风险定量 meaning in Chinese
quantifying risk
Examples
- Research on quantitative assessment to the credit risk of commercial bank
商业银行信贷风险定量评估研究 - First of all , we shall make reorganization and analysis subject to these project risks , and then measure the risks to control the risk
首先对项目的风险进行识别分析,然后将这些风险定量化,对风险进行控制。 - The paper studies and identifies the quantitative evaluation methods of technical risk of aids to navigation intently . based on the related conclusions both in and outside china and experts consultation , the paper expounds the conception of risk and technical risk and the corresponding evaluation index system . furthermore , by using separately the grey incidence analysis method , fuzzy neural network method and fuzzy synthesis evaluation , the paper establishes explicitly the weight of each risk control option in the technical risk evaluation index system of aids to navigation and sort them
为了对航标技术风险定量评估方法能有一个比较深入的研究,作者根据国内外的有关研究结果、统计数据及实验数据,通过专家咨询确定了航标技术风险指标体系;随后对交通、金融等领域常用的灰色关联分析、模糊神经网络、模糊综合评判等三种定量分析方法进行了借鉴和研究,并结合航标技术投入实例,分别得到了航标技术风险的指标体系中各风险指标对航标技术风险影响程度的排序。 - By discriminating the respective characteristic of the three methods , the paper considers the grey incidence analysis method as the chief . the paper also provide a scientific theory basis and a research method for technical risk evaluation of aids to navigation , it will instruct the technique rebuilding for aids to navigation in future
本文从定量分析的角度将灰色关联分析、模糊神经网络、模糊综合评判三种方法应用于航标技术风险评估,为航标技术风险定量评估提供了理论依据和研究方法。本文所研究的理论和方法对航标建设和技术改造具有一定的指导意义。 - In thes paper , we set up a risk quantiative appraisal system for the scientific risk management of the real estate invesbent whih is based on the probability theory , mathematial statistics and fmancial anaiysis theorythis system developes the application of the probability theory and mathematical statishcs to the risk appraisal on the base of current risk appraisal methods . what ' s more , in orde to filfulthe need of prachcal application , we create a set of risk - fmance index models in whih we analyze five kinds of twortant risk in the real estate investinen from their orighs , such as the general price fluctuation risk , the markt risk , the interest rate risk , the operation risk and the decision risk . ih the system , standard deviation of the npv ( net present value ) is uesed as the quantitative index of the singe risks and the whole risk . in addition , we connect the system with risk avoiding tactics in the risk managemen of a proect . all these provide a decision basis for risk management
本文应用概率论、数理统计、财务分析等理论为房地产投资风险的科学管理建立了一套风险定量评价系统。该系统是在现有的风险评价方法的基础上,将概率论和数理统计的理论在风险评价中的应用进一步深化。并结合房地产投资的实际,从风险形成的原因出发,针对其中影响较大的几类风险像利率风险、物价风险、行业风险、经营风险、决策风险,建立了一套风险- - -财务指标评价模型,运用净现值的标准差这一指标将房地产投资所面临的个体风险和整体风险定量化,同时与项目风险管理中的风险规避策略有机地结合在一起,为房地产投资的风险管理提供了决策的依据。