This paper reviews the historical method of risk measure, point out their limitation, supply a way to recompose it and a new index of risk measure-synthesis risk deviation.
本文回顾了历史上使用过的风险度量方法,并指出了它们的局限性,同时本文提出了修改的构想和一个新的风险度量标准——综合风险偏差。
Risk analysis is a premise in adopting safe measure to computer. Its method and step are described in this paper.
风险分析是实施计算机安全措施的前提。本文叙述风险分析的方法和步骤。
The Basel capital agreement provides three operation risk weight method, requests the banks choosing the appropriate method to measure the operational risk, to allocate corresponding capital in cash.
巴塞尔新资本协议提供三种操作风险衡量方法,要求银行可以选择合适的方法对操作风险进行衡量,为操作风险配置相应的资本金。
At last, thesis explains the test process, simulation method of loading and measure, test equipment, test risk and so on.
最后本文对试验进程、加载模拟方法、试验规模、试验设备、试验的风险因素等进行了说明。
In this paper, the quantile regression method and combined with COVAR based on the actual construction of the measure of Chinas banking system risk.
本文基于分位数回归办法并联合COVAR实际构建了丈量我国银行业体系性风险的模子。
We discuss the measure and the method to strengthen the management of the high risk medical instrument under the new condition of doctor and patient.
在新的医患条件下探讨加强高风险医疗器械管理的措施和方法。
At the same time constructed with quantile regression method and COVAR model in the actual measure of the banking system based on risk.
同时构建了基于分位数回归办法和COVAR实际的本文器量银行体系性风险的详细模子。
The paper introduces the risk analysis method of automatic measure and forecast system of reservoir rain regime in greater detail with example of Caihe reservoir.
本文以柴河水库为例,详细地介绍了水库雨情自动测报系统的风险分析方法,首次将“重现期法”、“安全系数法”引进到水库雨情自动测报系统的风险分析中。
Establishes an effective method to measure credit risk of listed corporations is an important topic that our scholar currently faced.
建立有效的上市公司信用风险判别方法是我国学者当前面临的一个重要课题。
Establishes an effective method to measure credit risk of listed corporations is an important topic that our scholar currently faced.
建立有效的上市公司信用风险判别方法是我国学者当前面临的一个重要课题。
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