Figure 1: Expected risk profile for an iterative project.
图1:迭代的项目中预期风险的概况。
Then we test the relation between expected returns and expected risk with the GARCH-M model.
然后,应用均值GARCH (GARCH - M)模型检验预期收益与预期风险的关系。
But it is necessary to establish a feasible method to verify whether these emergency plans implement the goal of expected risk management.
但所编制的应急预案是否能够实现预定的风险管理目标,亟需建立切实可行的方法加以检验。
For example,it says climate change and land use are expected to increase desertification worldwide, increasing the risk of sand and dust storms.
VOA: standard.2009.03.23
That's what this whole theory is about, how to get a lot of expected return without getting a lot of risk.
整个金融理论的中心,就是如何获得高收益,同时降低风险
In fact, different people might make different choices about how much risk they're willing to bear to get a higher expected return.
事实上,为了获得高的预期收益率,人们愿意承受的风险,也会不同。
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