Furthermore, fault events are modeled and made into analysis based on the risk analysis theory of fault tree. After that equipment failure characters are confirmed and key factors are exacted.
随后以故障树风险分析理论为基础,对故障事件进行建模和定性定量分析,确定表征设备故障特征的信息,提取关键因素。
Insurance Actuarial theory is a analysis and forecast subject to all kinds risk of insurance industry by mathematics, probability statistics methods and finance models.
保险精算学是运用数学、概率统计学原理以及多种金融模型对保险业中各种风险因素进行分析预测的学科。
Base on agency theory and utility principle of risk management decision, we analysis manager's risk preference and risk management decision in different remuneration systems.
本文根据委托代理理论,利用风险管理决策的效用原则,分析企业管理者不同薪酬制度下的风险偏好和风险管理决策;
The model of effect information entropy project risk analysis has its unique theory and method in solving these problems.
而效应信息熵工程风险分析模型却在解决这一问题方面上有其独特的理论与方法。
Proffering the combined distribution model will be valuable to theory and application in the risk analysis of the hydraulic engineering.
在水利水电工程的风险分析中,组合分布模型的提出将有重要的理论意义和实用价值。
The analysis and discussion on these problems will lead the study of credit risk control theory from its macro-level to its micro and deep levels.
等等。对这些问题的分析论证将引导主观信用风险控制理论走向微观,推动其控制系统的深层研究。
Therefore it is of very important significance on theory and reality to bring quantitative analysis into the financial crisis forewarning model for credit risk management of commercial bank.
因此对商业银行信贷风险管理引入财务危机预警模型进行定量分析具有十分重要的理论和现实意义。
Risk spot analysis pre-control theory is a new method that is found out by electric workers in practice.
危险点分析预控理论,是电力职工从反事故的实践中摸索出来的新方法。
On the basis of analysis of Ship's collision accident and anti collision actions, an evaluation model is presented for ship's collision risk in narrow channel by applying fuzzy mathematics theory.
在分析狭水道船舶碰撞事故的发生和避碰行为的基础上,应用模糊集理论,提出了船舶在狭水道航行的碰撞危险性评价模型。
The risk analysis of earthquake disaster is made using seismic risk assessment method based on information diffuse theory.
利用基于信息扩散理论的风险评估方法,对地震灾害进行了风险分析。
The systematical study and discussion about theory, method and models of the risk analysis of commercial bank is given in the fifth chapter.
文章的第五章对银行风险分析的理论、方法与模型进行了较为系统的研究。
Risk theory as the most important part of Actuarial Analysis mainly consider risks of insurance companies.
风险理论作为精算学中的重要组成部分,主要是以保险公司的风险业务为主要研究对象。
The universal uncertainty is the root of risk. Decision analysis under risk has been an active research field of decision theory.
现实世界中普通存在的不确定性是风险产生的根源,风险决策分析是决策理论研究的重要领域之一。
Risk theory is the system of mathematical statistics analysis on all kinds of risk, which is the main part of insurance.
风险理论是保险精算学的重要组成部分,它是对保险所面临的各种风险进行数理分析的理论。
An economical analysis which USES Game theory, EMH and Prospect theory of the production mechanism about credit risks, market risk, and operation risk of the derivatives has been given.
运用动态博弈理论、市场有效性理论、展望理论对衍生金融工具的信用风险、市场风险、操作风险的产生机理进行了经济学分析。
Therefore the application of the extreme value theory in the bank credit risk quantification analysis is an ideal method.
所以把极值理论应用于银行信用风险量化分析不失为一种比较理想的方法。
Combined with the exiting risk theory, the basic processes of risk analysis concerning earthquake and flood for long-span continuous rigid-frame Bridges during construction are established.
本文首先结合既有的风险分析理论和方法,建立了大跨连续刚构桥施工期间地震及洪水风险分析的基本流程。
This paper establishes a user's willing-to-pay model for pricing road based on risk utility function, which is an application of information economics analysis and risk decision theory.
本文根据不确定性条件下的信息经济分析原理,建立了基于风险效用函数的收费道路使用者支付意愿模型。
Fuzzy math and the theory of AHP are combined to set a fuzzy overall analysis model for the concrete construction quality risk analysis.
将模糊综合评价方法应用于工程质量风险管理,结合层次分析法评价了混凝土施工质量风险水平。
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.
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。
Fuzzy math and the theory of AHP are combined to set a fuzzy overall analysis model, which is used in the engineering project quality risk analyses.
将模糊数学与层次分析方法相结合,建立了模糊层次分析模型并应用于工程项目质量风险分析。
This article from domestic commercial Banks reality, in-depth analysis and study of the international banking sector in financial risk management aspects of the advanced theory and practice.
本文从国内商业银行的实际出发,深入分析和研究了国际银行界在金融风险管理方面的先进的理论与实践。
The second chapter has carried on the analysis to the property development project risk management's theory, through the literature material's collection and the reorganization.
第二章通过文献资料的收集和整理,对房地产开发项目风险管理的理论进行了分析。
The paper begins with an analysis in vulnerability risk evaluation, including its theory, attack graph and specialty of vulnerability.
论文从漏洞评估的原理、攻击路径及漏洞本身,提出一种基于攻击路径的漏洞风险评估模型。
In the risk analysis and evaluation part, this paper defines the project risk in the point of view of the information theory, judges the risk by the information quantity provided by the risk factor.
在风险分析和评估部分,从信息论的角度重新定义项目风险,根据项目风险因素提供的信息量的多寡判定风险大小。
In this paper, a financial risk analysis method based on probability theory and the Monte Carlo simulation technique is put forward and applied to the analysis of a hydropower project.
本文提出了基于概率论与模拟技术的工程项目财务风险分析方法,并在某大型水电站工程中进行了应用研究。
The theoretical foundation of public case study of the city is a risk theory, through carrying on risk analysis to the contingent city public accident calamity;
城市公共安全研究的理论基础是风险理论,通过对可能发生的城市公共事故灾害进行风险分析;
The theoretical foundation of public case study of the city is a risk theory, through carrying on risk analysis to the contingent city public accident calamity;
城市公共安全研究的理论基础是风险理论,通过对可能发生的城市公共事故灾害进行风险分析;
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