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maximum risk pattern

基本解释极大风险模型

网络释义

1)maximum risk pattern,极大风险模型2)risk model,风险模型3)model risk,模型风险4)risk probability model,风险率模型5)Poisson risk model,Poisson风险模型6)Erlangian risk model,Erlang风险模型

用法和例句

Ruin probability in double Poisson risk model;

双Poisson风险模型的破产概率

Study on the dividend payments for a risk model;

一类风险模型的红利问题研究

The study of the discrete risk model with return on investments;

带投资收益的离散风险模型研究

As a result, however, model risks are also emerging.

自上个世纪70年代以来,风险管理模型为银行的风险量化管理提供了工具,但也同时引致了模型风险。

Besides, a comparison between parameter hedge and delta hedge containing their sensitivity to model risk is discussed.

首先,本文指出了以往对于模型不确定性与模型风险的研究框架的不足,在更加贴近市场操作的情况下研究模型风险给衍生品定价带来的影响。

This paper firstly introduces the rating process of structured products and rating methodologies of three dominant CRA(Moody\'s,S & P\'s and Fitch\'s),and then analyzes model risk,rating model arbitrage,inherent conflicts of interest and relative questions in rating approaches.

通过介绍CDO产品的评级过程和三大评级机构(穆迪、标准普尔和惠誉)的评级方法,分析评级中可能存在的模型风险、评级套利(rating model arb itrage,又称为rating shopp ing),以期相对我国对国际信用评级方法的借鉴和改进结构性产品信用评级质量的方向有所助益。

The risk index and risk probability model characteristic of high flow velocity and shallow depth of water in the river closure engineering are specifically put forward.

分析了立堵截流风险研究中所涉及的几个基本问题,并具体提出了截流工程中高流速、小水深这一类型的风险指标、风险率模型以及解决其计算关键问题的方法。

In risk theory in the present study, most of scholars focus exclusively on generalization to the following three risk models, such as: the compound binomial risk model, poisson risk model and renewal risk model.

在本文中,考虑的是Poisson风险模型的进一步推广,主要运用随机点过程理论及概率论的基础知识研究了随机收益率下四种Poisson风险模型的破产概率。

Erlangian risk model is widely used in queueing theory,control theory and finance risk models.

Erlang风险模型广泛应用于排队论、控制论以及金融风险过程。

Risk Theory for Some Risk Models and Related Problems;

几类风险模型的风险理论及相关问题

Calulation of Crdit Risk by Credit Risk+ Model

聚合风险模型下的质押贷款风险度量

THE POISSON-COMPOUND APPROXIMATION TO INDIVIDUAL RISK MODEL;

个体风险模型的Poisson复合模型近似

The Ruin Study of Risk Model with Random Income and Double-Type Insurance Risk Model;

保费随机的风险模型及双险种风险模型的破产问题研究

Ruin Probability for an Autoregressive Risk Model with Different Times of Insurance Business;

多险种自回归风险模型下的破产概率

The Ruin Probability of Multiple Line Risk Model Perturbed by Diffusion;

带干扰的多险种风险模型的破产概率

The Multiple Line Risk Whose Premium is a Stochastic Process;

具有随机保费收入的多险种风险模型

A Doubletype-insurance Risk Model with Thinning Process;

一类带有稀疏过程的双险种风险模型

A Compound Negative Binomial Risk Model of Double Line Perturbed by Diffusion;

带干扰的双险种复合负二项风险模型

The Risk Model for Double-Insurance with Batch Premiums;

一类保费批量到达的双险种风险模型

The Ruin Probability of a Discrete-time Risk Model with Two-type Claims;

一类离散双险种风险模型的破产概率

Poisson Risk Model for Two-Type-Risk Insurance and the Ruin Probability;

两险种Poisson风险模型和破产概率

Compond Poisson Risk Model for Multi-type-risk Insurance and the Ruin Probability

多险种复合Poisson风险模型和破产概率

Two-type Insurance Risk Model with the Occurrence of Claims Described by a Stochastic Process

一类索赔到达随机的双险种风险模型

A multi-type risk model with random premium income

一类保费随机收取的多险种风险模型

Research on the Application of VaR Model in the Risk Management of Financial Maprket;

Var风险模型在金融市场风险管理中的应用研究

The Study of Usage of Audit Risk Model According the Risks of Material Misstatement;

基于重大错报风险的审计风险模型应用研究

The Guarding Model of Moral Risk for Credit Risk Management;

贷款风险管理中道德风险的防范模型

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