Following the Datar, Mathews method, the value of the project increases as the risk is removed.
遵照Datar、Mathews方法,随着风险的去除,项目价值也增加了。
According to the character of policy making risk, the paper thorough discusses the concept, method and problems of the value of complete information.
根据风险决策的特点,本文深入讨论了全情报价值的概念、方法及应用问题。
Objective: To establish a simple method for measuring the risk threshold value of fracture in middle and old aged female.
目的:寻找一种检测中老年女性骨折风险阈值的简易方法。
In the traditional financial risk measurement model, the basic method is based on normal distribution, and then the variance-covariance method used to solve the portfolio value at risk.
在传统的金融风险度量模型中,基本都是基于正态分布,然后运用方差一协方差法来求解资产组合的风险价值。
This model not only provides an effective method to avoid risk for CBM development company, but gives a new idea to evaluate the value of CBM project rationally.
该模型为煤层气开发企业有效地规避风险提供了解决方法,也为合理地评价煤层气开发项目价值提供了一种新的思路。
Or commutated the dangerous value deferring the VAR method, the credit risk question of the import and export enterprise in our country also must be much more serious than the above estimate.
或者按照VAR方法计算在险价值的话,我国进出口企业的信用风险问题比上述估计还要严重得多。
In this paper, we propose a method of appraisal and selection alternative by calculating and comparing the risk value and risk cost of the alternative.
本文提出了一种通过对决策方案风险价值与风险费用的计算和比较来评价选择方案的方法。
Using the analytical method of risk factors in the risk decision analysis, only one risk value of the selected plan can be got.
在风险决策分析中,用风险因素分析法只能得到备选方案的一个风险值。
A uniform risk loss model are defined, and a basic loss estimate method is also proposed, which is composed of loss extent model, loss value conversion model, loss time value model.
建立了统一的桥梁风险损失概念模型,提出了由损失幅度模型、损失价值转换函数、损失时间价值模型三个基本模型组成的桥梁风险损失量测的通用方法。
Though of great value in avoiding risk of electricity market price soaring, yet no systematic theory and method have been achieved in price cap setting at present.
发电申报最高限价有助于防范电价飞升带来的市场风险,但目前并没有设置市场限价的系统理论和方法。
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。
Choose finance the net present value method, based on net cash flows in accordance with the various sources of the project, identified as risk variables, and a detailed exposition and analysis.
确定以财务的净现值法为基础,按照净现金流的各个来源项目,确定为风险变量,并进行了详细的阐述和分析。
Choose finance the net present value method, based on net cash flows in accordance with the various sources of the project, identified as risk variables, and a detailed exposition and analysis.
确定以财务的净现值法为基础,按照净现金流的各个来源项目,确定为风险变量,并进行了详细的阐述和分析。
应用推荐