这将进一步增加资产间相互的依赖性、市场的系统性风险以及风险管理难度。
This would increase counterparty dependencies, systemic risk, and worsen risk management spirals as discussed above.
文章第五章主要对金融服务外包模式潜在的各种风险以及风险管理进行了研究。
In the fifth chapter, this paper pays attention to some methods of controlling risks in financial outsourcing, and also some supervision.
然而,他们也依靠“完整性管理计划”,也就是要求受检公司拟定他们自己的计划,以此评估诸如泄漏和腐蚀之类的风险以及如何应对风险。
However, they also rely on "integrity management programs" that require companies to draw up their own plans to assess risks like leaks and corrosion, and how to address them.
技术风险的管理包括制定每一个风险的优先次序,以及确定一个恰当的风险缓解策略。
The management of technical risk involves the prioritization of each risk, and the identification of an appropriate risk mitigation strategy.
风险管理决策来自于法规与环境符合度的分析、以及因部门与所执行营运而察觉的风险。
Risk management decisions will be a result of analysis of the regulatory and compliance environment, as well as perceived business risks, depending on the sector and nature of business undertaken.
我们知道金融控股公司在运营中往往具有行业风险、资本风险、经营风险、管理风险以及风险的传递等额外风险。
We knew the financial holding company often has the profession risk, the capital risk, the management risk, the management risk , as well as the risk transmission in the operation , and so on.
八类风险分别是:决策风险、人力风险、财务风险、管理风险、系统风险、技术风险、市场风险以及外包商风险;
Eight types of risks are: the decision making risks, human resources risks, finance risks, management risks, the system risks, techniques risks, market risks and provider risks.
第二部分是应用不同的长期投资决策理论对项目进行财务评价,以及对项目存在风险的风险管理。
The second part applies different long-term investment theories to make evaluations on finance and the risk management towards the risks existing in the project.
其统一的主题是关注风险管理:一个特定产品或金融服务的风险、一个企业的风险、以及整个社会的系统风险。
The unifying theme is a focus on risk management: the risks of a particular product or financial service, the risks to a firm, and the systemic risks to society as a whole.
它们的土崩瓦解是由风险管理欠佳,以及未能了解房地产市场过热的巨大风险导致的,而后者是我们当前所面临问题的根源。
Their demise was caused by bad risk management, and a failure to understand the high risks of an overheated real-estate market, the root cause of our current problems.
阐述了质量风险管理的基本原理、技术,以及质量风险管理在井下作业开发过程中的应用。
Expounds the basic principle and technology of quality risk management as well as its application in the development of well operation.
本文介绍了商业银行面临的信用风险、信用衍生产品在商业银行信用风险管理中的运用以及信用衍生产品对商业银行的影响。
This article introduces credit risk confronted with the commercial bank, the application of credit derivatives in commercial bank credit risk management and its impact on commercial bank.
工程风险管理最基本的内容就是让建设项目各方清楚地认识到有哪些风险,以及风险的大小和处理措施。
The most basic content of project risk management is to make each party of the construction project realize clearly what kinds of risks there exist, and how to value and deal with them.
型号研制的风险来自各个方面,正确了解风险之所在以及掌握消除和降低风险的有效方法是型号管理人员的重要职责。
The risk of product development is from various aspects. It is an important duty for managers to know where is risk and how to remove or reduce it.
风险管理的重要性已经推动我们通过金融系统的不同部门、它们不断变化的风险特点以及他们管理风险的能力,去分析风险的流动状况。
The importance of risk management has motivated us to analyze the flow of risk through various sectors of the financial system, their changing risk profiles, and their ability to manage risk.
文章论述了质量管理体系审核风险的概念、影响因素、特点,以及评定和控制固有审核风险的方法。
This essay discusses the concept, affecting factors, and characters of auditing risk of quality management system and avoiding and controlling methods of connatural auditing risk.
从风险管理的目的和意义入手,对风险的定义、性质、分类以及风险管理的目标和程序做了重要论述。
Basing on the purpose and functions of risk management it illustrates the definition, character, classification of risk as well as the aim and process of risk management.
风险分析过程是软件项目风险管理中的重要组成部分,对后期的风险控制以及相关决策都具有极为重要的意义。
The risk analysis process is an important part of software project risk management. It is significant for the risk control and related decisions.
但是目前企业在对外汇风险的认识、外汇风险管理的理念以及外汇风险管理的组织形式等方面还存在一些问题。
But at present, companies still have problems in the understanding of foreign exchange risks, concept of foreign exchange risk management, organization of foreign exchange risk management, etc.
再者建立了保险公司资金运用的风险管理体系以及内部风险控制措施。
Furthermore this paper has established the insurance company utilization of capital risk management system as well as internal risk control measure.
在此基础上结合中国现阶段对开放式基金进行流动性风险管理所面临的市场环境,提出了相应的流动性风险管理方法以及帮助基金公司规避流动性风险的有关政策建议。
On the basis of the model, the paper combines the current market environment of mutual fund's liquidity risk management in China and puts forward the relevant resolvent and some policy advice.
在对监理企业面临的各种风险进行分析的基础上,明确了其经营运作中的主要风险、风险管理的主要内容以及预期目标。
Major risks encountered by supervisory enterprises, the main content of risk management and the anticipated goals are discussed in the paper.
另一方面,成交量以及波动率是期货交易所进行风险控制的重要指标,这方面的研究有助于提高风险管理水平。
On the other hand, trading volume and volatility are crucial index of risk control for future exchanges. Consequently the research in this area can help us improve the risk management.
如何有效地对航空公司进行财务风险评价以及对相应的风险进行管理和控制是本文研究目的之所在。
So, how to evaluate the financial risk and control and manage the risk effectively is the aim of this paper.
第四部分根据论文前几部分对我国信贷风险以及信贷风险管理的研究,。就其存在问题提出解决措施和方案。
The fourth part, based on China's credit risk and credit risk management research in the previous papers, propose solutions to existing problems on their measures and programs.
技术创新风险产生于开发产品的技术风险、生产风险、市场风险、资金风险以及管理风险;
Technological innovation risk is resulted from the technology risk in the product developing process, the production risk , market risk, capital risk and management risk;
这使得对管理者战略决策引起的风险的评价以及风险对上市公司价值影响的再评估变得非常必要和紧迫。
This can be used appraising risk valuation that director strategic decision arouses again as well as risk affects to a listed company value becoming very necessary and urgent.
这使得对管理者战略决策引起的风险的评价以及风险对上市公司价值影响的再评估变得非常必要和紧迫。
This can be used appraising risk valuation that director strategic decision arouses again as well as risk affects to a listed company value becoming very necessary and urgent.
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