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1.
Analysis of multi-resource leveling problem with activity break and risk float time
风险时差的工序可间断多资源均衡分析
2.
Role Gap and Assessment Risk when Employees Assessing Information Quality;
内部人员评价信息质量时角色差异与评价风险
3.
The Causes and Countermeasures of Interest Rate Spread Risk for the State-owed Life Insurance Company;
国有寿险公司利差风险的成因及对策
4.
Optimal Reinsurance under Standard Deviation Calculation Principle and Mean Square Error Risk Measure
标准差保费原理均方误差风险下的最优再保险
5.
interest rate risk: Risk due to difference in interest rates.
利率风险: 由于利率的差别而产生的风险。
6.
The Study on the Choice of the Right Moment to Withdraw Venture Capital after the IPO of the Venture;
风险企业IPO后风险资本退出时机研究
7.
As a measure of risk, mean absolute deviation is better than variance in a sense.
作为度量风险的标准 ,绝对离差比方差更为合适 .
8.
The Distinctions between Measuring the Business Risk by Leverage, Standard Deviation and Coefficient of Standard Deviation;
杠杆系数、标准差和标准差系数衡量风险的辨析
9.
The Comparison of the Risk Measuring Methods Based on the Semi-Variance and Variance
基于方差与半方差的风险刻画方法比较
10.
Cross-country Differences and Theory Explanations of the Development of Venture Capital;
风险投资发展的跨国差异与理论解释
11.
Study on the Status,Venture and Measure of the Gap between the Urban and the Rural in China;
中国城乡差距现状、风险和对策研究
12.
Countries Characteristics and Risks of Foreign Bank Entry;
国别差异与银行业对外开放风险评判
13.
Relation between Cognition Difference on Risk and Degree of Credit Rationing;
风险认知差异与信贷配给程度的关系
14.
The Ratio of Coefficient of Variation--A New Index for Measuring Financial Risk;
离差比系数——计量财务风险的新指标
15.
RISK SHARING UNDER THE MEAN-VARIANCE EXPECTED UTILITY
均值-方差期望效用函数下的风险共担
16.
Application of Non-life Insurance Actuarial Theory in the Management of Price Difference Risk Between the Retail and Wholesale Prices
非寿险精算在零售价差风险管理中的运用
17.
Large Deviations, Risk Theory and Their Applications in Finance and Insurance;
大偏差、风险理论及其在金融保险中的应用研究
18.
Large Deviation for a Double Type-insurance Risk Model with Heavy Tails;
重尾分布下一类双险种风险模型的大偏差