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The answer comes back once again to excess risk taking and leverage in the banking sector.
答案再次归结为银行业过度承担的风险和它们所采取的杠杠率。
However, most of the excess risk appears to be mediated by substance abuse comorbidity.
然而,大多数的过分危险似乎是药物滥用合并症介导的。
In both cases, the excess risk increased with treatment duration and seemed to return to baseline 5 years after discontinuation.
在这两种情况下,当持续治疗时风险会增加而停止用药5年后会回到基线值。
They're interesting biological reasons for that, but certainly it's relevant, and it's important of course for physicians to be aware of this when they're screening overweight people for Diabetes given that excess risk in the women.
这些生理因素很有趣,也很有意义,考虑到女性的患病风险更高,医生们在为超重人群检查糖尿病时,很有必要注意到女性的患病风险
Or are you going to manage each individual asset class actively, trying to beat the market and generate risk-adjusted excess returns?
还是积极管理每项资产,力求获得市场水平以上的回报率,以及风险调整后的超额收益
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