1) risk loss
风险损失
1.
A water transfer tunnel is used as an example to show how to calculate the risk loss caused by the structure fatigue.
在传统风险损失模型的基础上研究了由于损伤造成结构功能未充分发挥导致的风险损失,建立了包括损伤项在内的风险损失模型,是对传统风险损失模型的有益完善和补充。
2.
Start with risk probability and its correlation of construction contract, ABC classification is applied to determine risk grade and then the relevant risk countermeasures is worked out to reduce risk loss.
从工程承包的风险概率及相关性入手 ,运用 ABC分类法确定风险等级 ,设计了工程建设风险管理程序 ,进而制定相应的风险对策 ,以减少风险损失 。
2) risk rate
风险损失率
1.
Left Deviation for the Measure of Risk Rate under Fuzzy Expected Profit Rate;
模糊预期收益率下风险损失率的左偏差度量
2.
Taking the anticipated profit rate and risk rate of portfolio as the objective function,the fuzzy model of portfolio and optimization problem are studied.
以证券组合的期望收益率及风险损失率为目标函数,研究了在这两个目标下证券投资组合的模糊模型及其优化问题,并利用S型隶属函数将模型转化为普通线性规划模型进行求解,最后给出了一个具体的例子来阐述方法的有效性。
3) Risk of outage loss
停电损失风险
4) earthquake loss risk
地震损失风险
1.
Calculation methods for earthquake loss risk and insurance premium of buildings;
建筑物地震损失风险与保险费用的确定方法
5) Relative Risk Rate
相对风险损失率
6) credit losses
信用风险损失
1.
In this paper,the impacts of heterogeneity of credit portfolio on credit losses are analyzed for the Vasicek model,also comparisons of impacts of different parameters are made.
本文结合Vasicek模型分析了信贷资产组合的异质性对信用风险损失的影响,并比较了模型中不同参数的异质性对损失的影响效果。
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。
参考词条