读知识>英语词典>marginal risk翻译和用法

marginal risk

英 [ˈmɑːdʒɪnl rɪsk]

美 [ˈmɑːrdʒɪnl rɪsk]

边际风险,差价风险

经济

双语例句

  • ABS can make traditional of financial property have the certain liquidity, resolved the bank or other financing institutions of the marginal financing problem, can scatter management risk etc.
    其中的信贷资产证券化对银行来说可以使传统的金融资产具备一定的流动性,解决了银行或其他金融机构的再融资问题,可以分散金融机构的经营风险等。
  • "Rainfed agriculture in marginal areas in semi-arid and sub-humid regions is mostly at risk," he explained.
    “在半干旱和半湿润区域,边际地区的旱作农业受威胁最大,”他解释道。
  • The concept of marginal risk is introduced in this paper according to the base marginal theory.
    同时本文根据边际的基本理论,提出了边际风险的概念。
  • After the 140 million investments in fixed assets, marginal security of operation lowers greatly while the ratio of liability to assets increases enormously, so the financial risk aggravates.
    投资固定资产1.4亿后,公司经营安全边际直线下降,资产负债率大幅上升,财务风险随之加剧。
  • The results of the study indicated that cognitive style has the marginal significant effect on the risk preference in investment decision-making and subjects with different cognitive styles have different MLA performance. Basically, the experiments results correspond with previous Myopic Loss Aversion Theories.
    结果表明,认知风格对于投资决策的结果的主效应达到了边缘显著。认知风格不同的被试的短视损失厌恶的表现存在一定的差异。实验结果基本上支持了以往有关短视损失厌恶的理论。
  • In its broad sense, risk budgeting refers to a method in which the asset allocation is performed under the conditions of risk constraint to maximize the marginal return of the risk.
    广义的风险预算是指在风险约束条件下进行资产配置,使得风险的边际收益最大化的一种方法。
  • In order to strengthen the feasibility of financial risk analysis, I analyze the degree met with finance fund replacing the marginal utility, then deeply analyze the current situation of the financial risk of our country and origin cause of formation;
    为了增强对财政风险分析的可行性,笔者用资金满足程度的分析代替财政性资金的边际效用分析,深刻剖析我国财政风险的现状及成因;
  • Secondly, different marginal models, such as GARCH and Realized Volatility models, have significant effect on the portfolio Value at Risk.
    其次,不同的边际分布模型对投资组合的风险价值(ValueAtRisk)有显著的影响,如本文使用的GARCH模型和已实现波动模型。
  • And then no this basis farther analyses the reason of choose of contract from different perspectives of marginal proceeds, information transmission, diversity of risk attitude and play chess.
    进而在此基础上,从人力资本的边际收益,信息传递、风险差异、博弈选择等多个角度对企业人力资本剩余分享契约的选择进行了多维度的分析研究。
  • Based on the empirical result, this paper makes analysis on the marginal impact of the risk factors on banks 'profit efficiency, and compared the efficiency of state-owned commercial banks and the joint-equity commercial banks.
    在实证结果的基础上,分析风险因素对银行利润效率边际影响以及利润效率的变化趋势,并对国有商业银行和股份制商业银行的情况进行对比。