1) The New Theory of Civil Risk-bearing
民事风险承担新探
2) Risk Sharing
风险承担
1.
The principle of the corporate governance is that risk sharing should be conformable to the residue control rights.
公司治理的原则应该是风险承担和剩余控制权相对应 ,即企业中各利益相关者应该获得与他们承担的剩余风险相对应的剩余控制权 ,这样才能在企业中形成相互制约的机制 ,从而使企业总的效率最大化。
3) Risk bearing
风险承担
1.
Because of different politics, economy and culture, different countries have different laws about risk bearing,.
但是,由于政治、经济、文化等方面的诸多差异,各国关于货物贸易方面的法律亦存在重大差别,尤其是在关于货物风险承担的问题上存在不同的立法体例,这就不可避免地在实践中产生冲突和矛盾。
4) risk taking
风险承担
1.
The Empirical Research of Risk Taking in Banking;
商业银行风险承担影响因素的实证分析
2.
This paper studies the incentive role of Performance-Based Fees under some conditions, and studies the effect of PBF on the risk taking behavior of the mutual fund and the asset pricing based on PBF with the game theory, principal-agent theor.
本文是现有委托资产组合管理理论研究的延伸和拓展,应用博弈论、委托代理理论和现代金融理论重点研究了一定条件下PBF合同的激励作用和PBF合同对基金风险承担行为的影响及基于PBF合同的资产定价等问题。
3.
The paper studies the influence of symmetrical and incentive fee structure on the risk taking of manager.
最后,对两种费用结构下经理人的风险承担水平进行了比较分析,结果表明,在激励费用结构安排下,即使考虑经理人的风险规避度,经理人所选择的最优风险水平也一定会高于对称费用下经理人所选择的最优风险水平。
5) risk assumption
风险承担
1.
However, during the period of after the establishment and prior to the effective-ness of contract, the relationship between the parties to the contract is still uncertain, let alone the matter ofrisk assumption.
传统民法将买卖合同风险承担的前提归结为合同的成立。
2.
The Two Law Systems of Negotiable Instruments have different regulations on legal validity and risk assumption of bill-forgery, which actually emphasizes differently on bill’s“Static Secu.
因此,在明确票据伪造对当事人法律效力的基础上,如何确定票据伪造风险承担规则至关重要。
6) Risk-taking
风险承担
1.
This paper empirically analyzes how the corporate governance mechanism can affect the risk-taking in listed banks with data of 14 listed banks\' annual reports from 2000 to 2007.
本文以我国14家上市银行2000~2007年的年报为数据来源,对上市银行治理机制对风险承担的影响进行了实证分析。
补充资料:民事
1.犹国政。 2.泛指民间诸事;民政事务。 3.指力役之事。 4.指农事。 5.泛指民间生活情事。 6.有关民法的。
说明:补充资料仅用于学习参考,请勿用于其它任何用途。
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