因此我不停地跟金融学理论、金融风险管理者和那些做定量金融的人对抗。
That's why I kept going on and on against financial theories, financial-risk managers, and people who do quantitative finance.
本案例描述了企业财务风险管理的一般性方法,包括定性分析法和定量分析法。
This case describes the general methods of corporate financial risk management, including qualitative analysis and quantitative analysis.
在定性与定量分析的基础上,针对中试研发项目提出几种防范风险的组织管理措施。
Upon both qualitative and quantitative analyses, we proposed several measures of organization and management for preventing risks.
欧盟偿付能力II的第二支柱计划采用定性要求和一个全球性适当的风险管理体系,来补充定量的资本要求。
The second pillar of European Solvency II proposes to adopt qualitative requirements and a globally appropriate risk management system, in order to supplement quantitative capital requirements.
采用定性和定量的研究方法,发现在这项研究中,风险是与它的工资管理系统。
By using qualitative and quantitative research methods, it was found in this study that the risk is associated with its salary management system.
因此对商业银行信贷风险管理引入财务危机预警模型进行定量分析具有十分重要的理论和现实意义。
Therefore it is of very important significance on theory and reality to bring quantitative analysis into the financial crisis forewarning model for credit risk management of commercial bank.
定量化风险管理技术有其无可比拟的优势,但无法对风险因素中的人为因素进行管理。
The quantitative risk management technique has the incomparable advantage, but it can't carry on the management to the artificial factor within the risk factors.
最后探讨如何利用模型进行定量分析,降低信息不对称风险,做好国债收益风险管理。
Finally the paper discusses about how to use the model to make quantitative analysis, and how to reduce the risk of information asymmetry, so as to make a good management on bond yield.
其次,从定性和定量相结合的角度出发,根据现代金融风险管理理论,构建了不良资产证券的定价和风险度量模型。
Second, pricing and risking models of this paper will be set up, by use of quantitative and qualitative method, basing on the modern risk management theory.
这事实上是一个典型的定量研究模型,模型回答了违约以多大的概率发生,因此可以用于信用风险管理。
The model answer how much the probability when the default occur, so it can be used in credit risk management.
重复进行风险定量分析所得的结果趋势可揭示是需要增加还是减少风险管理行动。
Risk to repeat the results of quantitative analysis can reveal the trend is increasing or decreasing the need for risk management operations.
正是基于这样的经济背景,本文旨在对我国外汇储备风险管理进行定量、定性研究。
Based on this economic background, the purpose of this article is to do quantitative and qualitative research on risk management of China's foreign exchange reserves.
首席交易员查克·费尔德曼(Chuck Feldman)在我来公司三年后退休,把权杖交给了一位更加年轻、更侧重定量分析的风险管理经理。
Chuck Feldman, the top trader there, retired after my third year and handed the leadership baton to a younger, more quantitative risk manager.
我们通过一些实例来说明如何实行定性和定量相结合的R&D项目风险-成本管理。
Some real examples are used to show how to perform the qualitative and quantitative analysis for risk-cost management of R&D project.
我们通过一些实例来说明如何实行定性和定量相结合的R&D项目风险-成本管理。
Some real examples are used to show how to perform the qualitative and quantitative analysis for risk-cost management of R&D project.
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