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1)  credit risk forecast
信用风险预测
2)  credit risk early-warning
信用风险预警
1.
Research of group credit risk early-warning model based on support vector machine;
基于支持向量机的集团信用风险预警研究
3)  credit risk measure
信用风险测定
4)  Risk forecast
风险预测
1.
By analysis of operating risk in management consultative and advisory company, a risk forecast index system is built up and the method for risk evaluation is provided.
在分析可能产生的风险基础上,建立风险预测指标体系,并给出风险评估的方法。
2.
Application of atmospheric environmental risk forecast in the emergency monitoring spots-setting of atmospheric environmental pollution accident was studied.
对大气环境风险预测在事故应急监测布点上的应用进行了探索性研究。
5)  risk prediction
风险预测
1.
Impaired Glucose Regulation and Risk Prediction of Diabets;
糖调节受损与糖尿病风险预测
2.
Application of BP model to landslide hazard risk prediction;
BP模型在区域滑坡灾害风险预测中的应用
3.
Application of COMGIS to risk prediction of earthquake hazard of engineering site;
COMGIS在工程场地地震灾害风险预测中的应用
6)  Risk forecasting
风险预测
1.
The risk forecasting and controlling in bidding;
投标工作中的风险预测与控制
2.
Study of population vulnerability and risk forecasting of population casualty during landslide hazards is important for regional landslides warning,which provides key operation for improving pertinence and validity of landslides warning.
区域滑坡灾害人口易损性及人口伤亡风险预测研究是区域滑坡灾害预警预报工作的一个重要环节,该研究对提高预警预报工作的针对性和有效性具有关键作用。
3.
After demonstrating the applicability of Markov chain to risk forecasting in entering a transnational project bid, the authors give a model of Markov chain and two methods of defining transition probability including expert s evaluation and determination by probability and statistics; and give analog operation on risk forecasting.
在论证马氏链(Markov)解决国际工程投标风险预测的适用性后,建立国际工程投标风险预测的马氏链模型。
补充资料:汇率风险预测


汇率风险预测


【汇率风险预侧】经济实体或个人对其在涉外经济活动中因外汇汇率变动而使其以外币计值的资产或负债价值涨跌所蒙受损失可能性的预测。预测方法可分为两大类:(l)基础因素分析法。突出分析影响汇率的各种因素,并依据各种因素发生作用的方向和强度估计汇率的走势。包括德尔菲专家咨询法和数理经济学方法。(2)非基础因素分析法。突出过去汇率的资料的作用,不靠任何其他信息,而只凭借汇率过去的变动趋势判断以后的走向。包括图表分析法和鲍克斯一詹金斯方法。基础因素分析法一般多用干预测半年至一年的汇率变动,是一种长期预测法。非基础因素分析法一般适用于一月或一月至半年的短期或中期汇率趋势预测。
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