第二章风险与风险管理理论研究。
第二章介绍了商业银行利率风险管理理论。
The second chapter summarizes the theories of interest rate risk management of commercial Banks.
第二章介绍了国内外关于银行风险管理理论研究的现状;
The second chapter introduces the current studies on banking risk control both at home and abroad.
目的:探讨风险管理理论在精神科病房管理工作中的作用。
Objective: To explore the role of risk management in the practice of psychiatry ward.
风险管理理论为人们认识风险、利用风险提供了理论依据。
The theory of risk management provided the basis for people to recognize and utilize risk.
从股票风险管理理论和应用角度讨论了股票风险估计问题。
This article discusses the stock risk pricing from the view of stock risk management theory and practice.
企业战略风险预警管理是战略风险管理理论的一种改进或延伸。
The strategic risk early-warning management in the enterprises is an improvement or extendibility of the strategic risk management.
西方国家日渐成熟的风险管理理论为这一问题的研究提供了理论基础。
The theory of risk management, which is maturing day by day in western countries, provides the study of this problem with theoretical basis.
本论文从集成化的角度,对项目集成风险管理理论和方法进行了研究。
It is very important to bring forward the theory and methods of integrated risk management and this paper studies on this problem.
概述人力资本理论,风险管理理论和企业风险预警管理理论的主要内容。
It refers to main contents about theories of human capital risk management and early warn management.
西方商业银行的利率风险管理理论,经过几十年的积累,形成了较为严谨的体系。
In west commercial bank the theory of interest rate risk management generated precise system based on accumulation during decade years.
同时,项目可行性风险管理理论及方法在该项目中也得到了现实应用和充分论证。
So the conclusion is that the revamping project is reasonable. It also proves that the project feasibility risk management theories and methods are effective and meaningful in our work.
运用事故致因理论、人机安全理论和风险管理理论研究风险控制的框架和主要措施。
This thesis investigated the framework and key measures of risk control by accident caused theory, human-computer security management theory and risk management theory.
针对利率市场化带来的负面效应,必须用利率风险管理理论来加强对商业银行的管理。
To deal with the negative effect that brings by the liberalization of interest rate, we must strengthen the management of the commercial bank with risk management theory.
为此,通过对四川输气站场风险评价方法的研究,将风险管理理论引入输气站场的生产管理中。
With study of risk evaluation methods for the gas transmission stations in Sichuan, the risk management theory is introduced into the operating management of gas transmission stations.
本文将现代风险管理理论与我国水电工程的实际相结合,提出了水电工程项目风险管理的概念。
This thesis combines the modern risk management theory with the hydropower projects' features and practices in our country, raises the conception of the hydropower project risk management.
随着中国商业银行操作风险管理理论与技术的日益成熟,本文的研究成果将具有广阔的应用前景。
As increasing mature theory and technology of China's commercial Banks operational risk management, the research results in this paper will have broad prospects.
最后,本文以一个案例来分析ERP项目管理中的风险,并结合风险管理理论提出了自己的建议。
A case study taken on will make out the risk of ERP project management at length, and the author also gives a feasible proposal.
而由于我国上市公司的财务情况具有一定的特殊性,利用传统的财务风险管理理论来解决问题是不够的。
As the financial situation of listed companies in China is particular in some aspects, the traditional financial risk management theory can not be used to solve the problem directly.
煤矿安全是全国安全生产工作的重中之重,有效的煤矿风险管理理论与方法是煤矿安全生产的根本保障。
Coal mine safety is the most important factor of China's safety production. Effective theories and methods on risk management are the fundamental guarantee of coal mine safety production.
本文对现代银行风险管理理论和方法的介绍和分析正是出于对我国银行业加入国际竞争而进行的前瞻性研究。
That introducing and analyzing the modern bank risk management theories and methods in this thesis are exactly based on the foreground research on the bank joining international competition.
本文根据网上银行风险的特点,运用风险管理理论,对建设银行网上银行技术层面和业务层面的风险进行研究。
Based on the risk of online banking features application of risk management theory, China Construction bank Internet banking technology and operational aspects of risk research.
本文按照风险管理的过程对风险管理理论和相关问题进行说明,阐述风险管理的内容及其在建设工程中的重要性。
This text, according to the risk management of the process of risk management theory and related issues, expounds that the risk management of the construction project content and the importance.
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.
本文通过梳理风险管理的相关理论,总结出了风险管理理论中“风险识别、风险评估、风险控制”这三个核心方法。
The article, reviewing the theory of risk management, summed up the theory of "risk identification, risk assessment, risk control," the three core methods of risk management.
本文的基本逻辑结构是遵循规范的风险管理理论模式设计的,即按照风险识别—风险计量—风险管理的基本层次展开。
The basic logic of this structure is to abide by the norms of risk management model designed, in accordance with risk identification - risk measurement - risk management.
理论研究方面,从风险管理的角度阐述了商业银行信贷业务流程的特殊性,并在风险管理理论的基础上,构建了风险价值链的分析方法。
From risk management perspective, theoretically describe the specialty of credit business process, and, on the basis of credit management theory, build up the analysis techniques of risk value chain.
论文以企业风险管理理论为基础,重新定义了企业人力资源风险的概念和人力资源风险管理的内涵,设计了企业人力资源风险管理的流程;
The thesis is based on enterprise's risk management theory, redefine the concept of enterprise's human resources risk, design the course of risk management of human resources;
论文以企业风险管理理论为基础,重新定义了企业人力资源风险的概念和人力资源风险管理的内涵,设计了企业人力资源风险管理的流程;
The thesis is based on enterprise's risk management theory, redefine the concept of enterprise's human resources risk, design the course of risk management of human resources;
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