产品风险

  • 网络Product Risk
产品风险产品风险
  1. 最后,营销监管要从规范文本使用、产品风险评级和客户风险承受能力评估以及销售过程几个面方面进行加强。

    Finally , the marketing supervision to evaluate the use of standard text , from product risk rating and risk bearing capacity as well as three aspects of strengthening the supervision of sales process .

  2. 本文结论表明:大连分行应通过建立产品风险度量机制来实行对利率互换产品风险的动态管理,应通过完善组织架构、优化各种资源配置来贯彻全面风险管理理念。

    Major conclusion shows that CCB dalian branch should practice dynamic risk management by establishing product risk measurement system , should carry out overall risk management concept by consummating organization structure and optimizing resources collocation .

  3. 文章主要用VAR方法度量理财产品风险,并从定量、定性两个角度进行风险管理。

    This dissertation mainly uses VAR as a way to measure the financial product risks , and then manage the risk from the qualitative and quantitative ways .

  4. 与传统的软件过程相比较,基于RUP的软件过程可以降低产品风险,规范管理和开发流程,有效地控制资源,提高开发效率。

    Compared with traditional software process , software process based on RUP can reduce risks of software , standardize processes of management and development , control re-sources efficiently and improve development efficiency .

  5. 产品风险的所有承担者,包括Scrum团队和产品所有者,共同检视订单,然后根据优先级次序决定先开发哪一功能。

    All stakeholders together , including the Scrum team and the product owner , inspect the product backlog and decide what functionality will be tackled first based on priority .

  6. 并通过Delta-Gamma-Vega对冲法和VaR风险价值法等对银行结构性理财产品风险管理开展了研究。

    And research was undertaken through the Delta-Gamma-Vega VaR risk hedging method and the value of law on banks and other major methods of risk management structured products .

  7. 山东主要出口水产品风险分析

    Risk Analysis of Major Exporting Fisheries Products in Shandong Province

  8. 中国建设银行大连分行利率互换产品风险管理研究

    Study on Risk Management of Interest Rate Swap of CCB Dalian Branch

  9. 衍生产品风险衡量方法面面观

    Views of Derivatives Risk Measurement

  10. 基于产品风险,确定要测试和不需要测试的功能和项目。

    The items and features to be tested , and not to be tested , are identified based on the product risks .

  11. 如何从金融创新产品风险的监管模式与机制角度防范金融风险及金融危机,是本文研究的主要出发点。

    How the risk of financial innovations and mechanisms of regulation point to guard against financial risks and financial crisis is the main starting point for this study .

  12. 进口医疗器械产品风险等级目录由国家质检总局确定、调整,并在实施之日前60日公布。

    The GAQSIQ shall make adjust the catalogue of the risk levels of the imported medical instruments and shall publicize it60 days prior to the date of implementation of the catalogue .

  13. 从零售业务风险管理的内容出发,推导出零售业务风险管理包含单笔零售业务风险管理和单个零售业务产品风险管理两个层次。

    Then , starting with the contents , this thesis deduces that the risk management includes two hierarchies : risk management for single retail service and risk management for single retail products .

  14. 随后,进行了系统建设项目风险类型分析,包括:需求风险、技术风险、产品风险、环境风险等。

    Then , the author analyzes the types of the hotline risk system for the project which includes : the demand risks , risks of technology , risk of product and the environmental risks .

  15. 目前我国信托产品风险主要体现在受托人的道德风险、风险传染、政策法律风险、受托人风险管理技术低等方面。

    At present , the risk of trust product in China is mainly embodied in such respects as moral risk of the assignee , risk contagion , policy legal risk , low risk management technique of the assignee , etc.

  16. 使得企业的市场营销过程中存在多种风险,如营销环境风险、产品风险、竞争风险,这些风险的表现形式也日益复杂化。

    Thus a variety of risks may exist in the course of enterprise marketing , including the marketing environment risk , product risk and competing risk . And the forms of those risks are growing more and more complicated .

  17. 同时尤其值得注意的事,银行参股保险公司后所引发的潜在风险,如,关联交易风险、银行信誉风险、保险产品风险和监管风险。

    At the same time the particularly noteworthy things are that the bank shares in the insurance company may raise the potential risk , such as the risk associated with trading , banking credit risk , insurance risk and regulatory risk .

