静态风险

  • 网络Static Risk;Pure risk
静态风险静态风险
  1. 本文主要讨论静态风险。静态风险又称纯粹风险。

    It is called static risk or pure risk .

  2. 保险转嫁由于其对静态风险较广泛的适用性和普遍性而成为现实的选择。

    Insurance transfer possesses universal adeptness to static risk and become a common choice .

  3. 首先对农业机械的构成及风险类型作分析,界定了文中讨论的农机分析主要是静态风险。

    At First , it analyzes on the composition and risk type of agricultural machinery , defining the paper discussing mainly the static risk analysis of agricultural machinery .

  4. 本文给出了风险度量的抽象化教学方法,介绍静态风险度量和动态风险度量的数学描述和公理体系,并且总结了已有的计算方法。

    We put forward mathematical abstraction for measurement of risk , gave ideal model and axiom for both static and dynamic measurement and summarized all kinds of calculation method for them .

  5. 根据风险级别和风险类别的不同,提出了不同的安全管理与风险控制措施,包括动态风险的管理控制技术和静态风险的管理控制技术。

    Various risk control and safety management measure have been built according to different risk rank and risk category , which including management and control technology of dynamic and static risk .

  6. 第三章研究筹资中的静态风险和动态风险,解决的办法是建立最优资本结构以降低长期资本成本,合理确定短期资本的流动性;

    Chapter Three studies the static and dynamic capital in raising money . Ways to solving the problems are to set up an optimum capital structure in the purpose of decreasing the cost of long-term capital , and meanwhile assure the flowing of short-term capital .

  7. 结合上海地铁7号线工程,提出以动态风险识别过程为主线,以静态风险识别为手段的风险识别方法,对地铁盾构法隧道工程建设的风险进行了识别。

    Based on Shanghai metro M7 line project , the risk identification method is presented , taking dynamic risk identification process as the mainstream and static risk identification as a tool . The risk in construction of metro shield tunnel project is identified with the method above mentioned .

  8. 第二部分结合国内外信用风险监控理论的发展及现状,指出了我国商业银行采用的静态信用风险监控模式存在的问题。

    The second part points the problem existing in static state credit risk supervise model taken by our country 's commercial bank by analyzing domestic and static state credit risk supervise theory .

  9. 以边坡的可靠性分析为基础,从经济风险分析的角度出发解决了运用可靠性指标对边坡进行评价的问题,并在边坡静态经济风险分析的基础上提出动态经济风险分析的方法和步骤。

    The problem of how to assess slope stability with the reliability index can be overcome through economical risk analysis of slope based on reliability analysis . Methods and process of dynamic economical risk analysis are also given herein on the basis of static economic risk analysis .

  10. 财务管理方法也应用单一,只尝试了预算管理,动态预测及财务控制力度较弱,财务分析也以静态为主、风险意识不强。

    The methods of financial management is not widely used , IMPC only tried budget , but not deeply use calculation to forecast or to control finance .

  11. 在此基础上,对这些指标的求取方法进行了研究,并给出了结合基于内点法的最小切负荷模型、最小特征值分析和连续潮流分析的静态电压稳定风险评估方法。

    A calculating method was discussed on the basis of these indicators which combined of cutting load optimization model based on interior point algorithm , minimum eigenvalue analysis and continuous power flow analysis of static voltage stability .

  12. 基于静态和动态安全风险的输电规划(一)确定性的注入功率

    Optimal Transmission Planning Based on Both Static and Dynamic Risks Part One With Certain Injection Power

  13. 因此,仅仅从静态层面来理解风险投资基金行为和效率是不够的。

    It shows that it is not enough to analysis the venture capital fund on the static lay .