风险系数(risk coefficient)是风险管理学科中的一个名词,它是指用具体的数值来表示风险程度的方法。最常用的是道氏火灾与爆炸指数(简称道指)。 它的基本原理是:衡量损失的可能性并以数值表示出来,用于比较并对每年的变化进行管理。
XPN eXternal Priority Number 外部优先权编号 Risk Priority Number 风险系数 ; 风险顺序数 ; 风险优先系数 ; 风险优先数 Risk priority number RPN 风险度 ..
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... degree of operating leverage营业杠杆程度,营业杠杆系数 degree of risk风险程度,风险系数 degree of total leverage总杠杆程度,总杠杆系数 ...
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How to choose the potential invest and low risk coefficient project is the first problem that the PE companies have to research.
为了使国内的私募股权投资机构迅速发展,如何选择投资潜力大,风险系数小的投资项目成为我国私募股权投资机构所要研究的重要问题。
参考来源 - 基于风险视角的私募股权投资项目选择研究·2,447,543篇论文数据,部分数据来源于NoteExpress
她还认为,婴儿过重的风险系数不依赖于母亲孕期的体重增加或其初始体重。
The risk factor is independent of the mother's weight gain during pregnancy or starting weight, she says.
比如说,弗明汉风险系数表明一个人的未来10年内患有心脏病的几率为7%。
For instance, a Framingham score may indicate someone has a 7% chance, or low risk, of having a heart attack in the next 10 years.
很多糖尿病风险系数包含以下内容:年龄增长,肥胖,高血压,高血脂和种族因素。
Many diabetes risk scores included: increasing age, obesity, high blood pressure, high cholesterol and ethnicity.
.. The problem is again the ideal-- they're trying to work toward what I think of an ideal that we see in finance-- 1 mainly, the perfect correlation of consumption and the elimination of risk--we all help each other.
问题又回到了理想-,他们为之奋斗的这种理想状态,如果用金融学的理念来解读-,就是消费与风险消除的相关系数为,即完全正相关,所有人都互助互利。
of a stock is how much it reacts to movements in the market portfolio.
一只股票风险指标β系数直接反应出,The,β,市场组合变动与投资收益的相关性。
It will be about the securities market line, about the beta, about the mutual fund theorem, and it will also be about institutions that we have--about investment companies and their management.
证券市场的风险线,beta系数,共同基金定律,还有当下的一些金融机构,包括投资公司,以及他们的管理
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