| 1. | Study on the risk management model in a group company 集团公司战略风险管理模型探讨 |
| 2. | The consult study on integrated risk management model in canada government 加拿大政府集成风险管理模式及借鉴研究 |
| 3. | A brief study on the loan credit risk management model of chinese commercial banks 国内商业银行贷陕款信用风险管理模型建立初探 |
| 4. | Study on library information technology evaluation systems and project risk management models 图书馆信息技术评价系统及其计划风险管理模型研究 |
| 5. | The familiar security risk management models , risk assessment models and its assessment methods are studied and summarized 总结并研究了常见的安全风险管理模型和风险评估模型及其方法。 |
| 6. | Statistics constitutes an indispensable component of risk management since it provides the theoretical and practical underpinnings for risk management models 统计学为风险管理模型,提供了理论和应用的依据,因此成了风险管理科学必然的组成部分。 |
| 7. | But the new risk management model also faces some new problems and challenges , and has some weaknesses to be improved in term of structure , system and practice 但是,新型风险管理模式在运行的过程中也面临新的问题和挑战,在结构、体系和运作上仍然存在着很多有待改进的薄弱环节。 |
| 8. | In specific view of the government as both the administrator and formal owner of the governmental - aided engineering projects , this article comprehensively goes over the macro - management and micro - practice of the risk management model of the government - aided engineering projects and put forward some policy suggestions to further improve practice of the risk management model and introduce creative institutions 本文从政府作为援外工程的行政管理者和“代业主”的特殊视角,全面审视援外工程风险管理模式的宏观管理和微观运作,研究提出了进一步改进援外工程风险管理模式运作并引入制度创新的政策建议。 |
| 9. | Some stylized facts about these models will be provided . these models will be tested by using the financial data from some public company of our country . there are five chapters in this dissertation and the remainder of this paper is structured as follows : the first chapter begins with this paper ’ s research background , aim and innovation . in the second section the paper introduces the process of credit risk management models development . the evolvement of credit risk management and four widely used models i . e . kmv 、 creditmetricstm 、 creditrisk + 、 creditportfolio view will be introduced in the third section 本文对现今国际上比较著名的,在信用风险管理实践中应用最为广泛的kmv , grcditmetrics , creditrisk + , creditportfolioview四个模型进行了比较分析,从原理概念,模型建立的理论基础以及模型之间的相互关系,研究了各模型的特征,并运用国内公司的相关数据对kmv模型进行了实证分析,就我国当前信用发展状况下,各度量模型适应性进行了比较,以期为我国信用风险模型的构建提供借鉴与参考。 |