value-based measurement model
value-based measurement model
基于价值的测量模型
以上为机器翻译结果,长、整句建议使用 人工翻译 。
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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。
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