Credit risk literature rarely discusses these factors, which should be incorporated into credit risk modeling.
信贷风险文献非常少讨论了这些因素,这些因素应纳入信贷风险建模。
This context includes risk, complexity, tools, notation, and objective (s) for the modeling effort.
此环境包括建模工作的风险、复杂性、工具、表示法,和目标。
Lower risk: When using an MDD approach, early application development is focused on modeling activities.
降低风险:当使用MDD方法时,早期的应用程序开发着重于建模活动。
The chapter on threat modeling and risk assessment is particularly important.
“威协建模和危险评估”这一章非常重要。
Part of the answer, he suggests, is to emphasize the qualitative over the quantitative: business schools should teach financial history before risk-modeling.
他认为,某种程度上可以通过加强定性而非定量研究来解决这个问题:商业学校在教授风险建模之前首先应给学生上金融史。
Agreeing on common goals and definitions, and then modeling the initiative, reduces the project risk and the amount of change management required.
对于共同的目标和定义达成共识,然后规范化行动,这降低了下面风险以及所需的变更管理的数量。
But there is evidence to suggest that when parents provide more information and better modeling early on, their children's risk of substance abuse goes down.
就这一点,研究是有限的。但是有证据表明,如果家长越早给孩子提供模范榜样,给他们提供更多好的信息,孩子们滥用药物的危险就可能降低。
Modeling correlated default risk is a new phenomenon currently sweeping through the credit markets.
对相关违约风险进行建模,在当前是风卷信用市场的一种新现象。
This article proposes the risk recognition feature-factor modeling technology, which is set up on the basis of checklist and flow chart.
本文提出了风险识别的特征-因子建模技术,建立了基于核对表和鱼刺图的特征-因子模型。
The theory and method of modeling volatility persistence of time series is a powerful tool in analyzing the risk of economic and finance market.
时间序列的波动持续性建模理论和方法是经济金融领域风险分析的一种强有力的工具。
Cyclic Bayesian network provides modeling method and inference algorithms for the management of software project iterative process risk.
有环贝叶斯网络的研究,为管理软件项目迭代过程风险提供了建模方法和模型求解算法。
According to the analysis of the risk, this paper proposes a new method to mechanism modeling that based on the response of customer demands.
文中通过对电价联动机制存在的风险进行分析,提出一种考虑用户需求响应的电价联动机制与建模的新思路。
Project risk management is studied with the establishment of system modeling of risk management.
以项目风险管理为研究对象,建立了项目风险管理系统模型。
In order to make popular credit risk models more compatibility, we expect to set up a general credit portfolio modeling, which is a basis of system risk factors and non-system risk factors.
为了使当前流行的各种信用风险模型具有更高的相容性,在系统风险因素和非系统风险因素区别的基础上,建立了一个简单的信用组合风险模型。
Advantage of studying the environments and mechanisms of gas hydrates through laboratory modeling not only include its low costs and low risk, but also include its high theoretic importance.
在实验室模拟天然气水合物的生成环境,探索水合物的生成机制不仅花费资金少、风险低,而且极具理论价值。
The conclusions in the paper will benefit the deep research on volatility modeling, asset pricing and financial risk management and so on in future.
所得结论有益于对价格波动性建模、资产定价、金融风险管理等领域的深入研究。
In addition, methods for index quantification, weight setting, comprehensive modeling and risk grading were presented.
提出了指标量化、权重设置、综合模型建立和风险等级划分的方法。
Method The study methods of this project included dynamic disease surveillance, multiple risk factors examinations, cross - sectional and prospective study, and modeling of predictive models, etc.
方法本专题采用的研究方法包括:疾病动态监测、危险因素动态监测、横断面研究、前瞻性观察、生态学比较和模型预测等流行病学方法。
Applying structural approach to modeling default risk, the pricing of default risk zero-coupon bond and a credit spread term structure under incomplete information is developed.
运用违约风险评估的结构化建模方法,在信息不完全的情形下推导了风险零息票债券的定价公式,并得到了此时信用利差的期限结构。
It realizes software security property modeling with the method of MDA, and reduces risk and cost of later development period.
利用MDA方法进行软件安全属性的建模,降低后期开发的风险与成本。
Using sophisticated modeling techniques, the researchers argued that less than 30 percent of the lifetime risk of getting many common cancers was because of intrinsic risk factors, or the "bad luck."
通过使用精密的建模技术,研究人员提出,罹患癌症的终生风险有不到30%由内在因素导致,或说“坏运气”。
Tail risk events are situations that, while conceivable, are highly unlikely based on mathematical modeling.
尾部风险事件是指如下情况,可以想像但是非常难以建立数学模型。
Numerical modeling of flood routing in flood area is important basis of non-engineering measure, such as analysis of flood risk, people's escaping from risk of flood and so on.
洪泛区洪水演进数值模拟是风险分析与居民防洪避险等非工程措施的重要依据。
This paper presents how the tr ee based technology is used in software testing through identification of problematic areas and risk management using tree based modeling.
本文以如何使用基于树的建模技术标识软件中有问题的区域和进行危险管理为例,着重阐述了基于树的分析技术在软件测试中的应用。
By means of mathematical modeling, this paper builds a general mathematical model of digital library information security risk management based on ISO 27000 series standards.
本文通过数学建模的手段,建立了基于ISO 27000系列标准的数字图书馆信息安全风险管理数学模型。
The main problems of operational risk measurement are that if operational risk can be quantified, defination of operational risk, loss defination, modeling data and model risk etc.
操作风险度量研究需要重点解决操作风险可否计量、操作风险界定、损失界定、建模数据和模型风险等问题。
Muhlbauer risk assessment scoring system of pipeline, and also describes in detail modeling chart of risk assessment and 4 factor to cause accident, as well as put forward classific.
Muhlbauer的管道风险评分体系,详细阐述了风险评价模型框图和引起事故的4个因素,提出了风险等级划分标准和减小管道风险的一些建议。
Analytics and predictive modeling can help to identify drivers of churn, prioritize resources and alert contact strategy for customers that are both high-risk and high-value.
分析和预测模型可以识别客户流失的驱动因素,优化配置资源,以及指示对高风险、高价值客户的联系策略。
Considering the time variation, heteroscedasticity and tail characters of market risk and liquidity risk, GARCHEVTmethod is used for the modeling of these properties.
针对市场风险与流动性风险的时变性、异方差性和尾部特点,利用GARCH -EVT方法进行建模。
Considering the time variation, heteroscedasticity and tail characters of market risk and liquidity risk, GARCHEVTmethod is used for the modeling of these properties.
针对市场风险与流动性风险的时变性、异方差性和尾部特点,利用GARCH -EVT方法进行建模。
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