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聚合风险模型 collective risk model英语短句 例句大全

时间:2020-02-12 19:06:38

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聚合风险模型 collective risk model英语短句 例句大全

聚合风险模型,collective risk model

1)collective risk model聚合风险模型

1.The actuarial mathematics is used to set up individual risk model andcollective risk model, studing the flood damages of the flood storage and detention basin.运用保险精算学原理,以我国典型蓄滞洪区为研究对象,建立了确定洪水保险损失的短期个别风险模型与短期聚合风险模型,对保险标的分洪损失及蓄滞洪区的运用几率进行定量研究,从而计算出保险公司在一定时期内可能发生的理赔总量的分布情况;并应用实例分析了两个模型间的关系。

2.In this paper, we discussed several important properties of compound binomial distribution in thecollective risk model and gave its recurrence formulas and two approximate calculations.给出了聚合风险模型中的复合二项分布的几个重要性质,给出了其递推公式和两种近似计算。

3.Thecollective risk model based on contaminated Gamma distribution is put forward and its probability character is considered.分析了污染Gamma分布及其性质,讨论了基于污染Gamma分布的聚合风险模型。

英文短句/例句

1.Calulation of Crdit Risk by Credit Risk+ Model聚合风险模型下的质押贷款风险度量

2.COLLECTIVE RISK MODEL BASED ON THE CONTAMINATED GAMMA DISTRIBUTION AND ITS APPLICATION IN RISK CLASSFICATION基于污染Gamma分布的聚合风险模型及其在风险分类中的应用

3.Research on Collective Risk Model When Claims Obey Exponential Distribution;理赔额服从指数分布的聚合风险模型研究

4.Recursive Methods on Multiple Dependent Collective Risk Model;多维相依风险下聚合模型的递归算法

5.A Study on the Application of Credit Risk+ Model in China′s Commercial Banks我国商业银行在聚合信用风险模型下的质押贷款风险度量探讨

6.Research on the Application of CreditRisk+ Model in China s Commercial Banks;我国商业银行聚合信用风险模型及其应用研究

7.Aggregation Credit Risk Model of Retail Business of Commercial Banks商业银行零售资产业务的聚合信用风险模型

8.THE POISSON-COMPOUND APPROXIMATION TO INDIVIDUAL RISK MODEL;个体风险模型的Poisson复合模型近似

9.A Compound Negative Binomial Risk Model of Double Line Perturbed by Diffusion;带干扰的双险种复合负二项风险模型

pond Poisson Risk Model for Multi-type-risk Insurance and the Ruin Probability多险种复合Poisson风险模型和破产概率

11.Value at Risk and Stop-Loss Premiums of Sums of Independent Random Variables;封闭式集合风险模型的风险值及停止损失保费

12.The Integrated Fuzzy Forecasting Model Of Enterprise Financial Risk;企业财务风险综合模糊预测模型研究

13.A Decision-Making Analog-model for Controlling Risks in a Portfolio;组合投资风险控制决策模拟模型研究

14.Optimal Mean-Variance Portfolio of Adventure-Efficient Model;风险和效益综合模型的最优投资组合

15.Early-warning of engineering-project risk model research based on maximum entropy clustering;基于极大熵聚类的工程项目风险预警模型

16.Risk Model with Random Premium Rate and Risk Model with Two Compound Poisson Processes;保费率为随机变量的风险模型和双复合Poisson风险模型

17.Application of The Fuzzy Cluster Analysis on Appraising the Risk of the High & New Technology Project;我国高新技术项目风险的模糊聚类综合评价

18.A Model of Risk-Minimization for Portfolio Investment证券组合投资风险最小化模型的构建

相关短句/例句

short-term collective risk models短期聚合风险模型

3)CreditRisk+聚合信用风险模型

1.Research on the Application ofCreditRisk++ Model in China s Commercial Banks;我国商业银行聚合信用风险模型及其应用研究

4)A Type of Collective Risk Model一类聚合风险模型

5)compound risk model复合风险模型

6)compound Poisson risk model复合Poisson风险模型

1.Ruin theory is the core of risk theory,thecompound Poisson risk model is always the hotspot area to be studied in ruin theory.破产论是风险论的核心内容,复合Poisson风险模型一直是破产论研究的热点。

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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