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1)  integrated risk
综合风险
1.
A suggestion on construction of integrated risk management system in China;
对中国综合风险管理机构体系建设的建议
2.
Design of integrated risk distribution mechanism of construction diversion system;
施工导流系统综合风险分配机制的设计研究
3.
Structure and evaluation of integrated risk for flood disaster(Ⅱ)——microstructure;
洪灾综合风险结构与综合评价方法(Ⅱ)——微观结构
2)  comprehensive risk
综合风险
1.
Variable fuzzy sets and their application to comprehensive risk evaluation for flood-control engineering system;
模糊可变集合及其在防洪工程体系综合风险评价中的应用
2.
"Risk Government" originates from the international background of risk society and our country s condition that comprehensive risks become more and more.
"风险政务"的提出源自于风险社会的国际背景和我国转型期综合风险膨胀的国情。
3.
Considering the problems of slow convergence speed and local minimum existing in the BP algorithm, chaos theory in combining with artificial neural network is used to structure chaos learning algorithm and to establish a new comprehensive risk evaluation model based on Chaos Neural Network.
针对神经网络在搜索寻优过程中存在的收敛速度慢、易陷入局部极小值这一问题,将混沌理论和神经网络有机结合,构造混沌学习算法,建立了基于混沌神经网络的综合风险评价模型,该模型充分利用混沌运动的遍历特性,加快了训练速度,使其收敛于全局最优解。
3)  comprehensive risk ratio
综合风险比
4)  synthetic risk rate
综合风险率
1.
And based on the theory of Poisson point process, a calculation model of synthetic risk rate is given.
提出了防洪风险分析中一个Poisson标值点过程模型 ,并运用Poisson点过程理论 ,给出了综合风险率的计算模型 。
5)  integrated risk value
综合风险值
6)  integrated risk weight
综合风险度
1.
According to the risk monitor convention of the banking, this paper measures the loan risk with the integrated risk weight and establishes the functional relationship between the integrated risk weight of the incremental loan portfolio and that of the total loan portfolio.
根据银行业风险监测惯例用综合风险度来量化贷款风险,建立了新增贷款组合的综合风险度与全部贷款组合的综合风险度之间的函数关系,以银行总资产收益最大为目标,以全部贷款综合风险度的控制为条件,建立了基于全部贷款组合风险度控制的新增资产组合优化模型。
补充资料:风险投资的风险

风险投资的风险是指投资活动中人们不希望的后果出现的潜在可能性。

说明:补充资料仅用于学习参考,请勿用于其它任何用途。
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