政策风险的英文
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"政策风险"怎么读用"政策风险"造句
英文翻译手机版
- policy risk
- "政策"英文翻译 policy
- "风险"英文翻译 risk; hazard; danger
- "决策风格" 英文翻译 : decision-making style
- "风险" 英文翻译 : risk; hazard; danger 风险很大 full of hazard; 冒风险 take risks; 不顾一切风险 at all hazards; 风险由货主负担 at owner's risk; 风险补偿收入 income to compensate for risk-taking
- "政策" 英文翻译 : policy 提高政策水平 enhance the understanding of policy; 执行政策 implement policy; 政策监督 policy surveillance; 政策教育 education in policy; 政策界线 demarcation line in policy; policy demarcation line; 政策连续性 continuity of the policies; 政策稳定性 policy stability; 政策主张 policy
- "纯风险" 英文翻译 : insurable risk; pure risk
- "担风险" 英文翻译 : take [run] risks; assume [face; undertake] the risk (of doing sth; of sth.)
- "低风险" 英文翻译 : low risk
- "风险本" 英文翻译 : risk capital
- "风险比" 英文翻译 : hazard ratio
- "风险大" 英文翻译 : bad risk
- "风险点" 英文翻译 : risk point
- "风险度" 英文翻译 : age; degree of risk; risk profile
- "风险额" 英文翻译 : amount at rish; amount at risk
- "风险费" 英文翻译 : risk premium
- "风险集" 英文翻译 : risk set
- "风险率" 英文翻译 : hazard rate; relative risk; risk ratio
- "风险论" 英文翻译 : risk theory; theory of risk; theoryofrisk
- "风险型" 英文翻译 : state of risk
- "风险性" 英文翻译 : risk
- "风险值" 英文翻译 : atrisk; risk value; value at risk(var); value-at-risk; var
- "高风险" 英文翻译 : high risk
- "缓解(风险)" 英文翻译 : mitigate
- "净风险" 英文翻译 : net risk
- "冒风险" 英文翻译 : run risks; on the line
例句与用法
- Cultivating government ' s competence in countermeasures against policy risks
论政府的政策风险防范能力建设 - Therefore investors bear not only the high market risk and operation risk but also the high policy risk and the violation risk of property rights
投资者在承担较高的市场风险与经营风险的同时,也承担了新兴市场中较多的政策风险与侵权风险。 - Here are the main risks endangering animal husbandry in hebei : natural risks , market risks , technological risks , credit risks and political risks
河北省畜牧业生产经营面对的风险主要有自然风险、市场风险、技术风险、信用风险和政策风险。 - In my view , however , these restrictions send a clear message to foreign investors ; they will have to take a lot of risks if they want to enter the chinese real estate market
但在我看来,这已经明确地告诉外国资金,外国投资者要进入中国炒作房地产一定会面对种种政策风险。 - In this paper , combining with the character of the public policy risks , and based on the risk and , we applied the cim model in the field of public policy decision , and discussed the application of risk management
摘要结合公共政策风险的特点,在风险识别和风险评估的基础上,将cim模型成功地引入到公共政策决策领域,初步探讨了风险管理在公共政策领域中的应用。 - Initial - issue underwriting risk includes policy risk , issuer risk , bought - deal risk . right - issue underwriting risk includes policy risk , bought - deal risk and market risk . the author measures the additional underwriting business risks with var model
证券公司的新股承销业务面对的风险主要有政策风险、发行人风险、包销风险和信用风险等;配股承销业务则主要有政策风险、包销风险和市场风险等。 - At first , this thesis analyzed some essential elements about the system of personal houe loan and make the compare to chinese and foreign system , and established the system of personal credit evaluate ; the second , the thesis discusses the investment technique and strategy of national debt in the provident fund , and established the model about how to invest the national debt ; the third , the thesis build the forecast model about fund collecting and drawing , and make use of the combination invest theories to build model of individual loan and national debt ; at last , the thesis analyses the risk ' s inside reason of house funds with the risk type , and to give out the related suggestion to funds risk . mechanism . the thesis research show me how to make use of that some models and methods in the process of haf management and make me deeply understand the house funds
本文首先分析了个人住房贷款制度基本要素,即贷款期限、贷款利率与抵押物价值的比例、政府在个人住房贷款市场中的作用、贷款违约情况下的处置措施、个人住房贷款的流动性问题,并对中外制度作了比较,建立了个人信用评分评级体系和信用评估模型,并以重庆市住房公积金为研究对象做出了住房资金个贷风险评估的实证研究;其次,分析了影响国债价格走势的因素,讨论了公积金国债的投资技巧和策略,并建立了基于理论的国债投资组合模型;接下来,根据资产负债管理理论中的资金总库法和资金分配法分析了公积金总体资金项目的来源和运用,并就此作了总量平衡模型,对住房公积金季度累计归集金额作了直线回归和季节趋势比率预测,运用投资组合理论建立了公积金个人贷款和国债投资组合的最优化模型;最后,探析了住房资金风险的内在原因和风险类型,从资金筹集风险、信贷回归风险、保险机制、法律风险和政策风险五个方面为住房资金风险防范机制建设提出了相关建议。 - On the basis of accurately mastering the essence of financial risk , the article begins with the determining mechanism of it ' s most important form ? inancial debt ratio and divides the financial risk into three parts according to their different effecting factors : risk of financial mechanism , risk of financial policy and external financial risk . connecting with the reality , the article analyses the three kinds of financial risk and puts forward the proposal to administer and reduce the financial risk
在准确把握财政风险涵义的基础上,本文从财政风险最重要的表现形式? ?财政债务负担率的决定机制入手,根据其各自不同的影响因素将财政风险划分为财政机制风险、财政政策风险和外生财政风险,并结合我国现状分别加以分析,据此对我国财政风险的管理、化解和防范从公共财政建设、财政政策建设和财政风险管理机制等多方面有针对性地提出应对之策。 - Chapter two briefly introduces the general situation in the development of the credit guarantee institutions in our country , analyses the origin of risks , mainly coming from political , legal , credit , management and " morality " risks . it also puts forward the necessity and the basic legal principles of risks control
第二章简要介绍了我国信用担保机构的发展概况,分析其风险来源,主要包括政策风险、法律风险、信用风险、经营风险和“道德风险” ,并就此提出风险控制的必要性和风险控制所应遵循的基本法律原则。
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