risk probability analysis

英 [rɪsk ˌprɒbəˈbɪləti əˈnæləsɪs] 美 [rɪsk ˌprɑːbəˈbɪləti əˈnæləsɪs]

【经】风险概率分析

经济



双语例句

  1. Flood-control risk probability analysis of bridge constructions based on fuzzy random theory
    基于模糊随机理论的桥梁防洪风险概率分析
  2. The risk analysis methods include BEP analysis, sensitivity analysis and probability analysis.
    风险分析的方法主要有盈亏平衡分析、敏感性分析和概率分析三种。
  3. Through seismic risk probability analysis, some useful results are obtained: when the distance ( R) between construction site and center of potential seismic source area is very near, the smaller potential seismic source area is, the bigger seismic magnitude or peak acceleration;
    通过地震危险性概率分析计算,认为只有当潜在震源区中心点离场点距离(R)很近时,潜在震源区面积越小,地震烈度、地震动峰值加速度越大;
  4. This paper, with an introduction of basic risk and risk-avoiding theory of hedge ratio, shows the reader a new way to ascertain the best hedge ratio for the minimum risks by applying mathematical knowledge such as probability statistics and analysis of variance to the inference process.
    通过对套期保值避险原理和基差风险的阐述,应用概率统计的方差分析和微积分知识,采用数学推理来确定最佳套期保值比率,使风险最小化。
  5. The risk probability analysis is a difficult problem in real investment risk decision-making.
    风险概率期望分析是房地产投资风险决策的难点问题。
  6. To an investment project, the authors set the NPV as the goal, set investment of construction, net income and administration cost as the risk variable, it also illustrates the application of probability analysis in financial evaluation of investment project with examples.
    对于某投资项目,以净现值为顶层目标,选取对净现值影响较大的建设投资、年净收益和年运营成本为风险变量,举例说明了该方法在投资项目经济评价中的应用。
  7. In this paper, a financial risk analysis method based on probability theory and the Monte Carlo simulation technique is put forward and applied to the analysis of a hydropower project.
    本文提出了基于概率论与模拟技术的工程项目财务风险分析方法,并在某大型水电站工程中进行了应用研究。
  8. The paper presents an analysis approach to the health risk due to environmental contamination. A new system analysis tool ( combined probability and fuzzy set) is adopted in the approach to process the uncertainty common to most health analysis.
    本文着重讨论由于环境污染导致的健康风险的分析方法,该方法使用新的系统分析工具(复合概率/模糊集方法)来处理健康风险分析中通常存在的不确定性。
  9. A risk assessment method for marine configuration based on Fuzzy Probability Influence Diagram ( FPID) and Failure Mode and Effect Analysis ( FMEA) is established in this paper.
    基于模糊影响图(FPID)和失效模式与效果分析(FMEA)建立了一种海洋结构风险分析方法。
  10. The author defined the risk of water supply in plain reservoir through the probability if the water demand is bigger than project's carrying capacity, and elaborated the risk analysis of water supply source system and the simulation method.
    以供水工程承担的供水外来负荷大于工程本身的承载能力的概率定义了平原水库供水水源系统的风险,阐述了供水水源系统风险分析及模拟方法。
  11. The uncertainties analysis appraises the value to the investment project from the risk angle. It mainly concludes these appraisal targets of break-even balance, sensitive analysis and probability analysis.
    不确定性分析则从风险角度来评价投资项目,主要有盈亏平衡分析、敏感性分析、概率分析等评价指标。
  12. There are many kinds of method to risk analysis and assess-ment such as Failure Mode Effects Analysis ( FMEA), Event analysis, Fire and Explosion Index, Probability Risk Analysis, Extenics Risk Assessment method, Fuzzy risk Analysis, and so on.
    风险分析与评价方法有很多,如失效模式与效应分析方法,事件树分析、危险指数评价法、概率风险评价技术、基于可信性的风险评价方法和模糊综合评价方法等。
  13. Risk assessment includes risk identification, hazardous events probability analysis and consequence analysis and risk assessment.
    风险评价包括风险辨识、危害事件概率分析、危害事件后果分析和风险评定。
  14. The method for how to conduct risk evaluation with long-term operation of petrochemical plant as the objective is discussed and the method for how to calculate equipment failure probability through RBI, RCM, SIL analysis and reliability analysis is introduced focally.
    探讨了以石油化工装置长周期运行为目的进行风险评价的方法,重点介绍了如何通过RBI、RCM、SIL分析、可靠性分析来计算设备失效概率的方法。
  15. It includes some methods to measure the financial risk such as theory of probability, mathematical statistics, regression analysis and other methods, etc. And one of these applications is the finance management in life insurance industry.
    其次,还分析了回归分析法和量本利分析法的应用,对于分析风险的相关性以及一般财务决策有重要意义。其中结合大量实例,以便说明几种数理方法在实践中的运用情况。
  16. Development of the software for the risk probability analysis of long-distance oil/ gas pipeline
    长输油气管线风险概率分析软件研究
  17. As to the evaluation factors, geologic risk evaluation criteria can be set up by respectively adopting the methods of drilling success rate grading, cumulative probability curve and geologic analysis.
    针对各项评价要素,可分别采用钻探成功率分级法、累计概率曲线法、地质分析法建立其地质风险评价标准。
  18. Referring to relating materials, we raise a new method of environmental risk assessment& comprehensive probability analysis.
    并参考相关资料,提出一种新的环境风险评价方法&综合概率分析法。
  19. Most of the past Bridge Risk Analysis only pays attention to study of risk probability, but existing research rarely involves the consequence and loss suffered from the bridge accident. Most of those few research is also a qualitative analysis, seldom quantitatively.
    以往的桥梁风险分析大多只注重风险概率的研究,对风险事故发生后可能造成的后果和损失很少涉及,少量的研究也主要采用定性的方法估算,在定量计算方面的研究很少。
  20. Risk is the product of failure probability and failure consequences and risk analysis include qualitative analysis, quantitative analysis, and semi-quantitative analysis.
    风险是失效概率和失效后果的乘积,风险分析有定性,定量,半定量分析三种方法。
  21. In order to get the final comprehensive risk value, the risk events probability and the risk impact value were calculated by Reliability Analysis and a comparison matrix which is borrowed from Analytic Hierarchy Process ( AHP), respectively.
    根据可靠性的成熟理论计算风险事件发生的概率,借鉴层次分析法中构建比较判断矩阵实现风险影响值的量化计算,从而得出通信主干网的风险综合值。
  22. They includes: applying risk probability model, actuarial methods, econometric models, contingent claim analysis and etc. to quantify the contingent liabilities; trying to build index system of the detecting and warning fiscal risks at comprehensive debts caliber.
    一是运用风险概率、保险精算、计量经济模型、或有权益分析等技术探讨量化或有债务的方法;二是尝试建立综合债务口径的财政风险预警和监测的指标体系。
  23. VaR is a method which is used to quantify the market risk. This method takes the theory of probability as the foundation and utilizes modern statistical analysis technology. Since it has been introduced, it is optimized and improved unceasingly, and obtains the considerable development.
    VaR是一种用于量化市场风险的方法,它以概率论为基础,运用现代统计分析技术,自产生以来不断被优化改进,得到了长足的发展。