1、

However, this project work range and the relationship between complex, engineering emergency, short time limit, task, and unknown variable factors is various, certainly will increase the project risk and technical difficulties.

然而,这种项目的工作范围大而且相互之间的关系复杂,工程紧急,工期短,任务重,而且未知的可变的因素繁多,势必增加了该项目的风险性和技术难度。

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2、

A Method of Solving the Special Functional Equation Including a Random Variable and a Process of Deriving Constant Risk-Averse Utility Function

一种随机特殊函数方程的解法及定常风险厌恶效用函数的导出

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3、

In the section of empirical analysis, the paper takes educational expenditure as instrumental variable ( IV) to measure the risk, uses the correlative data in China Statistical Yearbook firstly to estimate the precautionary saving motivation intensity in Chinese urban resident household and rural residents household.

在实证分析中,本文通过用教育支出为工具变量度量风险,首先选取《中国统计年鉴》的相关数据对我国城镇居民家庭和农村居民家庭的预防性储蓄动机强度进行了检验;

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4、

This paper attempts to demonstrate that risk premium is a variable of individual decision making through search model.

本文通过一种寻找模型说明决策者在决策中的风险态度取决于决策问题同决策环境的关系。

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5、

The risk premium attached to the interest rate is the critical variable: once it starts rising, the existing rate of deficit financing becomes unsustainable.

与利率相关的风险溢价是一个关键变量:一旦它开始上升,当前的赤字融资利率就会变得不可持续。

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6、

It shows that specific information of disease, probability information, and government 'information of controlling measures take risk perception as an intermediary variable, have a significant impact on Farmers' decision-making behavior, are the messages that animal epidemic risk communication primarily conveys.

结果表明,疫病内容信息、疫病概率信息和政府控制措施信息以风险认知为中介变量,对农户决策行为具有显著影响,是动物疫情风险沟通重点传递的信息内容。

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7、

Finally, using fuzzy variable model based on AHP to identify credit risk in the projects investment and achieve the early warning, so as to provide a reliable credit decisions proposal for management better, to take the credit investment management science.

最后,应用基于AHP权重的模糊可变模型对信贷投资决策中的风险进行识别并实现预警,更好地为管理者提供可靠的信贷决策建议。

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8、

Through discriminant analysis, the relative importance of each factor variable on the prepayment risk of personal residential mortgage is obtained.

通过判别分析,得出各因子变量对个人住房抵押贷款提前还款风险影响的相对重要性。

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9、

The risk management of insurance transfer risk is investigated. The loss functions of the insured based on main types of claims of property insurance have been given. The decision model of optimal insurance risk control is derived in which the decision variable is insurance value.

研究了被保险人投保转移的风险管理方案,给出基于财产保险主要赔付方式的被保险人损失函数,推导出决策变量为保险金额的最优投保风险控制方案的决策模型。

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10、

Then, the paper conducted a comprehensive analysis on the risks, selected the key risk factors can be quantified affecting non-life insurance companies' assets and liabilities management, identified the main variable parameters, and constructed DFA models suite to non-life insurance companies on the above basis.

然后对非寿险公司的风险进行全面分析,筛选出影响非寿险公司资产负债管理的可量化的关键风险因素,识别出主要建模参数变量,并在此基础上构建适合非寿险公司的DFA模型。

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11、

Secondly, recurring to the measurement of risk in financial mathematics and extending the definition of the variance, a risk function of demand is obtained for the price variable.

其次,借助于金融数学中风险的度量,通过推广方差的定义,得到了价格变量的需求风险函数;

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12、

Results of single variable analysis and multivariate logistic regression analysis revealed that insufficient training, injury history of lower leg and shoe unfit were the main risk factors of OUI.

经单因素和Logistic多元回归分析发现,有下肢损伤史、训练中着鞋不适、入伍前缺乏体育锻炼是OUI的危险因素。

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13、

Our research takes idolatry as modulating variable to explore the relationship between moral intensity, perceived risk and music piracy intention.

以偶像崇拜为调整变量,探讨其对道德强度、知觉风险与消费者下载非法在线音乐意图间之关系是否具有干扰影响。

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14、

investing in a variable annuity contract involves risk, including the possible loss of principal.

投资可变年金有风险,本金有可能遭受损失。

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while hormone receptor did not change the bimodal pattern of mortality risk, the results showed that it was a time dependent variable.

激素受体状态虽不改变病人的双峰型复发模式,但却呈现出一定的时间依赖性。

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16、

single variable and multivariate conditional logistic regression analysis were used to analyze risk factors. the confounding factors were excluded, and the risk factors were found by using logic analysis.

应用1:1条件logistic回归进行单因素和多因素分析,排除混杂因素、逻辑分析和病因推断,寻找可能的危险因素。

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17、

volatility is one of the most important features in financial markets, which is the core variable of the capital asset pricing, risk management and portfolio theory.

波动性是金融市场最为重要的特征之一,它是资本资产定价、风险管理和投资组合理论的核心变量。

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18、

Objective : To study a bivariate risk model with variable premium rate.

目的研究一类可变保费的双险种风险模型.

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19、

This can increase the risk of referring to an unintended version of a shadowed variable.

这可能会增加引用被隐藏变量的非预期版本的危险.

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20、

In this paper, the investor's risk preference is described as the investor's conversion profit what defined as fuzzy variable. Under voluntary conversion and forced conversion, the conversion conditions of convertible bonds are given based on the investor's preference.

本文利用投资者要求的转换收益的大小来描述其风险偏好,并将其定义为模糊变量,在自愿转换和强制转换两种情况下,对基于投资者风险偏好的可转换债券转换条件进行了判定。

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