您要查找的是不是:
- technology risk measurement 技术风险度
- Why Market Risk Measurement is Important? 市场危险测量为什么是重要的?
- The Last Frontier To Total Risk Measurement? 衡量全部风险的最后底线?
- IS Beta Index the Appropriate Risk Measurement? 贝塔系数是风险的正确度量吗?
- The paper proposes an improving risk measurement model from DaR and CDaR. 提出了一种改进的DaR、CDaR风险度量模型.
- The Basle Accord II encourages the bank to establish IRB and develop risk measurement and management model. 2004年6月,巴塞尔银行监管委员会公布了最终定稿的新协议,在保留银行资产外部评级方式的同时,鼓励大银行建立内部评级体系和开发风险度量模型,允许银行通过内部评级确定风险函数计量加权风险资产。
- Under the background it has weighty operation significance to study operational risk measurement of Chinese banking. 在此背景下本文研究中国的银行操作风险度量问题具有重要的现实意义。
- This thesis studies how to improve credit risk measurement, discusses how to apply a famous advanced model --KMV model in credit evaluation. 本文研究改善我国的信用风险度量的问题,探讨西方的先进模型之一KMV模型在我国信用评估中的应用。
- And the new entrant in the market hold by a incumbent firms will take higer technology risk in order to gain market share when its innovation product is incompatible with the incumbent"s. 另外,已有市场的新进入者的创新产品与在位厂商不兼容的情况下,为了有效的进入市场,必须承担更高的风险;
- IT provided powerful technical support for massy calculations which is necessary for risk measurement and pricing and for instant reaction capacity to market opportunities. 所有这些使得支付清算系统不再是传统的业务支持系统,其业务前导性和信息功能日益突出出来。
- We believe that there are majorly 5 major risks with China's fruit farming industry: variety risk, technology risk, capital risk, management risk and market risk. 我们认为目前中国的果品种植业主要存在5大风险:品种风险、技术风险、资金风险、管理风险、市场风险。
- Besides, third part describes the credit risk measurement model of foreign banks, and summarizes the excellent experience of their credit risk management under the IRB approach. 除此之外,本文还简略介绍国外商业银行的内部评级法的开发应用情况,并总结了他们的先进经验,找出我国商业银行的不足之处。
- Analyses on enterprise annexing risks is the base for risk measurement and risk control. 摘要企业购并风险分析是风险计量和风险控制的基础。
- Electronic Banking and Technology Risk Management 电子银行及科技风险管理
- At present, international banking and banking regulatory institution pay attention to credit risk and market risks .At the same time, they emphasis on preventive operational risk and technology risk. 目前,国际银行业和银行业监管机构在关注银行业信用风险和市场风险的同时,越来越重视防范操作风险和技术风险。
- As for a complex stock market, the standard deviation and the beta coefficient are not good risk measurements. Instead, the non-linear variable ,H exponent is a good replacement for risk measurement. 在复杂性的分析框架下,我们认为复杂资本市场的风险不能用标准差,贝塔系数衡量,非线性变量H指数是一个较好的代替。
- technology risk evaluation method 技术风险评估法
- Operational risk measurement models, such as Basic Indicator Approach, Standardized Approach, Internal Measurement Approach, Loss Distribution Approach and Extreme Value Theory etc, all have some shortcomings. 摘要操作风险计量模型有基本指标法、标准法、内部衡量法、损失分布法、极端值模型等,各种模型都存在一定的缺陷。
- The denotation of high&new technology risks is extended.Under this definition, the management methods hindering technology innovation can be classified into risk factors and should be prevented. 本文扩大了高新技术风险概念外延,提出对创新思想起阻碍作用的一些管理方式方法也应归类为技术创新风险因素而加以防范和控制。
- To ensure the accuracy and credibility of the statistics-based risk measurement model, the securities firm shall proceed with model validation and continuous updating to reflect market conditions. 为确保统计基础衡量法风险模型预测之正确与可信度,应进行模型验证测试,并持续更新,以反应市场状况。
