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1)  Risk-Adjustment Behavior
风险调整行为
1.
Based on the previous related literature, the current paper provides empirical insights into the risk-adjustment behaviors of mutual funds in China using daily return of 314 open-end equity funds data during 2005-2008.
竞赛假说最早由Brown,Harlow及Starks在1996年提突出,该假说将证券投资基金市场比喻为一项持续、激烈的年度竞赛,在这场年度竞赛中,定期绩效评估系统会影响基金经理人所持投资组合的风险调整,导致其自利性风险调整行为
2)  egoist risk-adjustment behavior
自利性风险调整行为
1.
Applying the idea of option incentives, this paper derives three different performance-based incentive contract designs that prove effective in constraining the egoist risk-adjustment behavior.
通过应用选择权的观念推导三种不同的绩效诱因契约设计,对于抑制经理人自利性风险调整行为倾向有较好的效果。
3)  behaviour risk
行为风险
1.
When decisioner makes a decision rationally and legally,the other of the game will face behaviour risk.
如果经济活动的一方利用合理合法的规则进行决策时,同样可能给对方带来损失,这种可能的损失表现的风险,笔者将其定义为行为风险。
4)  risk-taking behavior
风险行为
1.
Impacts of capital adequacy regulation on risk-taking behaviors of banking;
资本充足率监管对银行风险行为的影响
2.
On Risk-taking Behavior of Entrepreneur;
创业者创业决策的风险行为研究
3.
According to a panel data of 14 representative commercial banks in 1994~2004,this paper empirically investigates the impact of different banking ownership on their risk-taking behaviors when granting loans.
基于我国14家代表性商业银行1994~2004年的面板数据,本文实证检验了产权结构差异对银行贷款中风险行为的影响。
5)  risk behavior
风险行为
1.
According to the theory of statistical construction of behavior, which is put forward by the author, this article believes that the risk behavior, including the risk investment behavior, follow three laws: the law of expectant leading benefit for risk behavior, the law of restriction for responsibility of risk behavior and the utility law of risk.
文章从作者提出的行为统计结构理论出发,认为包括风险投资行为在内的风险行为都遵循三条规律,即风险行为的预期效益引导规律,风险责任承担的制约规律,风险效用规律。
2.
History of the development of the banking is full of crisis and its closely related high-risk behaviors.
银行的发展史就是一部危机史,而银行危机与其从事高风险行为密切有关。
6)  risk adjustment
风险调整
1.
this paper analyzes the defaults existed in safe interest rate plus risk adjustment approach when utilizing the income approach to evaluate the real estates.
分析了运用收益还原法评估房地产中,安全利率加风险调整值法计算还原利率的公式所存在的缺陷,并根据房地产投资与股票投资的共同性,用沪、深股市地产指数及房地产景气指数对该公式的调整值进行了改进并用AHP法简单探讨了对不同调整系数的权数的确定。
2.
Although researchers in China have some general awareness of risk adjustment and predictive modeling,there has not been a systematic and comprehensive introduction.
风险调整和预测模型在美、德等国的医疗管理和支付系统改革中被广泛在用。
补充资料:经过风险调整后的贴现率
经过风险调整后的贴现率:是在计算方案的净现金效益的现值时,对有风险的方案根据其风险的大小提高其贴现率,经过风险调整后的贴现率是无风险的贴现率与风险补偿率之和。

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