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General risks Investment in KODA ELIs involves substantial risks including market risk, liquidity risk, and the risk that we will be unable to satisfy our obligations under the KODA ELIs.

投资KODA_ELIs涉及重大风险,包括市场风险、流通性风险,以及我们不能履行其在KODA_ELIs项下责任之风险

The results are as follows: Sonneratia apetala gained the risk values of 42(41), and Laguncularia racemosa as 40(36.5), they all been ranked as "Represents certain risk, gaining relevant information for further research or taking some measures for prevention and supervision is needed".

结论为:无瓣海桑风险分值42(41),拉贡木风险分值40(36.5),风险等级为&具有一定的风险,需要获取相关信息进一步加以研究或应采取相应的防范监控措施&。

Base on them, credit riskdegree is brought forward and treated as a new criterion (model's output).Comparing with other typical criteria, traditional ones all fall short of the fouressential attributes in some degree. Especially, when the continuity could not bemet, criteria will fluctuate seriously, which amplify actual credit risk for a whileand minify it for a moment. So the evaluating results are distorted severely.

以此为基础,提出以信用风险度作为新的衡量标准,并分别与典型衡量标准进行了比较分析,发现传统信用风险衡量标准,在这四个基本属性方面都存在不同程度的弊端与不足,尤其在不满足连续性时,衡量标准具有严重的&波动性&,体现为对实际信用风险忽而不同程度地放大,忽而不同程度地缩小,严重扭曲了风险评估结果。

Finally transforms to the risk for the opportunity method carries on the elaboration, if we want the risk transform to the opportunity, we should enhance distinguishes and resists the risk ability firstly, nextly,we must sharpen ability which makes use of favorable conditions and avoid unfavorable conditions, and we must be good at once more using and the melt contradiction, finally we must stimulate the national cohesion by the risk pressure.

最后对风险转化为机遇的方法进行阐述,认为风险要转化为机遇,首先要提高识别和抵御风险的能力,其次要提高趋利避害的能力,再次要善于利用和化解矛盾,最后要以风险压力来激发民族凝聚力。

Therefore,when the geology risk assessment is done,the geology risk index as effective thickness,porosity,permeability,abundance,exploration maturity,heterogeneity,exploration success ratio and gas combination are selected.Using the gray cluster method,this paper conducts the synthetic evaluation and research on geological risk taking 7 well blocks in a certain region as an example and according to geology risk assessment characteristics,which can quantize and display the quality of nonproducing reserves in each area.

为此,在对地质风险评价时,选取了有效厚度、孔隙度、渗透率、丰度、勘探成熟度、非均值性、勘探成功率、含气组合等8个地质风险指标,以某油田某地区的7个井区为例,结合地质风险评价的特点,运用灰色聚类法对其进行地质风险综合评价研究,使以各个区块为单元的未动用储量的优劣得以量化表现。

Portfolio investment is an efficient way to reduce risk. Risk can be classified into systematic risk and nonsystematic risk, and the latter can be diversified by portfolio investment.

投资组合是降低风险的有效途径,风险可以分为系统风险和非系统风险,后者可以通过投资组合的方式加以分散和消除。

In the third chapter, we assume the expected returns of the risky and risk-free assets as well as the covariance matrix of the risky assets are not exactly known, but defined by some known elements, which form the vertices of this polytope. We consider three problems, the first one is when there exists no risk-free asset in the

第三章假设风险资产和无风险资产的收益以及风险资产的协方差矩阵不是完全确定的,其相关参数属于某个已知的凸多面体,分别在市场不存在和存在无风险资产的情况下定义了稳健最优投资组合问

In this paper we assume the expected returns of the risky and risk-free assets as well as the covariance matrix of the risky assets are not exactly known, but defined by some known elements, which form the vertices of this polytope. Robust optimal portfolio problems are proposed in the market with and without risk-free asset. And the analytical solutions are given out when the covariance matrix of the risky assets are exactly known.

本文假设风险资产和无风险资产的收益以及风险资产的协方差矩阵不是完全确定的,其相关参数属于某个已知的凸多面体,分别在市场不存在和存在无风险资产的情况下定义了稳健最优投资组合问题,并在协方差矩阵确定的情况下给出了问题的解析解。

However, China's banks lagged behind the others in this respect at present and, what's more, credit, operation, market and exchange rate risks are all aggravated because of the lag in credit information management, defective document scrutinization system, complex rules of settlement and inexperience when facing to the fluctuation in international markets.

目前由于我国银行在国际结算业务中信用信息管理滞后,涉外单据审核制度存在缺陷,结算规则较为复杂,面临市场波动时经验不足,从而加剧了银行的信用风险、操作风险以及市场风险和汇率风险

This paper carries on the discussion and collects to the security risk factor of such aspects as the technology, management and system, etc. And propose a Measurement-based Improvement Operation for Software Security Risk (SEcurity Risk Improvement Operation; SERIO). Applying the SERIO to software development, can help to find out the potential security risk, derive out improvement of the security risk and control operation, and increase the security of the software system effectively.

本文针对技术、管及制等层面的安全风险因子进探讨与搜集,且提出一套以测为基础的软体安全风险改善作业(SEcurity Risk Improvement Operation; SERIO),协助软体开发过程中,找出潜在的安全风险,且衍生出安全风险的改善与监控作业,有效提高软体系统的安全性。

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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。