"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。
Meanwhile, the paper introduces the conception of marginal risk and combines marginal risk contribution with credit portfolio risk management. 同时引进边际风险的概念,将边际风险贡献与信用组合风险管理进行了有机的结合。
In the upcoming electricity market environment, marginal cost of power generation will play an important role in power pool's purchase pricing and risk analysis of farward contract pricing. 电力市场中发电边际成本经常用于发电上网定价和电力交易合同定价的风险决策。
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。
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。
Increasing the complexity of knowledge work may have either positive or negative influences on the incentive mechanism of payment, it lies on the function between marginal risk and marginal effect on output induced by complexity. 增加知识工作的复杂性对薪酬激励机制具有或正或负的影响,这取决于复杂性导致的边际风险与边际产出之间的相互作用;
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;
On the basis of determination of marginal profit rate in rational application of fertilizer, a mathematical model of determing threshold k, of investment risk is established. 在合理施肥确定边际利润率值〔1〕的基础上,应用数学方法给出一种确定投资风险预测阈值K的方法。
The ability of the marginal manager offering a load fund is decreasing in the number of type low investors and in the relative volatility ( risk) of the liquidity needs of type high investors; 负担基金管理者的边际能力相对于低流动性需求投资者的数量和高流动性需求投资者的风险而言是递减的;
Probabilities of the healthy, marginal and at risk states of a system are collectively known as well-being indices, which contain more deterministic information than conventional loss of load probability and are more useful for system operation. 系统处于健康、亚健康、风险状态的概率统称为健康性指标,健康性指标比传统的失负荷概率指标包含更多的确定性信息,因此它能更好地指导系统运行。
The theory of CreditMetrics has its advance that it forecasts credit risk according to a debtor'credit ranks and provides us a concept of Marginal Risk. “信用矩阵”理论的先进性在于,它根据借款者的信用等级量化预测信用风险并提出了“边际风险”的概念。
The marginal income of the agent's effort should be equal to its marginal cost in the design of incentive scheme under symmetric information, while under a symmetric information, Pareto optimization can be reached only if the agent is risk neutral. 在对称信息条件下,激励机制的设计必须满足:代理人努力的边际收益等于其边际成本。在非对称信息条件下,如代理人是风险中性的,则可以实现帕累托最优;
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。
Specially, the new mechanism would compensate the marginal units more for capacity cost than other units, thus it would conduce to entities of these peak unit investor with risk disgust. 特别是该机制给予边际机组相对较多的容量成本补偿,有助于风险回避的峰机组投资商的进入。
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。
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。
At last, it analyzes the result of micro-credit risk and return equilibrium. Banks determine loan interest rate and the size of loan when the marginal risk is equal to income marginal risk cost. 本章最后对小额信贷风险与收益均衡的运行机制进行了分析,认为银行将会在边际风险收益等于边际风险成本处确定贷款利率和贷款数量。
However, because of external and internal factors, some young people have moved away from the track in which they should be, wandering between the schools and society, became the "marginal people", namely, the rural" youth at risk ". 但是,由于外界因素和内在因素的共同相互作用,一部分青少年逐渐脱离了他们现在所处的年龄阶段应在的轨道上,游荡在学校、社会之间,成了边缘人,即农村边缘少年。
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。
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。
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。
Through analyzing the limitation of portfolio risk policy making mechanism of restricting personal loan quota in theory and actual operation it advances analyzing marginal risk of newly increased loan combining the former research conclusion. 分析了我国通过限制单个借款人最大借款限额来进行组合风险决策在理论和实际操作上的缺陷,结合我国前人研究成果提出建立分析新增贷款的边际风险来进行中小企业贷款组合风险决策。
The technology alternative theory basis that Chinese high quality vegetable produces is the balance of the marginal cost and marginal revenue. At the same time, it goes hand in hand with themselves 'risk attitude and the objective information asymmetry. 优质蔬菜生产者技术选择的理论基础是边际成本与边际收益两者之间的权衡,同时又与他们自身的风险态度与客观存在的信息不对称密切相关。