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

However, one should not ignore the international project financing will accompany with great risk, in the structure of Chinas system of project financing, to balance the interests of the system and risk, legal control is necessary, we have to pay attention to the study of the intrinsic nature of project financing, analysis risk factors clarify the content of the project, straighten out the in the status of project financing and so on, At the same time project financing as a result of successful project financing is a sign between the parties to the rational allocation of risks, and risk allocation is mainly through legal means, risk allocation is reasonable or not directly related to the success or failure of project financing.

更加值得注意的是,国际项目融资作为一种重要的国际融资工具,其本身的风险性特征十分明显,因此,在建构和/或完善我国项目融资制度时,注意制度的利益平衡和风险法律控制是其核心。在风险控制手段方面,我们要注意研究项目融资的内在本质,分析具体项目本身的特性,认识项目风险因素的内容,把握我国法律制度和政策的特殊个性,摆正政府在项目融资中的地位等等,是我国项目融资法律制度完善的必要环节。

In the situation, this paper brought up the risk analysis and evaluation method on the basis of intelligent control and network communication technology for Network Communication System. The risk analysis and evaluation of Network Communication System firstly discussed the character of network communication and its risk. At the following we estimate a risk evaluation model according the distribution of the systems risk by time and space. Otherwise, we combined Fuzzy Comprehensive Evaluation with Analytic Hierarchy Process, and set up the multi-grade fuzzy comprehensive evaluation model for Network Communication System.

该方案主要通过讨论网络通信系统及其风险的特性,根据风险的时间和空间分布规律,以"风险"为整个网络通信系统安全模型的评估和分析对象,确立网络通信系统风险分布的量化评估模型,同时,就不同区域和不同时段的风险通过引入层次分析的一般方法来确定它们的权重系数,最后,通过模糊综合评判法则对系统中模糊不确定性因素进行数学化的抽象,建立一个反映其本质特征和动态过程的理想化的数学评估模型。

When investors are in the treasury secondary market, they have to undertake two kinds of risks: the first one is yield risk, that is, return of investment is lower than inflation rate. This risk can be depicted as the deviation between the ROI and the inflation rate. Secondly, fluctuation risk in the treasury secondary market, that is, the uncertain fluctuation risk may be bullish or bearish in the treasury market.This risk can be depicted as the square deviation of the treasury price in the secondary market.

在国债现货二级市场上的投资者,要承担的风险主要有两种:第一种风险是收益率风险,也就是投资收益率可能低于通货膨胀率的风险,这种风险可以用与通货膨胀率相比较的差值的大小来描述;第二种风险是二级市场价格波动性风险,也就是市场价格上、下波动的不确定性风险,这种风险可以用二级市场价格的标准差来描述。

CDC NPIN can tell you whether there was no risk, low risk, or high risk of HIV transmission. Based on your situation the chance or probability of transmission is low. You had an open wound in your mouth that was exposed to vaginal fluid this is what makes your situation low risk. Any time a person has a canker sore, cut, or opening to the mouth this is a risk because this is a point of entry for the virus. If you still do not understand this we encourage you to discuss this with your doctor so there is not a language barrier, and you can have a medical professional explain this to you.

cdc npin 能告诉你是否这儿是无风险或是低风险或是高风险对于hiv传播,,基于你的情况这个机会或许可能感染低风险的,你有一个开放性的伤口在你嘴里面被曝露与阴道分泌物这样可以是与处于低风险,任何时候一个人有口腔溃疡疼痛,割伤,或是开放在嘴里面这是一个风险因为这是一个点进入病毒,如果你依然不明白这些我们鼓励你去讨论和你的医生,因为这人没有语言障碍,并且有一个专业的解释给你

In the near future to address the lack of new investors into the market of securities investment experience, investment philosophy immature, and weak risk awareness and risk-resisting ability of the new situation and new features, in-depth development of education as the main risk to the content of investor education, improve investors "Caveat emptor" risk awareness, strengthen its ability to identify and risk tolerance.

在不久的将来,以解决进入证券市场的新投资者缺乏投资经验,投资理念不成熟,风险意识薄弱和抗风险的新情况和新功能的能力,深入的教育发展面临的主要风险对投资者的教育内容,以加深投资者"买者自负"的风险意识,加强其能力,识别和风险承受能力。

Secondly, the paper systematically introduces the theory of risk and risk management. This paper discusses the risk identification, risk analysis and estimate, risk rely, supervision and control of risks, and tries to make the risk management systemize.

