1) risk diversification
风险分散
1.
Real estate investment portfolio risk diversification strategies;
房地产投资组合风险分散策略
2.
Research on realizable mechanism of marine fishery risk diversification in China
中国海洋渔业可实现风险分散方式探究
2) Risk dispersion
风险分散
1.
A scientific approach must be adopted with regard to this issue, striking a balance between cost and profit of the system change and balance of risk dispersiona ndm arketl iquidity.
我国商品期货交易所应当在综合评价制度变更成本与收益的均衡、风险分散与市场活跃的均衡的基础上进行科学决策,并全面分析引入特殊结算会员的可行性。
2.
As a result,the mechnism of agricultural risk dispersion is rather fragile.
农业保险发展缓慢、规模狭小、范围过窄,很难满足保险经营所依赖的大数法则的要求,农业风险分散机制极其脆弱。
3) scattering risk
风险分散
1.
Then, through building the model of the scatteration of the gathered underwrite risk and portfolio risk, the function of scattering risk of going on the market is further expoun.
本文围绕着这两大风险从我国保险公司的现状和承保风险集聚的理论方面分析保险公司上市的必要性和可能性,然后,通过建立承保集聚风险分散和组合投资风险分散的模型,进一步从理论上阐明上市分散风险的功能,最终得出上市是发展我国保险事业的有效途径的结论。
4) risk diversification
风险分散化
1.
We state Markowitz s risk diversification and it s significance.
首先论述了马科维茨的风险分散化理论及其方法论意义,接着说明了马科维茨运用风险分散化思 想而提出的资产组合选择理论及其启示。
2.
The paper investigates the ownership structure s systematical effect on capital structure from the perspective of risk diversification.
本文调查了上海证券交易所A股非金融业上市公司(2003-2005数据),从风险分散化的角度考察了股权结构(第一大股东持股)对资本结构(公司负债)的制度影响。
5) diversificable risk
可分散风险
6) Spread risk analysis
扩散风险分析
补充资料:可分散风险
说明:补充资料仅用于学习参考,请勿用于其它任何用途。
参考词条