助手标题  
全文文献 工具书 数字 学术定义 翻译助手 学术趋势 更多
查询帮助
意见反馈
   市场的风险 的翻译结果: 查询用时:0.293秒
图标索引 在分类学科中查询
所有学科
更多类别查询

图标索引 历史查询
 

市场的风险
相关语句
  market risks
     Stock index futures market not only pools stock market risks, but also futures market risks, therefore, risk control over stock index futures should commence from internal risk control in the investment institutions, government supervision, self-discipline management of stock index futures industries, and external risk control over self-supervision of brokerages.
     股指期货市场既集中了股票市场的风险 ,又集中了期货市场的风险 ,因此 ,股指期货的风险控制要从投资机构内部风险控制与政府监管、股指期货行业自律管理和经纪公司自我监管的外部风险控制等方面着手。
短句来源
  “市场的风险”译为未确定词的双语例句
     (3)Risk level on the market;
     (3)市场的风险水平;
短句来源
     Capital market is full of risks.
     资本市场是一个充满风险的市场,资本市场的风险可以分为个别风险和系统性风险。
短句来源
     Research on Risk Control of China's Futures Market
     中国期货市场的风险控制研究
短句来源
     Risk Control of Soybean Futures Market of China
     中国大豆期货市场的风险控制
短句来源
     Research of the Risk Management Mechanism in Petroleum Futures Market
     石油期货市场的风险管理机制研究
短句来源
更多       
  相似匹配句对
     The risks of the venture capital market and its prevention
     创业板市场风险及防范
短句来源
     The Research On Venture Capotal Market
     风险资本市场研究
短句来源
     increases the risk of market systematilization.
     市场系统性风险增大 ;
短句来源
     MARKET
     市场
短句来源
     (3)Risk level on the market;
     (3)市场风险水平;
短句来源
查询“市场的风险”译词为用户自定义的双语例句

    我想查看译文中含有:的双语例句
例句
为了更好的帮助您理解掌握查询词或其译词在地道英语中的实际用法,我们为您准备了出自英文原文的大量英语例句,供您参考。
  market risks
Commercialization process of PoC still includes many technical and market risks.
      
Existing modelling instruments allow for a good measurement of market risks of trading books over relatively small time intervals.
      
From the perspective of founders, staging can reduce the cost of equity, but it also increases the share of external company and market risks they have to bear.
      
A three-pillared system of this type would pool political risks and market risks.
      
As a result, members are less willing to invest in higher-margin activities further in the food chain for they present considerable market risks.
      
更多          


Oil-Gas Exploratory Programs,namely petroleum geology prog- rams,are characterized as:highly unknown,complex in techno- logy,long in running period,great in investment and more in tegrative.These are known as the determinants of the five risks in Oil-Gas Exploratory Programs.the natural risk,the technical risk,the risk in market,the risk in management and the non- natural-fightless risk.To decrease these indefinit risks,one must apply not only the qualitative approaches,but also the quantitative approaches to...

Oil-Gas Exploratory Programs,namely petroleum geology prog- rams,are characterized as:highly unknown,complex in techno- logy,long in running period,great in investment and more in tegrative.These are known as the determinants of the five risks in Oil-Gas Exploratory Programs.the natural risk,the technical risk,the risk in market,the risk in management and the non- natural-fightless risk.To decrease these indefinit risks,one must apply not only the qualitative approaches,but also the quantitative approaches to risk analysis.The qualitative approach is an essential prerequisite of correctly decomposing and sharing the risk of Oil-Gas Exploratory programs rationally,while the Sensitivity Analysis is a kind of approach by which one can study the risks quantitatively.

油气勘查项目,即石油地质项目,具有未知性强、技术复杂、工作周期长、投资多和综合性强五大特点。这五大特点决定了油气勘查项目面临着自然风险、技术风险、市场风险和非自然不可抗拒风险等五大风险。减少这些风险,不仅要进行风险的定性分析。风险的定性分析是正确分解合理承担油气勘查项目风险的前提;敏感性分析是定量地研究项目风险的有效方法之

The risk of business capital and its flow is derived from the risk of business operation. The risk of business finance is recognized from all business actions and a concept of "business financial risk" is proposed. Combining business risk management with financial management, a subject of business risk financial management is established.Basic theory and methods of the subject are studied preliminarily. Business risk financial management is characterized by a broader extent, stronger integrating ability and...

The risk of business capital and its flow is derived from the risk of business operation. The risk of business finance is recognized from all business actions and a concept of "business financial risk" is proposed. Combining business risk management with financial management, a subject of business risk financial management is established.Basic theory and methods of the subject are studied preliminarily. Business risk financial management is characterized by a broader extent, stronger integrating ability and highersensitivity; and newer viewpoint, enlarged management content and advanced means compared with general financial management, involving natural risk, social risk, market risk and operating risk financial managements.

从企业生产经营过程的风险性,导出企业资金及其资金运动的风险性。从企业财务活动全过程的风险性来认识企业财务的风险性,从而提出企业风险财务概念。把企业风险管理与企业财务管理相结合,确立了企业风险财务管理的命题,进而对这一管理的基本理论和方法作了初步探讨。企业风险财务管理与一般风险管理相比有涉及面广、综合性强、灵敏度高的特点;与一般财务管理相比有理财观念更新、管理内容拓宽和管理方法及手段先进等特点。它的基本内容包括自然风险、社会风险、市场风险和经营风险财务管理等。企业风险财务管理的基本方法有风险财务预测法、风险财务决策法、风险财务预防与控制法和风险处理法。

The idea that diversification in bulk shipping can reduce the market risks has been widely accepted within the circles, while the quantitative analysis of such diversification is worth discussing.Through the shipping company's investment/operating decision model, this paper intends to prove the positive effect of diversification on risk management and analyse quantitatively how to determine the OPtimal POrtfolio strategy for the risky bulk shipping, without the knowledge of shipowners' attitudes towards the...

The idea that diversification in bulk shipping can reduce the market risks has been widely accepted within the circles, while the quantitative analysis of such diversification is worth discussing.Through the shipping company's investment/operating decision model, this paper intends to prove the positive effect of diversification on risk management and analyse quantitatively how to determine the OPtimal POrtfolio strategy for the risky bulk shipping, without the knowledge of shipowners' attitudes towards the risks.

以散货船经营多样化来减少市场风险已是航运界的共识,但如何定量分析多种海运项目搭配的最佳组合,是一个值得探讨的问题。笔者试图从船公司投资/营运决策着手,论证多样化经营的效果以及定量分析在不了解船东的风险反感程度条件下,如何制定散货船风险性经营的最优多样化策略。

 
<< 更多相关文摘    
图标索引 相关查询

 


 
CNKI小工具
在英文学术搜索中查有关市场的风险的内容
在知识搜索中查有关市场的风险的内容
在数字搜索中查有关市场的风险的内容
在概念知识元中查有关市场的风险的内容
在学术趋势中查有关市场的风险的内容
 
 

CNKI主页设CNKI翻译助手为主页 | 收藏CNKI翻译助手 | 广告服务 | 英文学术搜索
版权图标  2008 CNKI-中国知网
京ICP证040431号 互联网出版许可证 新出网证(京)字008号
北京市公安局海淀分局 备案号:110 1081725
版权图标 2008中国知网(cnki) 中国学术期刊(光盘版)电子杂志社