The third chapter, the risk theory of allowing and the principle of trust.
第三章,容许的危险理论和信赖原则。
Research on audit risk is an important system of building audit risk theory.
对审计风险进行系统的理论研究,是构建审计风险理论的重要体系。
Chapter two of this article briefly summarizes the risk theory and currency risk.
在第二章主要讨论风险理论和外汇风险。
In the present actuarial science and mathematics research, risk theory is a hot topic.
风险理论是当前精算界和数学界研究的热门课题。
Nowadays, risk theory is a hot topic both in actuarial science and mathematics research.
风险理论是当今精算界和数学界研究的热门课题。
So the business of insurance company and products are depended on the research of risk theory.
所以保险公司的险种产品以及经营的好坏都取决于风险理论的研究。
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。
Ruin theory which is also called risk theory, is the core content of the category of the insurance mathematics.
破产理论或更一般的风险理论,传统上被认为是保险数学的经典内容。
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。
It is well known that the precise large deviations and the risk theory are two of main objects in insurance mathematics.
众所周知,精细大偏差和风险理论是保险数学的两大主题。
Actuaries apply mathematics, statistics, probability and risk theory to assess potential financial impacts of future events.
精算师运用数学,统计学,机率,风险理论对未来事件的潜在金融影响进行评估。
Risk theory is a hot study topic in the realm of modern actuarial science and mathematics, and ruin theory is the core of risk theory.
风险理论是现代精算和数学界研究的热点,破产理论是风险理论的核心内容。
Secondly, the article discussed the motive force mechanism and mode of the enterprise technological innovation, putting forward expect-risk theory.
其次,对企业技术创新系统的动力机制和模式进行了探讨,提出了“期望——风险”理论模式。
It is the framework foundations of many applying subjects, such as Information theory, Mathematics Risk theory and Insurance theory for Actuaries etc.
诸如信息论、数学风险论、保险精算理论等均是建立在概率论基础上的。
The application of audit risk theory in the traditional audit has defects, while modern audit applies audit risk theory throughout the process of audit.
传统审计应用审计风险理论不够全面,现代审计将审计风险理论与整个审计过程紧密联系。
Risk theory, as a part of insurance-or actuarial-mathematics, deals with stochastic models of an insurance business and studies the probability of ruin.
风险理论作为保险精算数学的一部分,主要处理保险事务中的随机风险模型并研究破产概率等问题。
In this paper, we use game theory, institutional economics and risk theory to study the basic theory of asset impairment accounting professional judgments.
本文以博弈论、制度经济学和风险理论为基础理论来研究资产减值会计职业判断。
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;
Since the 1960s, heavy-tailed distributions have been widely used in branching processes, queueing theory, risk theory including insurance and finance and other fields.
自从上世纪60年代以来,重尾分布已经在分支过程,排队论,风险理论包括金融保险等领域中有了广泛的应用。
The second part was the basis of audit risk theory, the CPA to define risk, registered accountants on the main types of audit and audit risk characteristics were analyzed.
第二部分为审计风险的基础理论,界定了注册会计师审计风险,探讨了注册会计师审计的主要类型,并对审计风险的特征进行了分析。
Study of bankruptcy probability with different risk models is an important subject in risk theory, but its exact expression is not easy to derive under ordinary circumstances.
不同风险模型下的破产概率研究是风险理论的重要课题,但在一般情况下其精确表达式不易求得。
Research on ruin theory has always been playing a pivot role in the study of risk theory since it bears both an insurance practical background and interests of probability theory.
破产理论一直是风险理论的研究核心,对它的研究既有保险实务的应用背景,又有概率论上的兴趣。
The core of risk theory that modern commercial bank's core competencies is the credit risk management capabilities, a bank's core values, and also the bank's risk management focus.
核心风险理论认为现代商业银行的核心能力就是信用风险管理能力,是银行的核心价值所在,也是银行风险管理重点。
It is well known that the convolution equivalent distributions have wide and important applications in risk theory, queueing system, branching process and infinite devisibility and so on.
周知,卷积等价族在风险理论,排队系统,分支过程,无穷可分分布等领域有重要的应用,因而受到广泛的重视。
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。
At first, a theoretical background related to risk measures and a survey of researches are presented, with current researches on the market risk theory and liquidity risk theory focused on.
首先,论文介绍了风险计量的相关理论背景与国内外的研究概况,重点介绍了市场风险及流动性风险的理论研究现状。
At first, a theoretical background related to risk measures and a survey of researches are presented, with current researches on the market risk theory and liquidity risk theory focused on.
首先,论文介绍了风险计量的相关理论背景与国内外的研究概况,重点介绍了市场风险及流动性风险的理论研究现状。
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