A software project risk management model based on Bayesian networks is presented.
提出了一种基于贝叶斯网络的软件项目风险管理模型。
This paper presents a credit risk management models-probability of default (PD) model.
本文主要介绍了一种信用风险管理模型——违约概率(PD)模型。
An ART2-based dynamic risk management model is proposed by using of clustering technique and neural network knowledge.
结合聚类技术和ART2神经网络技术提出一个基于ART2神经网络的动态风险管理模型。
However, they'd be wise to prepare for using a more sophisticated risk management model in the future, when it may be mandatory.
尽管如此,如果他们比较明智的话,他们应该准备在未来使用更为复杂的风险管理模型,那时这将可能是强制性的。
The study of medical risk management USES risk management model in airline business, which transforms from passive, severe punishment to active reporting model.
医疗行业风险管理研究借鉴了航空业的风险管理模式,正在变被动的、严厉处罚的管理向主动的积极报告模式转变。
This paper analyzes the new connotation of credit risk management, through reviewing the development trend of advanced international credit risk management model.
本文通过考察国际先进的信用风险管理模式的发展趋势,分析了信用风险管理的新内涵。
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.
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 prevailing model of risk management, as practised by much of the industry, went badly wrong. Basic assumptions must be re-examined.
业内大部分人士采用的主要风险管理模型出现严重问题。我们必须重新审视基本假设。
But a model of lending primarily to relatively riskless state-owned companies means developing proper risk management capabilities isn't really necessary.
然而,这种主要面向风险相对较低的国企的放贷模式意味着,培养适当的风险管理能力也就没什么必要了。
A more unlikely risk-management role-model is hard to imagine.
一个靠不住的风险管理职能模型是难以反应出来的。
Standard PDCA process model, the introduction of risk assessment and management process, emphasizing the continuous improvement of the system.
标准采用PD CA的过程模型,引入风险评估和管理过程,强调体系的持续改进。
The analysis results from the model showed that ill management, nonstandard vaccination and laboratory surveillance are high risk factors.
分析结果表明:管理不良、接种操作不规范、实验室监测等是我国免疫预防的高风险因素。
Next, the key technologies of NPD is studied sequentially, which model founding of NPD project, process management technologies basing on BOM and project risk management are studied in detail.
然后对流程管理的实现的关键技术进行了研究,分别对新产品开发项目模型的建立,基于BOM的流程管理技术和流程管理的项目风险管理进行了讨论。
So the article mainly consists of two parts: the Information System Risk Analysis and security Management and the design of the security model based on the RBAC.
因此,本文主要分为两个重要的组成部分:信息系统的风险分析和管理过程及基于RBAC的安全模型设计。
Introduces the project manager responsibility system and risk mortgage management model in Jigang and puts forward improving suggestion for the future.
介绍了济钢项目经理负责制及风险抵押管理的模式和办法,并提出了今后的改进建议。
Point out that risk management principle is a core component of the model of risk control.
指出风险管理原则是风险控制模型的一项核心组成部分。
This text attempts through setting up enterprise's financial risk management based on comprehensive fuzzy appraisal model, offer a simple and practical appraisal tool for enterprise of our country.
本文试图通过构造基于综合模糊评价的企业金融风险管理评价模型,为我国企业提供一个简单实用的评价工具。
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。
Furthermore, this article researched the method of selecting hydropower project management model on the basis of risk analysis.
进而在风险分析的基础上,研究水电项目管理模式的选择方法。
For a bank that widely USES various kinds of risk measurement models in its daily management, the stress testing shall become an important supplement to the model method.
对于日常管理中广泛应用各类风险计量模型的银行,压力测试应成为模型方法的重要补充。
The classic insurance risk model and its expanded ones offer many mathematical models for describing single insurance risk management process.
经典风险模型及其拓广模型为描述单一险种的风险经营过程提供了多种数学模型。
This text attempts through setting up enterprises financial risk management based on comprehensive fuzzy appraisal model, offer a simple and practical a.
本文试图通过构造基于综合模糊评价的企业金融风险管理评价模型,为我国企业提供一个简单实用的评价工具。
The results show the method of calculation VaR of GARCH model is effective in risk management of China's stock market.
实证研究表明,GARCH模型的V aR计算方法对我国股市风险的管理有较好的效果。
Certainly, in despite of outsourcing provider and user, it is very important to make a knowledge of HRM outsourcing's motivation, management model and risk.
当然,不管是对外包服务提供商还是使用商来说,了解人力资源外包的原因以及人力资源外包的管理模式和风险都是非常重要的。
This article expands the existing model of risk management according to its process, making use of the opportunity and avoiding the loss to attain the expected the goal.
从风险管理过程入手,对现有的风险管理模型进行拓展,在避免损失的同时利用机会,推动项目实现预期目标。
Credit risk; Commercial bank; Credit rating; Measure model; Credit risk management.
信用风险;商业银行;信用评级;度量模型;信用风险管理。
Interest rate risk management for commercial Banks with embedded option is investigated based on the convexity gap model in this paper.
研究基于凸度缺口模型的具有隐含期权的商业银行利率风险管理问题。
Along this master line and combining the domestic and foreign research results, the author has constructed the credit industry portfolio model, and proposed the measures of industry risk management.
作者就是沿着这条主线出发,结合国内外的研究成果,构建了信贷行业组合管理的模型,运用模型的结论提出了行业风险管理的若干措施。
Objective to explore the model of risk management in cardiology nursing and to improve the quality of nursing.
目的探讨冠心病专科护理风险管理模式,提高护理质量。
At last, a new system model for total life cycle risk management of a project was proposed.
最后提出了项目全寿命周期风险管理的系统模型。
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