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1)  Generalization risk model
广义风险模型
2)  double generalized Poisson risk model
双广义Poisson风险模型
1.
We have extended the double generalized Poisson risk model about interest rate and the disturbance factor to the two-dimensional renewal risk model,and studied the Lundberg inequality satisfied with the ruin probability.
将带利率和干扰因素的双广义Poisson风险模型推广到二维风险模型,研究了破产概率所满足的Lundberg不等式。
3)  compound binominal risk model
广义复合二项风险模型
1.
As far as the generalized compound binominal risk model is concerned,the ultimate ruin probability and Lundberg inequality were deduced by defining the adjustment coefficient and applying progressive mean rule and Chebychev inequality.
还对其作进一步推广,对引入利率的广义复合二项风险模型导出了该模型下的破产前一刻盈余与破产赤字的联合分布。
4)  Generalized relative risk model
广义相对危险度模型
5)  generalized model
广义模型
1.
The design and implementation of generalized model server;
广义模型服务器的设计与实现
2.
The method of generalized modeling in a large scale system was used for reference to construct a generalized model of SoftMan emotional control.
借鉴大系统控制论中广义模型化方法,建立了软件人情感控制的广义模型。
6)  risk model
风险模型
1.
Ruin probability in double Poisson risk model;
双Poisson风险模型的破产概率
2.
Study on the dividend payments for a risk model;
一类风险模型的红利问题研究
3.
The study of the discrete risk model with return on investments;
带投资收益的离散风险模型研究
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