理的基本理論,又包括了對我國投資銀行風險管理實踐的探索;既闡述了投資銀行風險管理的目的、意義,又在考察國內投資銀行業風險管理現狀、比較借鑒發達國家投資銀行風險管理和監管實踐,總結國內投資銀行業風險管理經驗教訓的基礎上,提出了建立我國投資銀行風險管理體系的實現途徑,為國內投資銀行業和金融證券監管部門開展風險管理提供對策建議。
  4. Global clearinghouse leaders discuss best practices for risk management and clearing including risk monitoring, default mechanisms, lines of credit, margining, security deposits, and insurance

    作為全球票據交換的主要公司,在這個專題中將探討風險管理和清算的經驗,包括風險監控、違約機制、信貸限額、限額邊界、保證金收取、風險準備金和保險。
  5. Aim at information security risk, according to the research on relative literatures and practices in information security domain and based on advices and suggestions from information experts and security technicians, this paper proposes three elements of information assurance system strategy, management and technology ; following the limited - aim principle, and starting with three elements, the paper also outlines the whole frame of an information assurance system

    文章綜合研究了國內外信息安全領域的相關文獻與實踐,在汲取眾多信息安全專家、安全技術人員等的意見和建議的基礎上,針對信息安全風險,提出了建立信息保障體系的三大要素? ?戰略、管理和技術;遵循有限目標的原則,以三大要素為切入點,作者勾勒了信息保障體系的整體框架。
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