精算师应用数学,统计学,和金融理论研究不确定的未来事件,尤其是和保险和养老金领域的问题。
Actuaries use mathematics, statistics and financial theory to study uncertain future events, especially those of concern to insurance and pension programs.
现在,我想从统计学中转移出来,谈论下当前值,金融学中另一个非常基本的概念。
Now. I want to move away from statistics and talk about present values, which is another concept in finance that is fundamental.
应读专业:在金融学、工商管理学、会计学、统计学或经济学之间选一个,为这个职业的严格要求作准备。
Get the degree: Choose from a bachelor's degree in finance, business administration, accounting, statistics, or economics to prepare for the rigors of this career.
保险精算学是运用数学、概率统计学原理以及多种金融模型对保险业中各种风险因素进行分析预测的学科。
Insurance Actuarial theory is a analysis and forecast subject to all kinds risk of insurance industry by mathematics, probability statistics methods and finance models.
国有银行脆弱性表现在哪里,与金融结构扭曲有何内在关联,本文用统计学方法进行系统研究。
The paper will, using statistics, analyze the phenomena of the frangibility and its relationship with the distortion of finance system.
应读专业:在金融学、工商管理学、会计学、统计学或经济学之间选一个,为这个职业的严格要求作准备。
Get the degree: Choose from a bachelor's degree in finance business administration accounting statistics or economics to prepare for the rigors of this career.
美式期权的定价问题是当前金融统计学面临的重要研究课题之一。
The pricing of the American option is one of the most important questions in financial statistics.
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。
Actuaries apply mathematics, statistics, probability and risk theory to assess potential financial impacts of future events.
内容提要:模型平均方法是当代统计学和计量经济学界研究的国际前沿问题,在经济、金融、生物、医学等领域有着广泛的应用前景。
Abstract: Model averaging is a frontier topic in Statistics and Econometrics. It has wide applications in many fields like Economics, Finance, Biology and Medicine.
这是统计学中又一个基本概念,在金融学中广泛使用,那我就举一个金融领域的例子。
This is another concept that is very basic to statistics, but it has particular use in finance, so I'll give you a financial example.
量子力学,统计学,高分子物理和金融市场中的路径积分(第5版)
Path Integrals In Quantum Mechanics, Statistics, Polymer Physics, And Financial Markets (5Th Edition)
结合资金头寸需求和供给的相关分析,运用金融学和统计学的相关知识,建立资金头寸管理模型,为提高资金头寸的管理和收益提供了思路。
Thirdly, based on the analysis of demand and supply of fund position, according to finance and statistics' knowledge, we got a model of fund position management.
本科以上学历,经济学,统计学,国际金融,金属材料类的相关专业。
Bachelor's degree or above in economics, metals and material, statistic and international finance sectors.
为金融业提供具有定量分析财务能力的专业人才,它着重应用数学和统计学在金融系统中的应用。
This programme is to train students in the mathematical and quantitative skills that are required by financial organizations.
这些金融风险度量方法都是以统计学、数理知识为主要的研究工具,结合实际的市场背景和经济意义来量化金融风险的。
These risk measurements set their bases on statistics and mathematical algorithms, combined with marketable movement. The main works of this paper are as follows: 1.
这些金融风险度量方法都是以统计学、数理知识为主要的研究工具,结合实际的市场背景和经济意义来量化金融风险的。
These risk measurements set their bases on statistics and mathematical algorithms, combined with marketable movement. The main works of this paper are as follows: 1.
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