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保险策略的
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  insurance strategies
     To testify the validity of these portfolio insurance strategies, the weekly yield of risky assets was given by Monte Carlo simulation, 52 data randomly generated by the simulation with the mean of 0.002 459 and the variance of 0.023 169 being taken as the weekly yield in one year.
     为验证上述投资组合保险策略的有效性,用蒙特卡洛模拟方法对组合资产中风险资产的周收益率数据进行随机生成,以1a为周期,按均值0.002459和方差0.023169,随机生成52个数据作为风险资产的周收益率.
短句来源
     Empirical Comparison and Analysis of Portfolio Insurance Strategies Based on Monte Carlo Simulation
     投资组合保险策略的蒙特卡洛实证比较分析
短句来源
     The main aim of investment portfolio insurance strategies is to protect the inestors from the risk of the downward of the assets value and to posses the potentialities of rise of the assets value.
     投资组合保险策略的主要目的就是,保证投资者在继续拥有资产增值潜力的同时,回避或者锁定资产价格下跌的风险。
短句来源
     To testify the reliability of the portfolio insurance strategies, one hundred tests to them were conducted with the same Monte Carlo simulation, showing their validity.
     同时,为检测各投资组合保险策略的可靠性,用同样的蒙特卡洛模拟方法对各组合保险策略进行100次重复循环测试.
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     The project insurance is one of the most important methods of the project risk management. From the analysis of the project risk,this paper studies how to decide the sort of the insurance,how to select the assurer,and how to apply the insurance strategies,which has uses for reference to the project risk management and the operation of insurance.
     工程保险是工程风险管理的重要手段之一 ,本文从工程项目管理分析入手 ,对工程项目的保险种类的选择、保险人的确定、保险策略的应用等方面进行了分析论述 ,对工程项目风险管理与保险的运作具有一定的参考价值。
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  “保险策略的”译为未确定词的双语例句
     Principles of Operating Portfolio Insurance
     投资组合保险策略的运作原理
短句来源
     The Positive Test of the Portfolio Insurance on CPPI Strategy
     CPPI投资组合保险策略的实证分析
短句来源
     The performance of portfolio insurance is conditional on the choice of portfolio insurance strategy, the floor return of the insurance strategy, the percentage of the portfolio's assets covered by insurance, the risk(beta) of the underlying portfolio, the insurance strategy's horizon, the transaction costs, riskfree rate, adjustment methods and so on.
     投资组合保险策略的绩效主要取决于投资组合保险策略的选择、标的资产走势、标的资产风险系数、要保额度、投资组合保险比例、交易费率、调整法则的选用等。
短句来源
     Portfolio insurance is suitable for Chinese securities market, Among which TIPP plays best in the long run with SP following.
     1、投资组合保险策略在中国股市有较强的适应性,其中时间不变性投资组合保险策略的长期表现最好,复制性卖权策略次之。
短句来源
     At the same time, the negative influences of the portfolio insurance have drawn more and more attentions.
     投资者风险偏好对最优投资组合保险策略的影响; 风险资产价格波动性与投资组合保险成本、收益关系;
短句来源
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  相似匹配句对
     Principles of Operating Portfolio Insurance
     投资组合保险策略的运作原理
短句来源
     The Positive Test of the Portfolio Insurance on CPPI Strategy
     CPPI投资组合保险策略的实证分析
短句来源
     On Insurance
     浅析保险
短句来源
     The Adventure of Stratagems
     策略的冒险
短句来源
     Exhibits Insurance
     展品保险
短句来源
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  insurance strategies
Inthe application described in this paper, the modelgenerates insurance strategies that are lessvulnerable to insolvency.
      
Out-of-sample tests clearly favor the strategies suggested by our model over static fixed-mix and dynamic portfolio insurance strategies.
      
Portfolio Insurance Strategies when Hedging Affects Share Prices
      
Gennotte and Leland (1990) show portfolio insurance strategies can have an impact on price movements.
      
Utility maximizing portfolio insurance strategies when hedgers consider the impact of their trading on security prices
      
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This paper gives the sufficient - necessary conditions which the optimal reinsurance strategy should suggest, analysis the form of a strategy, and discusses three price mechanism to obtain the corresponding determinate strategy.

本文建立了最优再保险策略所应满足的充要条件,分析了一类最优再保险策略的形式,确定了三种不同价格机制下的最优再保险策略.

The basic model and Markov model are set up to estimate the financial risk which is brought by the stochastic property of patients' health state and treatment level for health care plan. An example is given to demonstrate the application of three level Markov model. This course enun ciates that the risk estimation model can estimate correlative financial risk reasonably. And it can also provide foundation for formulating the health care plan accurately.

建立了风险评估的基本模型和马尔柯夫模型,用以估计病人健康状态和治疗水平的随机性给医疗保险带来的财务风险,并举例说明了三水平马尔柯夫模型的实际应用.应用过程表明,风险评估模型能够合理地估算出相关财务风险的大小,为制订正确的医疗保险策略提供必要依据.

Basing on the model of reinsurance market by Borch in 1990,the sufficient and necssary conditions for the tactics of optimal reinsurance is given,the application of utility theory in insurance and the nature of the optimal reinsurance tactics is discussed in this artcile.

本文在Borch(1990)提出的再保险市场模型基础上讨论了效用理论在再保险中的应用,证明了最优再保险策略的充分及必要条件,并讨论了最优再保险策略的性质

 
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