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风险分散原则 meaning in English

risk diversification

Examples

  1. Secondly , this thesis evaluates some main theories and method about market risk measurement . such as mean - variance criterion of markowitz and risk decentralization principal , single - factor model , multifactor model , down - risk model , black - scholes model and var model based on the calculation of loss . it also discusses the suitable conditions and defects of every theory and method , and think that var is a more perfect method for risk measurement by comparison
    其次,评价了有关市场风险度量的一些主要理论和方法,如markowitz的均值?方差准则和风险分散原则、 capm模型和风险的市场因素模型、单因素模型、多因素模型、 downside - risk 、期权定价理论和现代基于损失计量风险的var等风险度量理论,并讨论了各种风险度量方法的具体适用条件及相应的缺陷。

Related Words

  1. 分散采样分析器
  2. 海上风险
  3. 质量风险
  4. 标准风险
  5. 开发风险
  6. 减轻风险
  7. 风险分布
  8. 风险汇聚
  9. 风险防范
  10. 风险经理
  11. 风险分散
  12. 风险分散化
  13. 风险分摊
  14. 风险分析
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