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- Firstly, the author of this dissertation expounds the connotation of NHE, alsodescribes basic concepts and theories of risk and risk management. 本文首先对民营高科技企业的内涵及风险和风险管理的基本概念、基本理论进行了阐述;
- Based on the theory of risk management,starting with the influence of moral hazard on the insurability of risk,the paper studies deeply in the reasons,preconditions and the types of moral hazard. 本文以风险管理为理论基础,从道德风险因素对风险可保性的影响入手,对保险市场中道德风险的形成原因、产生条件和表现形式进行了深入分析。
- The third part discusses the step of risk management in the Q. 第三部分将风险管理融入一体化管理体系中,讨论一体化管理体系中风险管理的步骤;
- This paper enlarges the extents and contents of risk management. 本文扩大了风险管理范围和内容。
- theories of risk management 危险管理论
- In this paper, the writer take using the theories and methodes of risk management and designing the riske-evading of comprehensive budget controlling system as the maim content. 本文正是在这种背景下将如何用风险管理的思想和方法整合全面预算管理,进行全面预算管理体系的风险规避的设计作为研究内容。
- All political institutions have to embark on this challenge of risk management. 所有政治机构都不得不开始面对风险管理的挑战。
- Thirdly, it introduces the theories of portfolio management, asset pricing, arbitrage pricing, options pricing, hedge, comprehensive risk management. 详细介绍了资产组合管理理论、资本资产定价理论、套利定价理论、期权定价理论、套期保值理论和综合风险管理理论等风险管理理论工具。
- Based on various theories of early-warning management and risk management, this article constructs a VJ project risk early-warning system. 本文从介绍国内外有关预警管理、风险管理研究成果和基本理论入手,在对晋煤集团合资项目现状描述及风险分析的基础上,构建了晋煤集团合资项目风险预警系统。
- Section 2 systemically introduces the theories of portfolio management, asset pricing, arbitrage pricing, options pricing, comprehensive risk management. 第二章详细介绍了资产组合管理理论、资本资产定价理论、套利定价理论、期权定价理论、套期保值理论和综合风险管理理论等风险管理工具。
- As a new tool of risk management, it has similar function and incomparable advantage compared with reinsurance. 作为功能上与再保险基本相似的新型风险管理工具,巨灾债券具有传统再保险不可比拟的优势。
- Diversifying your supply is universally considered to be an important aspect of risk management. 多样化的供给被广泛的认为是风险管理的一个重要方面。
- Financial essence of risk management to seek risk between loss and risk balance of income. 金融风险管理的实质是寻求风险损失与风险收益的平衡。
- First, the effectiveness of risk management may be hampered by the time difference. 第一,时差会影响风险管理的成效。
- Misappropriating the theories of social science. 不正确地使用社会科学的理论
- Understanding the different applications of risk management in investment banking functions. 理解在投行领域对风险管理的不同应用
- The immediate supervisor to the risk management function should be educated in principles of risk management. 对於直接执行风险管理职能之主管应受过风险管理专业教育训练始可.
- It forms the basis of risk communication and risk management in a risk-based food safety control model. 在以风险为本的食物安全管制模式中,风险传达和风险处理是根据风险评估来进行。
- Identification and assessment of risk is fundamental for risk management of superhighway engineering. 在高速公路工程承包的风险管理系统中,工程承包风险的识别和评估是进行风险管理的基础。
- Traders with foreign countries and clients that have loan commitments overseas can use forward FX as an effective form of risk management. 与外国做生意的商人和在海外有贷款承诺的客户可以将远期外汇用作风险管理的一种有效形式。
- 今日热词
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- 深远海浮式风电平台 - deep-sea floating wind power platform
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- 京雄高速公路 - Beijing-Xiongan expressway
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- 农业及相关产业增加值 - the added value of agriculture and related industries