• The idea is that people don't see this basic risk management problem and they see things in entirely different terms.

    该思想的关键在与人们并没有看到,其中本质的基本风险管理问题,而是站在完全不同的角度去看问题

    耶鲁公开课 - 金融市场课程节选

  • Not asking the right questions as well, whether it's in managing organizations, whether it's managing our lives.

    没有问正确的问题,不论是在管理组织,还是在管理我们的生活。

    哈佛公开课 - 幸福课课程节选

  • It is the question of really who governs or maybe put another way ? who should govern who ought to govern.

    问题的症结在于谁管理,或换句话说,谁应管理?由谁管理

    耶鲁公开课 - 政治哲学导论课程节选

  • .. He said that we should think of-- When we think about distributional justice we can think of it as a risk management problem.

    他说我们应该考虑这种做法-,在思考分配的公平问题时,可以把它看作一个风险管理问题

    耶鲁公开课 - 金融市场课程节选

  • I'm transferring this to the portfolio management problem and you can see it's the same idea.

    如果将保险转化为投资组合管理问题,你会发现原理是一样的。

    耶鲁公开课 - 金融市场课程节选

  • The problem is even more severe when you're looking at mutual funds because there's kind of a cynical game that mutual fund management companies play.

    当你去观察基金市场,会发现问题更严重,因为基金管理公司,会玩一个偷梁换柱的把戏

    耶鲁公开课 - 金融市场课程节选

  • I want to mention a couple other philosophers who talk about risk management.

    我想再提几位学者,他们也探讨过风险管理问题

    耶鲁公开课 - 金融市场课程节选

  • And here he says that men and women, being submitted to the same regime, will mean, among other things, that they will compete with one another in co-educational gymnasia.

    当然在此,他表示男女若真放到相同的管理方式中,那将在很多方面会出现问题,例如,他们将在,共同的体育课中竞赛。

    耶鲁公开课 - 政治哲学导论课程节选

  • These are efforts to solve the moral hazard problem and to manage risks.

    这些都是为了解决道德风险问题,和进行风险管理

    耶鲁公开课 - 金融市场课程节选

  • There was a conditional agreement: yes, Norway should manage this oil risk but it's politically difficult and that's the problem-- is that we're not able to do our optimal management.

    他们在一定程度上同意我的观点:,是的,挪威应该设法解决石油的风险,但这在政治上很困难,其问题在于-,挪威无法做到最优的管理

    耶鲁公开课 - 金融市场课程节选

  • Anybody whose read a basic finance text, as a matter of fact, I think anybody who thinks about investments in a common sense fashion knows that diversification is an important fundamental tenet of portfolio management.

    事实上,任何一个读过金融基础教材的人,任何一个,以正常思维来考虑投资问题的人,都知道分散投资是投资管理的,一条重要的基本原则

    耶鲁公开课 - 金融市场课程节选

  • So, it really is -it really ought to be on the bank's balance sheet and it ought to be regulated by the bank regulators, but there was a failure to do that and that is the problem that we are in currently.

    所以说,它确实该...,它应该反映在银行的资产负债表上,同时接受银行监管体系的管理,但这却没能实现,这就是我们目前面临的问题

    耶鲁公开课 - 金融市场课程节选

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