Application portfolio analysis findings.
应用程序组合分析的发现结果。
Do you want a portfolio analysis to see what you can do to retire earlier?
你想要一个组合分析来看一下你早退休能做什么吗?
Technical analysis, portfolio analysis as an important component of the study abroad has been reached higher levels.
技术分析,作为证券分析中重要的组成部分,在国外的研究己经达到了较高的水平。
For the suppliers relationship, this paper used the portfolio analysis to decide the strategy of supplier choice and relationship integration.
对供应商关系的整合,本文运用组合分析的方法,确定了供应商关系战略的制定和整合途径。
He rules out the Standard Portfolio Analysis of Risk (Span) margining tool developed by the CME in 1988 for clearing equity derivatives, which he believes is not robust enough for single-name trades.
他排除了“风险标准组合分析工具(Span)”这一由芝加哥商品交易所1988年为清算股权衍生品而开发的保证金工具,他认为该工具对于单名交易来说时不够的。
The Software Architect creates a gap analysis document that compares the requirements of the new business process against the existing service portfolio.
软件架构师创建了差距分析文档,这个文档对新业务过程的需求和现有服务组合进行了比较。
Managers can use these views and reports for the portfolio health and value contribution analysis, based on both qualitative and quantitative indicators.
管理人员可以利用这些视图和报表,基于定量和定性的指标进行组合健康状况和价值贡献的分析。
Portfolio management also supplies information and analysis to the governance mechanism, supporting oversight and decision-making at the enterprise level. 5.
项目组合管理还提供信息和对治理机制的分析,并支持企业级的监督和决策制定。
An analysis of the application portfolio of the company provides the following information.
该公司的应用程序组合分析提供了以下信息。
Firstly the article introduces the basic theory and method of financial engineering briefly to create a set of general rules on financial product analysis and investment portfolio.
报告首先简要介绍金融工程的基本原理与方法,形成金融工程实施过程中采用的金融产品分析和金融产品组合的一般性规则。
Rational Portfolio Manager provides assistance, both directly and indirectly in four key areas of supply chain management; supply management, Demand management, Consumption, and Capacity Analysis.
RationalPortfolioManager提供了对于供应链管理;供应管理,需求管理,消耗和生产量分析的四个关键区域直接和间接的帮助。
Starting from CAPM (Capital Assets Pricing Model) analysis, a new method for hedging portfolio risk with stock index futures is proposed.
从分析CAPM(资本资产定价模型)入手,提出了用股票指数期货来对冲股票组合风险的一种方法。
The result about the analysis of the portfolio shows that as long as arbitrage chance exists, each investor can get higher income, not increasing risk, no matter he is a risk averter or seeker.
对此套利组合的分析结果表明:只要存在无风险套利机会,无论风险投资者的偏好如何,都能在不增加风险的基础上,获得较高的收益。
And this thesis has studied the credit risk assessment methods of China's listed companies based on the individual credit risk analysis and the portfolio credit risk analysis respectively.
本文分别从个体信用风险分析的角度和组合信用风险分析的角度对中国上市公司信用风险的评估方法进行了研究。
Based on the expectation-variance analysis of portfolio, this paper presented that the degree of the risk of the companies' mergers depended on correlative between the mergers' units.
在资产组合的均值—方差分析的基础上对于公司购并的风险进行了分析,得出了公司购并风险的程度取决于购并元间的相关系数。
This paper set up the decision-making model of loan' s portfolio optimization based on the analysis of risk base on the domestic and overseas research.
本文在分析国内外现有研究的基础上建立了基于风险分析的贷款组合优化决策。
The third part of the main information from the product development strategy, portfolio strategy and brand strategy to carry out a detailed analysis.
第三部分主要从信息产品的开发策略、组合策略及品牌策略上进行详细分析。
This article puts forward the portfolio assessment application in nursing education based on an analysis of the current evaluation system.
本文在分析了目前护理教育评价体系的现状基础上,提出了应用档案袋评定护理教育方法。
In the early 50's Markowitz advanced portfolio theory. From that time on, finance stepped into the stage of quantificational analysis, which can be regarded as the beginning of financial mathematics.
从50年代初马科维茨提出证券组合理论开始,金融学进入了定量分析的阶段,这可以看作是金融数学的开端。
Moreover, basing on mathematical analysis of company performance mechanism, a linear model of corporate performance and TMT incentive portfolio is built;
结合公司绩效产生机理的数学分析,构建了公司绩效线性模型与高级管理层线性激励组合模型;
As this analysis has shown, the duration-mix of an investor's direct lending portfolio is more than a consideration of liquidity alone.
正如此项分析所示,一个投资者的直接放款期限混合远比仅仅考虑流动性重要得多。
We use fundamental analysis in our portfolio construction and derivatives in our portfolios for hedging.
我们用基本原理来分析有价证券的结构及对冲证券组合中的衍生产品。
Through analysis of portfolio assessment method in the application of elementary mathematics, I try to find the problems in the teaching practice and search the causes of which.
分析了档案袋评价方法在小学数学教学中的应用情况,并借此来分析小学数学档案袋评价在使用中出现的问题及其原因。
The neoclassical aggregate production function and the portfolio approach are based on the marginal analysis method that Keynes used.
凯恩斯的边际分析法为新古典的总生产函数的引进以及资产选择理论提供了逻辑基础。
Through the comparative analysis of household portfolios in some countries and regions in recent years, this paper summarized the characteristics of international household portfolio.
本文主要通过对家庭金融资产选择行为进行国际比较,总结各国家庭金融选择行为的,进而研究中国家庭金融资产选择行为的特征。
Through the comparative analysis of household portfolios in some countries and regions in recent years, this paper summarized the characteristics of international household portfolio.
本文主要通过对家庭金融资产选择行为进行国际比较,总结各国家庭金融选择行为的,进而研究中国家庭金融资产选择行为的特征。
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