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Methods A total of 60 patients with acute stroke of less than 24 h duration were included in the study. Nutrition risk screening was done in all those patients, with nutritional parameters to evaluate their nutritional status. Nutritional parameters were evaluated at admission and after 14, 28 d after the stroke, respectively. Results We found 15 cases with nutrition risk of 60 patients in admission, and incidence rate of undernutrition is 13.3%.

收集我院急性脑卒中患者60例,均进行营养风险筛查评分,检测营养学的指标来评定其营养状况,对存在营养风险和营养不良的患者均进行常规脑卒中治疗和营养支持,在住院14d、28d后再进行营养风险评分和相应指标的检测,分析营养风险评分与营养评价指标的检测在临床工作中的作用。

The risk management system of derivative financial instrument is discussed in following aspects:(1) since a key factor in market risk management is identification and measurement, enterprise should confirm market risk limitation and control upper limit of market risk.

加强衍生金融工具的风险管理制度建设方面主要是针对衍生金融工具的市场缺陷,通过建立健全风险管理制度,落实全方位、综合性的管理,即政府、交易所、企业都能够建立健全风险管理制度建设,并严格按照制度做到分级多层管理,尽可能克服其市场缺陷,有效控制将发生在各个环节的潜在风险

Firstly, this thesis analyzes the economic circumstances of enterprise and put forward the question of financial risk warning management. Secondly, it gives the research value and significance and the research actuality at home and abroad. Thirdly, author define the enterprise financial kind in this thesis by means of introduce the meaning and Victorianism of enterprises financial risk and systematically analyze all financial risks.

首先从企业所处经济环境出发,提出财务风险预警管理问题,阐述了其研究价值和意义,并对国内外相关的理论研究进行了简要综述;其次通过介绍企业财务风险含义、特征等相关内容,界定了对企业财务风险的分类,分析了各类财务风险;第三,阐述企业财务预警系统的理论模型,包括构建原则、工作内容及流程、方法体系。

Operation risk and credit risk, market risk wae real to be juxtaposed for three kinds of main risks since the Basel new capital agreement was released.

将操作风险与信用风险、市场风险真正并列为金融机构所面临的三种主要风险进行管理,则是《巴塞尔新资本协议》发布以后的事情。

These all call for the well-knit academic and professional researches in risk exposure, risk measurement to risk control.

所有这一切都要求对于发行市政债券所带来的信用风险的扎实的学术与专业的研究,从风险暴露,风险测量到风险控制。

Business Plan of venture enterprise is prepared by enterprisers to explain and analyze what anew enterprise needs,in order to get adeep understanding of itself by evaluating itself,and,what's more,to gain venture capital.

风险投资商业计划书是外部商业计划书的一种,是由创业者准备的书面计划,分析、描述创办一个新的风险企业时所需的各种因素,其目的是为了通过撰写计划的过程对企业自身入行自我评估,对创业前景有更加清晰的熟悉,并且期望通过计划书获得风险投资家的风险资本。

To deal with various risks in the production of space,local governments have to cease the monopolization in land requisition and expropriation,and establish the balance of interests between correlative groups and national institutions in the circulation of lands.To deal with risks in the games of new society,local governments must adjust the systems and policies concerned,and avoid just scratching the surface of a problem.To deal with risks in reallocation of social resources and social administration concerned with policy output,many local governments already have material condition to effectively break them,and the key is to improve their administerial skills in policy making and implementation.To deal with risks in vicious competition between city governments in urbanization,which are actually the manifest of malfunction of market mechanism,local governments must put the centralization mechanism into full play,and strengthen the social check and balance mechanism,in order to effectively regulate market mechanism and realize the organic interactions between social units,democracy,and market.

要破解地方政府在空间生产中风险重重的局面,必须改变政府在土地征用征收上的独裁专断格局,完善土地流转中各个相关利益群体间的权利均衡以及国家机构间的权力均衡机制;地方政府在新型社会博弈中的风险,也需要相关制度与政策的调整,不能停留在治标不治本的层次;在社会资源再分配与社会管制等政策输出方面的风险,许多地方政府已经具备了有效化解的物质条件,主观上提高政策制定与执行的行政技能是解决此类问题的关键;我国城市政府在发展地方经济推进地方城镇化中的恶性竞争风险,本质上是市场机制失灵的一种表现,必须通过充分运用集权机制、强化社会制约机制从而有效规制市场机制,实现科层、民主、市场三种机制的良性对接,政府、社会、企业三种力量的有机互动,才能解决。

This thesis through criterion and empirical study, qualitative analysis, quantitative analysis and antitheses, taking into account situation of Chinese commercial bank and using for reference foreign popular commercial bank interest rate risk measurement method—VaR model, quantitates interest rate risk faced by Chinese commercial bank, and is searching for Chinese commercial bank interest rate risk measurement method.

本文通过采用规范与实证、定性与定量和对比分析等方法,通过理论分析,并结合我国商业银行利率风险的现状,在借鉴国外商业银行目前广泛使用的利率风险测度技术——VaR模型的基础上,量化我国商业银行所面临的利率风险,探寻适合我国商业银行的利率风险测度方法。

Due to the reasons above, the risk problem in the Transnational Corporation financial management is chosen as the subject., with the help of the relevant studies of financial engineering, the risk management and the enterprise management, in this paper the antitheses, the taxonomy and the financial analysis are used to probe into how to improve the capability of risk management in Chinese Transnational Corporation and carry out the financial management based on all the risks in practice.

介于以上原因,本题在跨国公司财务管理问题研究中选择了风险问题作为写作的对象,本文运用了对比法、分类法和财务分析法等,并引入了金融工程学、风险管理学、企业管理学等相关学科的内容,从实际应用的角度出发,探讨如何提高我国跨国公司财务管理中的风险管理能力,实施各项风险基础财务管理工作。

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。

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Finally, according to market conditions and market products this article paper analyzes the trends in the development of camera technology, and designs a color night vision camera.

最后根据市场情况和市面上产品的情况分析了摄像机技术的发展趋势,并设计了一款彩色夜视摄像机。

Only person height weeds and the fierce looks stone idles were there.

只有半人深的荒草和龇牙咧嘴的神像。

This dramatic range, steeper than the Himalayas, is the upturned rim of the eastern edge of Tibet, a plateau that has risen to 5 km in response to the slow but un stoppable collision of India with Asia that began about 55 million years ago and which continues unabated today.

这一引人注目的地域范围,比喜马拉雅山更加陡峭,是处于西藏东部边缘的朝上翻的边框地带。响应启始于约5500万年前的、缓慢的但却不可阻挡的印度与亚洲地壳板块碰撞,高原已上升至五千米,这种碰撞持续至今,毫无衰退。