如果我们接受只要应用程序运行在那些存在未知风险的网络上,公共网络就不可能是安全的这一事实的话,那么我们就应该了解如何测量和管理这些风险。
If we accept that corporate networks can't be secure as long as the applications running on those networks have an unknown risk profile, it behooves us to learn how to measure and manage that risk.
如何构建合适的模型以恰当的方法对风险进行测量是当前金融研究领域的一个热门话题。
It is a hot topic how to construct a the suitable model to measure financial risk in financial research field at present.
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