它用方差之类的量度来描述风险,然而最真实的风险是从单独的一个观测结果发生的。因此方差是一种无法描写真实风险的易变状态。
It USES metrics like variance to describe risk, while most real risk comes from a single observation, so variance is a volatility that doesn't really describe the risk.
那些风险是真实的,但是我认为是过分夸大了。
我在前面提到了真实而不可测的风险。
I have referred to real but unpredictable risks. Much hangs in the balance.
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