risk manager

英 [rɪsk ˈmænɪdʒə(r)] 美 [rɪsk ˈmænɪdʒər]

网络  风险管理者; 风险管理经理; 风险经理; 如何管理风险的人; 风险管理

经济



双语例句

  1. Antoncic was for a spell the chief risk manager at Lehman, reporting to the peerless perfect-storm skipper Dick Fuld.
    安东西奇一度曾担任雷曼兄弟首席风险官,直接对身处完美风暴中船长、举世无双的雷曼兄弟董事长迪克•富尔德负责。
  2. Any risk manager will tell you to get to know the market into which you are about to plunge.
    任何风险管理人都会告诉你,在决定进入一个市场前,必须要先行了解。
  3. You need to be aware of affinities during normal operations and even more so during migration, when the risk of extended queue manager downtime is increased.
    当队列管理器发生长时间宕机的风险增加时,不仅需要在常规操作中注意应用程序亲和性问题,在迁移过程中更要注意这个问题。
  4. Chuck Feldman, the top trader there, retired after my third year and handed the leadership baton to a younger, more quantitative risk manager.
    首席交易员查克•费尔德曼(ChuckFeldman)在我来公司三年后退休,把权杖交给了一位更加年轻、更侧重定量分析的风险管理经理。
  5. The Bush administration does not seem to understand its role as risk manager.
    布什政府似乎并不懂得它作为风险管理者应发挥的作用。
  6. Any risk manager in a bank who has not considered far more extreme developments than those in the stress tests should be fired.
    银行中任何一位风险管理人士,如果没有考虑到远比压力测试中更为极端的情形,都应该遭到解雇。
  7. In 1983, he joined the bank where his skills as an expert trader and prudent risk manager propelled him to the top of its investment banking division.
    1983年,他加入了这家银行,高超的交易技能和谨慎的风险管理技能,帮助他获得了投行部门的最高职位。
  8. Also, the chief of the anesthesia department, the hospital's risk manager, and the patient's family should be notified.
    此外,应通知麻醉科,医院的风险经理,和病人家属的行政。
  9. Eric Ben-Artzi, a former risk manager, was fired three days after submitting a complaint to the sec.
    曾担任德银风险经理的埃里克本-阿兹(ericben-artzi)向sec投诉三天后被解雇。
  10. Expenses and toxic assets had to be reduced and he set about the job with the zeal of a proven risk manager.
    开支和有毒资产必须降低,他就以久经考验的风险管理者的热情推进这项工作。
  11. The purpose of a risk manager is to utilize the resources available in such a manner as to mitigate the damages.
    风险管理人的目的是利用现有所有资源,以便减轻灾害。
  12. Clearly, if a risk assessment does not provide the information needed by a risk manager, it is largely a wasted effort.
    很明显,假如风险评价不能提供风险管理者需要的信息,则基本等于做无用功。
  13. I expect everyone at the firm to be a risk manager, Mr Fuld declared.
    我希望公司的每个人都成为风险管理者,他宣称。
  14. Now I help people by being a risk manager thus minimising the probability that my bank might go belly-up due to risky trading behaviour.
    现在我的职位是风险管理经理,帮助银行规避高风险的交易行为。
  15. So the risk manager whose job is in jeopardy today is not the one who fails to insist on more pessimistic assessments than the stress tests: it is the one who does.
    因此眼下位置岌岌可危的,并不是那些没有坚持比压力测试更悲观估计的风险管理人士,反而是那些坚持了更悲观估计的人。
  16. Risk Precaution of manager control From the Perspective of Game Theory
    国企内博弈格局变迁与经营者控制风险防范
  17. The third part sets up the VaR model system of inventory risk measure. The system sufficient considered risk preference of inventory manager.
    第三部分建立了企业存货风险衡量的VaR模型体系,该体系充分考虑了决策者的风险偏好。
  18. Secondly, having the idea of overall risk management, it considers the aspects of inventory quality, risk preference of manager, demand risk and so on.
    二是本文以全面风险管理为理念,综合考虑了存货管理过程中可能出现的管理者的风险偏好、需求风险等。
  19. On the Setting Up of Risk Manager ( Division) and the Function of Risk Management
    论企业中风险管理者(机构)的设立及其职能
  20. The results show that the correlation structures between different stock markets can be depicted by Copula technology and the calculation of tail dependence is easier with Copula. The analysis method of tail risk is presented from the view of correlation for risk manager.
    实例分析表明,Copula方法可以较好地描述国内外股票市场之间的相关性结构,便于计算尾部相关性参数,为风险量化管理提供了一种新途径。
  21. The VaR Risk Management Model can provide the timely and comprehensive risk information for the top risk manager, so it is very helpful to the improvement of total risk management efficiency.
    VaR风险管理模型能够满足更高层次风险管理者对风险信息的需求,有助于整体风险管理效率的提高;
  22. Research on the Engagement and Motivation Mechanism of the Risk Investment Project Manager
    风险投资项目经理选聘与激励机制研究
  23. Chapter III, on the basis of studies in the reference, job analysis of Risk Manager and interviews, we collect elements of Competency Model about commercial banks risk Manager, and design the questionnaires, carry on investigation and collect the data.
    第三章在文献研究,风险经理的工作分析及访谈的基础之上提炼风险经理胜任力要素,设计问卷,实施调研得出数据。
  24. Risk is a shrewd manager of each should be concerned about.
    风险是每一个精明的管理者都应该关心的问题。
  25. Under the case of symmetrical fee structure, the risk taking of manager is restricted by the preference of manager and investor and market condition.
    在对称费用结构下,经理人投资组合风险的选择,受到自身的偏好、投资者的偏好以及市场状况的约束。
  26. Soft budget constraint brings many problems in economy, such as the moral risk of firm manager and bad debt in bank. If we want to eliminate the problem, we must know what soft budget constraint cause is.
    而软预算约束对企业的通常会带来经济中的许多问题,比如企业经理的道德风险、银行的呆坏帐等,而要消除软预算约束,明白成因是最起码的要求。
  27. The influence of incentive fee structure on the risk taking of manager is analyzed dynamically and the conclusion indicates that it induces the excessive risk choice by manager by all means.
    首先动态分析了激励费用结构对经理人风险选择的影响,分析结果表明激励费用必然会导致经理人过度的风险投资行为。
  28. On the one hand, internal risks contain investment decision-making risk and investment manager risk. On the other hand, external risks consist with market risk, law risk, credit risk and liquidity risk.
    其中内部风险包括投资决策风险和投资管理人风险,外部风险包括市场风险、法律风险、信用风险和流动性风险。