查询词典 risk-free
- 与 risk-free 相关的网络例句 [注:此内容来源于网络,仅供参考]
-
This article complies with the theory and the actual union principle, embarked from the agiotage to the negotiable securities operating unit's importance, elaborated carried on the recognition to the agiotage risk the necessity, pointed out in the agiotage development process several big quite remarkable risk points, the analysis present domestic risk management present situation and the existence question, proposed carries on the management to the agiotage risk the countermeasure measure.
本文遵从理论和实际结合的原则,从证券经纪业务对证券经营机构的重要性出发,阐述了对证券经纪业务风险进行识别的必要性,指出证券经纪业务开展过程中几大比较显著的风险点,分析目前国内风险管理的现状和存在的问题,提出了对证券经纪业务风险进行管理的对策措施。
-
Beginning with the general problem of the risk of real estate development and management this paper analyzes systematically and gives full details of the theories how the risk comes into being by using a certain of economic theories and some relevant subject knowledge and combining with the reality in China . After putting forward a series of method of risk assessment the paper advances how to aroid the risk of real estate development and management.
本文是从房地产开发经营风险的一般性问题入手,利用若干的经济理论,借助相关学科的理论知识,结合我国的实际情况,系统而详细地剖析了房地产开发经营风险生成的机理,提出了风险评估的一系列方法,最后提出了规避房地产开发经营风险的思路。
-
The CBRC allows commercial banks to implement the internal rating method by stages, however, when a commercial bank obtains the approval for using the internal rating method, its asset coverage ratio calculated according to the internal rating method (risk-weighted assets calculated according to the internal rating method)/(risk-weighted assets calculated according to the internal rating method + risk-weighted assets of other credit risk exposures calculated according to the revised capital supervisory provisions) shall not be lower than 50%, and it shall formulate the plan for the implementation of internal rating method by stages, so as to ensure that the asset coverage ratio reach 80% in three years.
银监会允许商业银行分阶段实施内部评级法,但在获得许可使用内部评级法时,采用内部评级法的资产覆盖率(按内部评级法计算的风险加权资产/[按内部评级法计算的风险加权资产+按修订后资本监管规定计算的其他信用风险暴露的风险加权资产])应不低于50%,并制定分阶段实施内部评级法规划,以保证3年内资产覆盖率达到80%。
-
This dissertation is devoted to studying the ruin theory on the dual risk model with several dividend rates and on the bidimensional perturbed risk model with or without stochastic disturbance, which includes the discounted expected function about the dual risk model with three dividend rates and the ruin probability on the bidimensional perturbed risk model.
本文致力于研究分多段分红的对偶风险模型及二维风险模型的破产理论,主要研究了分三段分红的对偶风险模型的折现红利的期望函数,并对带有扰动项的二维风险模型的破产概率做了研究。
-
This paper proponed a correlation and risk assessment approach to solve these problems, which exploited constructed security correlation model to compote real-dine risk for every security event (such as alert, operating system log record, and so on), and gave out new alerts for high risk events while discard low risk ones so as to reduce false positive and false negative rate.
提出了一种利用关联和风险评估的方法,利用构建的安全关联模型,计算出每个安全事件(如告警事件、系统安全日志记录等)的实时风险值,对风险值较高的事件给出新的警告,并摈弃那些风险值较低的事件,从而降低漏报和误报率。
-
We show the different properties between covariance risk allocation function and relative risk allocation function and prove that the commonly used risk budgeting model is a special form of risk allocation function.
我们证明并比较了在标准差风险度量下,协方差风险分配函数与相对风险分配函数性质上的差异,并证明风险预算也是一种特殊形式的风险分配函数。
-
Just about this letterpress analyze auditing risk from the definiens of auditing risk and the cause to be formed,and the different auditing model be used bring different auditing tisk.at last,on the basis of the influence factor of auditing risk and auditing model,letterpress bring forward the methods and measure on auditing risk .
本文正是基于此从审计风险的定义和形成原因入手来分析审计风险,以及由于审计模型应用的不同带来的审计风险也不同。最后根据影响审计风险的因素和审计模型来提出防范审计风险的方法和措施。
-
The financial risk has concentrated not merely in some company one country and area along with world economics unceasing development. With the risk diffusibility, a non- systematic risk can into a huge systematic risk.
随着世界经济的不断发展,金融风险已不仅仅集中在某一个公司或行业、国家和地区,风险扩散和集聚的增强使得以往所认为的一个非系统性风险可能会演变成一个影响巨大的系统性风险。
-
This paper sets up the evolvement model of risk management system from the perspective of evolution, and illustrates, in a quantitative way, how cognitive structure, logistic discursion, information receive and diffuse behavior of risk management micro-agent influence the risk management system, which provides the research framework and practical instrument for the computer simulation of risk management system.
论文从进化的角度出发,构建了灾害管理系统的演化模型,探讨了灾害管理微观主体根据自身周围情况变化,不断改进自身的行为库和知识库,组成相互分工与协作的自组织系统,完成灾害管理任务。
-
Returns from these investments, bank savings, the lowest investment income, only 2%-3%, but its risk minimization, and the best liquidity; bond investment income of about 3%— 5 percent, its risk, realized a long time; the real estate rental investment income of about 5%-8%, with less risk, but poor liquidity; investing in stocks or buy new real estate investment, their investment income about 10% or more, but they risk the most, there are too many uncertainties.
这些投资的回报,银行存款,投资收入最低,只有2%-3 %,但其风险最小化,最好的流动资金;债券投资收益的约3%- 5点,风险,实现很长一段时间;房地产投资租金收入约5%-8 %,且风险较小,但穷人的流动资金投资于股票或购买新的房地产投资,其投资收益约10 %或更多,但他们最危险,有太多的不确定因素。
- 相关中文对照歌词
- Risk It All
- Risk It All
- Risk
- Risk
- Risk It All
- Running The Risk
- Risk My Soul
- Flight Risk
- High Risk Insurance
- Risk It All
- 推荐网络例句
-
They weren't aggressive, but I yelled and threw a rock in their direction to get them off the trail and away from me, just in case.
他们没有侵略性,但我大喊,并在他们的方向扔石头让他们过的线索,远离我,以防万一。
-
In slot 2 in your bag put wrapping paper, quantity does not matter in this case.
在你的书包里槽2把包装纸、数量无关紧要。
-
Store this product in a sealed, lightproof, dry and cool place.
密封,遮光,置阴凉干燥处。