Risk Management Model的意思|示意
风险管理模型
Risk Management Model的网络常见释义
风险管理模型 风险管理模型 ( Risk Management Model ): 关注项目中的关键因素 在关注的时间作出正确的决定 为将来可能发生的未知事件做好准备
Risk Management Model相关短语
1、 Project integrated risk management model 项目综合风险管理模型
2、 acquisition integrated risk management model 采办综合风险管理模型
3、 credit risk management model 信用风险管理模型
Risk Management Model相关例句
Along this master line and combining the domestic and foreign research results, the author has constructed the credit industry portfolio model, and proposed the measures of industry risk management.
作者就是沿着这条主线出发,结合国内外的研究成果,构建了信贷行业组合管理的模型,运用模型的结论提出了行业风险管理的若干措施。
Therefore it is of very important significance on theory and reality to bring quantitative analysis into the financial crisis forewarning model for credit risk management of commercial bank.
因此对商业银行信贷风险管理引入财务危机预警模型进行定量分析具有十分重要的理论和现实意义。
The results show the method of calculation VaR of GARCH model is effective in risk management of China's stock market.
实证研究表明,GARCH模型的V aR计算方法对我国股市风险的管理有较好的效果。
A software project risk management model based on Bayesian networks is presented.
提出了一种基于贝叶斯网络的软件项目风险管理模型。
However, they'd be wise to prepare for using a more sophisticated risk management model in the future, when it may be mandatory.
尽管如此,如果他们比较明智的话,他们应该准备在未来使用更为复杂的风险管理模型,那时这将可能是强制性的。
For a bank that widely USES various kinds of risk measurement models in its daily management, the stress testing shall become an important supplement to the model method.
对于日常管理中广泛应用各类风险计量模型的银行,压力测试应成为模型方法的重要补充。