  18. 文章介绍了金融衍生产品风险尤其是法律风险,探讨了在我国发展金融衍生品市场中面临的若干法律问题,并对我国金融衍生品交易立法过程中需要注意的问题提出了若干建议。

    This essay introduces the risks of financial derivatives , especially the legal risks , and discusses some legal problems faced in the development of our financial derivatives market , and gives some suggestions on several notable problems during the legitimating process .

  19. 本论文针对个人电脑的消费者感知风险构面,重新划分出产品风险、身体安全风险、社会心理风险、信息风险、售后服务风险这样五种风险构面;

    Aiming at the consumer perceived risk existing in the personal computer market , five new kinds of the consumer perceived risk are summarized They are product risk , body safety risk , social psychology risk , information risk and after services risk .

  20. 本文通过对银行理财产品风险特征和运行机制的研究,旨在方便国内投资者对理财产品进行合理选择,同时也为促进我国商业银行个人理财业务的发展提供理论支撑。

    Through an examination on the risk and operating mechanism of financial products , this paper is aims at guiding domestic investors for more reasonable judgment , as well as providing theoretical support for the development of Chinese commercial banks ' individual financial service .

  21. 一提到企业跨国经营的风险,人们首先想到的是产品风险,战略风险,管理风险等等企业的内部风险,试图从企业的组织和管理上采取措施去应对这些风险。

    Referring to the risk of transnational business , people first think of the internal risk , such as product risk , strategic risk , management risk , etc , attempt to take measures to tackle these risks from organization and management of enterprises .

  22. 本文从信息不对称角度,采用风险分析方法,从住房抵押贷款的风险源入手,针对住房抵押贷款的构成要素,深入分析其对住房抵押贷款产品风险的影响。

    This text adopts the analytical method of the risk , proceed with risk source of the home mortgage in terms of information asymmetry , to the composition key element of the home mortgage , analyse in depth its impact on products risk of the home mortgage .

  23. 根据信任和风险的来源,本文将信任和风险细分为卖家信任和网站信任;产品风险和交易风险,并提出信任、感知风险和购买意愿及前置变量之间关系的15个总假设。

    From aspect of source , we subdivide trust into seller trust and website trust ; and perceived risk into product risk and trade risk similarly . Accordingly , we put forward 15 total hypotheses about the relationship among trust , perceived risk , purchase intention and their antecedents .

  24. 基于BP神经网络的新产品开发风险评估模型

    Evaluation of Risks in new Product Development based on improved BP neural network model

  25. XX公司工业水处理剂产品项目风险管理研究

    Project Risk Study of Water Treatment Agent Project

  26. 我国QDⅡ产品的风险管理与发展趋势探析&从全球性金融危机谈起

    A Discussion of the Risk Management and Development Trend about China 's QD ⅱ Products & Talk from the Global Financial Crisis

  27. 世界银行总裁罗伯特佐利克(robertzoellick)周二表示“农产品价格风险管理”工具显示了“理性的金融工程”可以胜任哪些使命。

    Robert Zoellick , World Bank President , said on Tuesday that the " agriculture price risk management " tool showed what " sensible financial engineering " could do .

  28. 在度量金融产品的风险时,通常采用的是VaR方法,在市场正常的情况下,该方法可以根据金融资产的收益率特征较为准确的估计金融资产的风险。

    When measuring risk of financial products , usually we use the VaR method , in the case of normal market ; this method could estimate accurately financial products ' risk according to the feature of financial products ' return .

  29. 通过分析产品FMEA风险评价技术,依照项目管理的特点和要求,得出项目风险管理FMEA的风险评价方法,构建出项目风险管理FMEA的模式。

    Through the analysis of risk estimation technology for product FMEA , according to the characteristics and requirements of Project Management , this thesis educes Risk Estimation method of Project Risk Management FMEA , and forms the mode of Project Risk Management FMEA .

  30. 但由于我国证券市场环境和法律环境的限制,国内推出的上证50ETF不具有借券卖空机制和期货等衍生产品进行风险对冲等特点。

    However , because of stock market environment and legal constraints in China , domestic50ETF can not be permitted short selling , and does not have derivatives and futures mechanism for hedging risk .