1) risk statute

风险规约
2) avoidance of default risk

违约风险规避
1.
Due to the absence of means for avoidance of default risk, the joint default guarantee provided by a state-owned enterprise with the commercial insurance companies is suggested.
基于对我国住房抵押贷款市场中缺乏违约风险规避机制的分析,作者提出了建立我国由政府性质的担保机构和商业保险公司共同提供保险的综合违约风险规避机制的设想。
3) contract risk

合约风险
1.
Application of combination weighting method in contract risk s evaluation of third party logistics;
组合赋权法在第三方物流合约风险评价中的应用(英文)
4) risk constraint

风险约束
1.
Then,we add the risk constraint to maximize the benefit and minimize the risk.

针对市场环境下水电站如何综合考虑电价和来水等不确定性因素下的优化调度是当前研究的热点和难点,建立了考虑电价和来水等不确定性因素的风险约束水电站长期优化调度模型。
5) default risk

违约风险
1.
Application research on corporate default risk assessment based on cross-entropy algorithm;
交叉熵算法在企业违约风险评估中的应用研究
2.
Analysis of the supply chain s default risk based on the satisfaction model;

基于满意度模型的供应链违约风险分析
3.
Credit decision model including default risk parameter;

含违约风险参量的信贷决策模型
6) credit risk

违约风险
1.
Actuarial Measurement Methods of Bank s Credit Risks;

银行违约风险的精算计量方法
2.
The Studying and Managing about Credit Risk of Mortgage-Backed Securitization in China;

中国住房抵押贷款证券化违约风险及其防范
3.
Using option pricing method,this article obtained a new pricing model of convertible bond with credit risk.
利用期权定价方法对可转换债券进行定价,并得到了一个考虑违约风险的可转换债券定价新模型。
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。
参考词条