The Second chapter is studying the theory of Securities Firms risk behavior.
第二章是证券公司风险行为的理论基础。
参考来源 - 制度变迁中的中国证券公司风险行为研究Then how the capital standard affect banks’ risk-taking behavior should be of more theoretical and practical significance.
资本标准对商业银行风险行为的影响研究更应该具有一定的理论意义和实际意义。
参考来源 - 资本监管标准下的银行风险行为分析Fourthly, according to the above analysis, an integrative model about factors of entrepreneur’s risk-taking behavior is established. After the regression and test of the model, a path chart and the relative path analysis are presented.
接下来,在上述各影响因素分析的基础上,建立了一个创业者创业决策风险行为的影响因素综合模型,对该综合模型进行了回归与检验,并根据路径图进行了路径分析。
参考来源 - 创业者创业决策的风险行为研究·2,447,543篇论文数据,部分数据来源于NoteExpress
约13%的人在所有九种风险行为中得分都很高。
大约58%的学生表现出没有或只有很少的风险行为。
About 58% of the students demonstrated none or few of the risk behaviors.
人们只有在仔细考虑过风险行为的后果后,才应该采取冒险行动。
People should undertake risky action only after they have carefully considered its consequences.
It becomes an arm-twisting thing -because of this risk of moral hazard, the bank has a threat to take the money back and they are going to find out quickly if you, as a company, are behaving wrong.
这衍变成一种施压行为...,由于道德风险的存在,银行恐怕收不回欠款,因此,在你的公司行为不良时,他们便会迅速发现此事
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