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经典风险模型 Classical risk model英语短句 例句大全

时间:2020-05-18 22:47:47

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经典风险模型 Classical risk model英语短句 例句大全

经典风险模型,Classical risk model

1)Classical risk model经典风险模型

1.In this case,professor Wu Rong and her students have discussed some distributions about the supremum,the infimum of the surplus in the Classical Risk Model.本文基于保险公司在首次破产后仍能继续运转的情形,对吴荣老师等所给出的经典风险模型中,关于末离零点前盈余过程极大值、极小值的一些分布给予了推广。

2.In this paper,we consider the classical risk model.考虑在经典风险模型中,假设索赔分布函数尾部是正规变化函数,首先求出正规变化函数n重卷积尾部的二阶展开式,再利用著名的Beekman卷积公式,得到破产概率的二阶展开式。

英文短句/例句

1.In the classical risk model, the income of insurance premiums is a linear function of time.经典风险模型中,保费收入是时间的线性函数。

2.The Asymptotic Relationship for the Ruin Probability in the Classical Risk Model;经典风险模型中关于破产概率的一个尾等价式

3.Some distributions for classical risk process under the effect of the Stochastic Interest Rate;随机利率作用下的经典风险模型的破产概率

4.The Probability of Ruin and Approachable Solution in the Discrete Classical Risk Model;离散经典风险模型中的破产概率及其渐近解

5.An Asymptotic Relationship for Ruin Probability in Classic Risk Model经典风险模型破产概率及其局部渐近解

6.An Analysis of Severity of Ruin Probability in Classical Risk Model with S(γ) ClaimsS(γ)族索赔下经典风险模型的破产概率严重性分析

7.THE RUIN PROBABILITY OF CLASSICAL RISK MODEL INVOLVES INVESTIMENT UNDER ECONOMIC ENVIRONMENT;经济环境下引入投资的古典风险模型的破产概率

8.The Extreme Value Distribution for Levy Process of Classical Risk Model;古典风险模型中列维过程的极值分布

9.Proportional Dividend Problems in the Classical Risk Model with Interest;常利率古典风险模型的按比例分红问题

10.On a Barrier Strategy for the Classical Risk Process with Constant Interest Force常利率古典风险模型下的边界分红(英文)

11.The Study on the Insurance Model and the Management Mode Based on the Catastrophic Risk;基于巨灾风险的保险模型及经营模式研究

12.Macroeconomy Fluctuation and Credit Risk: Structural Model;宏观经济波动与信用风险:结构模型

13.A Control Strategy for Macro-econmic Model under Financial Risk;金融风险下宏观经济模型的控制策略

14.The BP Neural Network Model on the Venture Capital Exit Decision of Decision风险投资退出决策的BP神经网络模型

15.Study on BP Neural Networks Model for Evaluating Equipment Acquisition Risk装备采购风险的BP神经网络评价模型

16.Model of risk assessment of information security based on fuzzy neural network基于模糊神经网络的信息安全风险评估模型

17.China is a big agricultural country. Agriculture is the foundation of its national economy and a typical risk industry.中国是一个农业大国,农业是国民经济的基础,也是典型的风险产业。

18.Neural networks for solving the securities portfolio model of tradeoff between risk and return风险与收益折衷的证券组合模型神经网络求解

相关短句/例句

the classical risk model经典风险模型

1.In this text, based onthe classical risk model ,we construct and research two kinds of new risk models with return.本文中,我们以经典风险模型为基础构造了两类全新的带收益的多险种风险模型并且对其进行研究,得到了与破产相关的一些变量的表达式或性质。

3)classical compound Poisson risk model经典泊松风险模型

4)the compound Poisson model that pertured by diffusion带干扰的经典风险模型

5)classical risk model古典风险模型

1.Resort to the relationship between compound Poisson distribution and compound negative bino- mial distribution,and using some results available under theclassical risk model,the ruin probability with initial surplus u(u≥0)are derived.利用复合负二项分布与复合 Poisson 分布的关系,并利用古典风险模型下已有的一些结果,简单明确的得到了初始资本为 u(u≥0)时的破产概率。

2.In the reality complex economic environment, theclassical risk model can not describe the revolution of the insurance company perfectly.在现实复杂的经济环境中,古典风险模型并不能很好的描述保险公司的运转,所以一直以来大家都致力于古典风险模型的推广,以使其更能刻画现实中保险公司的业务运行。

3.The paper discusses the formula of the union distribution of the maximum and the minimum of the surpluses before ruin,the first and last recovery from negative to zero for theclassical risk model expressed by nonruin probability function.文章讨论了用不破产概率函数有限表达的古典风险模型在破产前,从负余额首次返回到零点前及最后一次返回零点前3种时期内余额的极大值和极小值的联合分布公式。

6)complercly discrete time insurnce risk model完全离散的经典风险模型

延伸阅读

风险投资的风险风险投资的风险是指投资活动中人们不希望的后果出现的潜在可能性。

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