其次,系统的介绍了风险和项目风险管理理论,对风险识别、风险分析和评估、风险应对、风险监控等四个阶段进行了深入探讨,尝试将风险管理的过程系统化和制度化。

The results show that concentration of ownership has a significant impact on risk-taking. The higher the largest shareholder's shareholding percentage, the higher the risk-taking is; the higher the top five shareholders' shareholding percentage, the lower the risk-taking is. The percentage of untradeable shares, the size of the board of directors, the proportion of independent directors and the average remuneration of top 3 senior executives with the highest remuneration are negatively correlated to the risk-taking. However, the situation that the chairman or vice chairman concurrently holds the post of president or CEO increases the bank's risk exposures to a certain extent. Proportion of state-owned shares, the nature of the largest shareholder and the executives' shareholding have no significant impact on risk-taking.

结果表明,股权集中度对风险承担产生了显著的影响,其中第一大股东持股比例越高风险承担越高,而前五大股东持股比例越高风险承担越低;非上市流通股比例、董事会规模、独立董事比例以及薪酬最高的前三名高管的平均薪酬均与银行风险承担负相关;银行董事长同时兼任行长在一定程度上倾向于增加银行的风险承担;国有股比例、第一大股东性质和高管持股状况没有对风险承担产生显著影响。

The risk what stock trade affronts is a special behave that common risk represents in the stock field. So,in order to structure the risk management system in securities corporations,its very important to review and analyze gradually the risk main body in stock trade,risk environment,managing feature and the actuality faced in daily actions,it also important to review and compare the risk management process in stock trade in China and beyond the sea.

证券业所面临的风险又是一般意义上的风险在证券领域的特殊表现,因此,对证券业的风险主体和风险环境、证券公司的经营特性以及在日常经营活动中所面对的风险现状进行逐层深入地了解和分析,并对我国及海外证券业的风险管理进程进行考察、比较,是构建证券公司风险管理系统的基本前提和必要准备。

The risk discerns the foundation that is risk management. The risk analysis and assessment are keys of risk management. The administrative decision of the risk is a core of risk management.

风险识别是风险管理的基础,风险分析与评估是风险管理的关键,风险管理决策是风险管理的核心。

In this paper, the status quo of the Risk Management of the domestic and foreign research as well as applications of our city Yikatong projects was reviewed. The basic concepts and several commonly used methods of risk indentify, risk evaluation and risk control, were introduced. And present situation of the project management research was summarized. Which is mainly: The methods of risk indentify: Brain Storm, Delphi and Situation Analysis; The method of risk evaluation: Fuzzy-Synthesis

本文对项目风险管理在国内外的研究现状以及在我国城市一卡通项目中的应用进行了综述,介绍了它的基本概念及其常用的几种风险识别、风险评价和风险应对和监控的方法,总结了城市一卡通项目中风险管理的研究现状,主要为:风险识别的方法:头脑风暴法、德尔菲法和情景分析法;风险评价的方法:模糊综合评价法。

第6/100页 首页 < ... 2 3 4 5 6 7 8 9 10 ... > 尾页
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

The absorption and distribution of chromium were studied in ryeusing nutrient culture technique and pot experiment.

采用不同浓度K2CrO4(0,0.4,0.8和1.2 mmol/L)的Hoagland营养液处理黑麦幼苗,测定铬在黑麦体内的亚细胞分布、铬化学形态及不同部位的积累。

By analyzing theory foundation of mathematical morphology in the digital image processing, researching morphology arithmetic of the binary Image, discussing two basic forms for the least structure element: dilation and erosion.

通过分析数学形态学在图像中的理论基础,研究二值图像的形态分析算法,探讨最小结构元素的两种基本形态:膨胀和腐蚀;分析了数学形态学复杂算法的基本原理,把数学形态学的部分并行处理理念引入到家实际应用中。

Have a good policy environment, real estate, secondary and tertiary markets can develop more rapidly and improved.

有一个良好的政策环境,房地产,二级和三级市场的发展更加迅速改善。