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risk function相关的网络例句

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与 risk function 相关的网络例句 [注:此内容来源于网络,仅供参考]

The situation with the machine physics function of every Slave and different configuration, the load that reuse random takes no account of function is balanced, it is very unscientific, the machine that can give machine function difference so brings needless high load, bring the risk of delay machine even, at the same time high-powered database server also cannot develop its physics property adequately.

每个Slave的机器物理性能和配置不一样的情况,再使用随机的不考虑性能的负载均衡,是非常不科学的,这样一来会给机器性能差的机器带来不必要的高负载,甚至带来宕机的危险,同时高性能的数据库服务器也不能充分发挥其物理性能。

This paper analyses the homogenous tendency of open-end fund at first,pointing out that unperfect development of market and investors' immature investment opinions is the origin of such phenomena. Secondly,having compared the fund sizes and purchase fee rates of 25 open-end funds in China,conclude that there are problems of diseconomy of scale and indistinctive relativity between fees and achievement in Chinese open-end funds. Then this paper introduces benefit and cost function to analyze the problem of lack of motivation and constrain mechanism towards fund managers because of unreasonable fees in China. Thirdly,this paper analyze funds managers' normal hazards by static game model,and then points out fund managers have serious tunneling behaviors in Chinese open-end fund industry. In the end,this paper analyzes the causes of liquidity risk of open-end fun and the particularity of liquidity risk of open-end fund in China,and concludes that liquidity risk in Chinese open-end fund industry is higher through calculating the rates of share change and comparing the portfolio selections of top 20 open-end funds in China.

本文首先分析了我国目前存在的基金产品同质化现象,指出市场发展的不完善以及投资者投资理念的不成熟是同质化的根源所在;其次对比了我国现有的25只开放式基金的规模和申购费率,得出了我国开放式基金存在着规模效应不明显以及基金业绩与费率相关性不强的问题,并引入效益函数和成本函数分析了由于我国开放式基金费率不合理引发的基金管理者激励约束机制缺失的问题;再次,应用静态博弈模型分析了基金管理人面临的道德风险,指出目前我国开放式基金由于监管机制脆弱而存在着较为严重的管理者利益输送行为;最后,分析了开放式基金流动性风险的形成原因以及我国基金市场流动性风险的特殊性,并通过计算目前我国基金资产规模前20位的开放式基金的份额变动率以及比较它们的投资组合结构,得出了目前我国开放式基金流动性风险偏大的结论。

In this dissertation, the audit risk is the function of material misstatement risk and detection risk instead of their product.

我们认为本文中取得的这种三层次的审计风险模型更真实贴切地反映了审计人员的审计过程。

Then, through building the model of the scatteration of the gathered underwrite risk and portfolio risk, the function of scattering risk of going on the market is further expoun.

本文围绕着这两大风险从我国保险公司的现状和承保风险集聚的理论方面分析保险公司上市的必要性和可能性,然后,通过建立承保集聚风险分散和组合投资风险分散的模型,进一步从理论上阐明上市分散风险的功能,最终得出上市是发展我国保险事业的有效途径的结论。

Around the two major risks, the necessities and possibilities are analyzed that insurance companies go on the market from the aspects of the present conditions of Chinese insurance companies and the theory on the gathered underwrite risk. Then, through building the model of the scatteration of the gathered underwrite risk and portfolio risk, the function of scattering risk of going on the market is further expoun...

本文围绕着这两大风险从我国保险公司的现状和承保风险集聚的理论方面分析保险公司上市的必要性和可能性,然后,通过建立承保集聚风险分散和组合投资风险分散的模型,进一步从理论上阐明上市分散风险的功能,最终得出上市是发展我国保险事业的有效途径的结论。

The function of derivatives market is to transform the investing risk from a risk averter to a risk taker as to adopt each risk standard of each paticipant, this will lead more investments drop in the fundamental market.

衍生品交易市场的作用在于将投资风险从风险厌恶者转移到风险偏好者那里,从而使得每一个参与者都实现了与其相适应的风险水平,结果是吸引更多的资金投入基础市场。

Risk management has been regard as the core function of commercial bank by the modern financial theory, and the New Basel had brought forward higher requirement for the building of risk management frame. This thesis will analyze the situation of the precaution of individual housing loan credit risk lengthways and breadthwise, using the method of actual evidences and data analysis.

本文通过运用实证分析、数据分析等方法,在对我国房地产市场和个人住房贷款业务的发展历程回顾的基础之上,对我国个人住房贷款信贷风险防范进行了纵横剖析,并结合对国外个人住房贷款信用风险防范的分析,提出了基于我国实情、借鉴国际经验的完善我国商业银行个人住房贷款信用风险防范体系的建议。

Because constructing the fuzzy function is aim at every target of financial risk dividedly, the fuzzy function constructed has target and is a quantitative member belongs to [0,1]. Thus the constructing of function has more objective, and better reflect the unified target .

因为构造出的模糊函数是分别针对金融风险的每一个目标的,这样构造出的模糊函数带有目标性,且是[0,1]区间的一个量化数,这样函数的构造就比较有针对性,且更好地反映了目标化的统一。

Considering the actual surroundings and the characteristics of internal audit in our country,the supervising and examining function,certificating and appraising function,controlling function,risk early-warned function and counseling function should be as the mostly functions of internal audit.

就我国目前的环境和我国内部审计的特点来看,监督检查职能、鉴证评价职能、控制职能、风险预警职能和咨询服务职能应该是内部审计的主要职能。

This paper presents the portfolio selection problem of two-attribute money and creates a model of portfolio selection based on two-attribute money, which can both contain the existing portfolio models and overcome the above-mentioned deficiencies. A series of new concepts is put forward, such as, holding wealth, obtainable wealth, short-term utility function, short-term expectation-variance utility function, state-expectation-variance utility function, short-term expectation-variance utility curve, long-term expectation-variance utility curve, margin utility contribution force, additional contribution force, profit-risk exchange rate and optimal portfolio expansion curve; The state-expectation-variance analytical method is developed from the expectation-variance analytical method; A set of systematic theories concerning two-attribute portfolio selection is thus established.

本文提出了两属性货币的证券组合选择问题;创建了既能包含现有证券组合选择模型又能克服上述两点不足的两属性证券组合选择模型;提出了持有财富、可获财富,短期效用函数,短期期望—方差效用函数、状态—期望—方差效用函数,短期期望—方差效用曲线、长期期望—方差效用曲线,边际效用贡献力,附加贡献力,收益—风险替换率,最优证券组合扩展线等一系列新概念;把期望—方差分析方法发展成状态—期望—方差分析方法;建立了两属性证券组合选择模型的一套系统的理论。

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在美国,慢性酒精中毒,肝炎是最常见的。

If you have any questions, you can contact me anytime.

如果有任何问题,你可以随时联系我。

Very pretty, but the airport looks more fascinating The other party wisecracked.

很漂亮,不过停机坪更迷人。那人俏皮地答道。