| 1. | Chapter two of this article briefly summarizes the risk theory and currency risk 在第二章主要讨论风险理论和外汇风险。 |
| 2. | Collective risk theory 集体风险论 |
| 3. | Classical risk theory 经典风险论 |
| 4. | Risk theory for the model with variable premium rate and disturbed by diffusion in a markovian environment 马氏环境下带扰动的变利率模型的风险理论 |
| 5. | Value measurement of human resources revisited - an integrated analysis of risk theory and full value measurement 风险理论与完全价值计量法的耦合分析 |
| 6. | The application of liquidity risk theory to the study of the transitional trading market for state - owned shares 流动性风险理论对国有股过渡流通市场的研究 |
| 7. | The main schools are : finance risk theory , public benefits theory , and regulation invalidation theory and so on 主要的金融监管理论包括:金融风险论、公共利益论、管制失灵论。 |
| 8. | Research and teaching : stochastic process , stochastic analysis , risk theory , financial economics and mathematical finance 主要研究和教学领域:随机过程,随机分析,风险理论,金融经济学,金融数学。 |
| 9. | Risk management is utilized thronghout all the process of insurance . risk theory is one of the most important part of the actuarial theory 风险管理贯穿于整个保险(广义)活动之中,因而风险理论是精算科学的核心之一。 |
| 10. | On the basis of fuzzy set theory and probability , the fuzzy risk theory model measuring the risk is established in risk analysis 在风险分析中,以模糊集理论为计算工具,借用概率统计思想,建立度量风险大小的模糊风险理论模型。 |