风险损失

  • 网络Risk Loss;Risk Costs;risky loss
风险损失风险损失
  1. 此外,对大坝运行的风险损失分析作了一些研究。

    In addition , the risk loss analysis of dam operation is discussed .

  2. 当蓄洪量较大时,有控险措施的泡沼蓄洪风险损失明显小于无控险措施的泡沼蓄洪风险损失。

    When the flood storage is large , the risk loss with control measures is obviously smaller than that without control measures .

  3. FFA作为一种新型的运费衍生品具有类似期货的性质,船东或租船方可以通过在FFA市场上进行与现货市场相反方向的买卖来达到锁定利润和风险损失的目的。

    Owners or charterers can trade in the opposite direction in the FFA market and the spot market to guarantee profits and minimize risks .

  4. 初步探讨并提出供水系统风险损失的计算方法;

    The preliminary method to calculate risk economic damage is explored .

  5. 伪造风险损失欺诈博弈与最优保险合同设计

    The Fraud Game of Forging the Loss and Optimal Insurance Contract Design

  6. 信贷资产风险损失分类与评估

    The Classification and Evaluation of the Loss of the Credit Assets Risk

  7. 建立了工程结构的风险损失模型。

    The risk lost of the engineering structure mathematic model is established .

  8. 修正商业银行操作风险损失分布模型的思考

    Thoughts about Revising Loss Distribution Approach of Commercial Bank 's Operational Risk

  9. 项目风险损失程度的估计方法研究

    Research on evaluation method of loss degree of project risk

  10. 模糊预期收益率下风险损失率的左偏差度量

    Left Deviation for the Measure of Risk Rate under Fuzzy Expected Profit Rate

  11. 保险的目的就是防止风险损失。

    The purpose of insurance is to cover risks .

  12. 考虑随机利率情形下关于风险损失(或赔款)的随机风险模型。

    Risk model for interest randomness is considered .

  13. 基于可靠度的结构风险损失研究

    Structural Risk Analysis Based on Structure Reliability Index

  14. 第三章是操作风险损失特征及成因比较,分别介绍了国外和国内商业银行操作风险损失数据的特征和成因。

    Chapter three is the data characteristics and the cause of comparison of risk loss .

  15. 通过对轴心受压构件的分析,给出风险损失与结构可靠指标之间的定量关系。

    Analyzing an axially loaded column derives the relation between risk cost and structure reliability index .

  16. 本文以新巴塞尔协议对资本约束的有关要求为背景,深入探讨了商业银行风险损失与其资本准备的关系。

    This paper investigates the relationship between the loss of banks ' risk and its capital provision .

  17. 然后,从公开媒体报道中收集2000年至2006年6月的操作风险损失数据。

    Then I get the lose data which range is from 2000 to June 2006 from public media .

  18. 平均风险损失指数随后位于67.2%,与先前股市最好时期79.6%指数相对应。

    The average exposure level then stood at67.2 % , versus an average of79.6 % from prior market tops .

  19. 将模板支撑架体系的失效概率模糊化,建立了以模糊风险损失期望值最小为依据的风险决策模型。

    With the use of fuzzy failure probability , risk decision model based on minimum fuzzy risk loss expectation was presented .

  20. 随着信用卡业务的发展,风险损失也越来越多。其风险由外部、内部因素引发。

    With the development of credit business , the risk losses become more and more , caused by external and internal factors .

  21. 在证券预期收益率为区间数数据下,阐述了相对左偏度在相应风险损失率度量中的应用。

    It can be applied in the measure of risk rate when expected profit rate of stock investment is interval number datum .

  22. 一方面在我国操作风险损失事件发生频繁,操作风险日益成为银行业面临的最主要风险,另一方面我国针对操作风险的研究还处于初级阶段。

    Loss in operational risk incident happened frequently in our Country , operational risk increasingly becomes the main risk facing by banks .

  23. 模型给出了被保险人风险损失的概率分布与保险人所提供的保险费率之间的关系。

    This model describes the relationship of probability distribution of risk loss of the insured and the premium rates of the insured .

  24. 以一输水隧洞为例阐述了损伤风险损失的计算过程。

    A water transfer tunnel is used as an example to show how to calculate the risk loss caused by the structure fatigue .

  25. 为确定不同区域风险损失、保险费率的厘定及保险经营的稳定性提供依据。

    The research results can provide basis for estimation of regional flood damage and calculation of the premium rate and stability of insurance operation .

  26. 本文分析了风险损失和价值创造的内在关系,以及风险控制的选择如何影响并购的风险损失和价值创造。

    The paper analyzes the internal relation of risk loss and value creation and how risk control influences loss and value creation in MA .

  27. 该保险公司表示,保险费应反映高层经理因气候风险损失而遭到起诉的情况。

    Premiums should reflect the risk of litigation against senior managers who have failed to protect their companies against such risk , it says .

  28. 针对预期收益率与风险损失率为模糊数时,建立了一种具有模糊系数的证券组合投资选择模型。

    A optional model of portfolio investment with fuzzy-coefficient in which profit rates and risk rates are fuzzy numbers is presented in this paper .

  29. 建立了人才风险损失模型;指出了我国企业的人才风险管理、有效防范人才风险的途径。

    A model for estimating the loss caused by talent risk is established providing the way to prevent this risk and reinforce the risk management .

  30. 根据风险损失作用对象的不同,将体育赛事面临的主要风险分为财产风险、人身风险、责任风险、赛事取消风险和财务风险。

    The risks of the sports competitions were categorized into property risk , life risk , liability risk , competition cancel risk and financial risk .