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- temporal risk aversion 暂时厌恶风险
- That risk aversion may find surprising victims. 这种风险回避会发现意外的受害者。
- What is the risk aversion of the trader or client? 什么是交易者或客户对风险的厌恶?
- A New Method of Estimating Risk Aversion By: Chetty, Raj. 评估风险规避的一种新方法。
- They have the same risk aversion and the same system. 他们的风险厌恶是一样,系统是一样的。
- Capital inflows into the region are falling because of increased risk aversion. 由于投资者希望尽量减低风险,所以流入区内的资金减少。
- This same risk aversion translates into protectionism and insularity. 同样对风险的规避演变成了贸易保护主义和岛国劣根性。
- Skewness Preference, Risk Aversion, and the Precedence Relations on Stochastic Changes By: Chiu, W. Henry. 偏态偏好、风险规避与随机变化优先关系。
- Program design will always be a function of current practicalities tempered by management's level of risk aversion. 风险管理方案之规划常是管理决策者实际风险偏好程度之显示。
- Determine your personal level of risk aversion and temper intuitive judgments up or down accordingly. 确定自己的风险偏好之程度并据此调适主观直觉之判断。
- Estimates of risk aversion vary widely, and no quantitative guidelines are available. 对于风险的躲避的估算具有很大的差异,而且也没有适用的数量指标。
- "There is a risk aversion in NATO that we must continue to address and push nations," Gen. Craddock said. “北约有害怕危险的倾向,我们必须继续解决这个问题,推动一些国家。”
- The ongoing risk aversion in equity markets has benefited US and European government bonds. 股票市场正在进行的风险规避活动使美国及欧洲的政府债券获益。
- And how should plans deal with differences in risk aversion across the participant population? 该如何制订合适的退休金计划,才能迎合众多参加者对规避风险的不同要求呢?
- When the insurer is constant absolute risk aversion (CARA), the initial reserve has no effect on insurer's behavior. 当保险人表现为常数绝对风险规避(CARA)时,初始准备金对保险人并无影响;
- Bond prices have rallied, following a rise in risk aversion and a flight to safer assets. 在风险厌恶情绪加深以及追求更安全资产的情况下,债券价格回升。
- A utility maximization game model is formulated assuming both the supplier and the distributor are risk aversion. 在假定供应商和零售商都是风险规避类型的条件下,建立博弈模型并分别求解出供应商和零售商的最优策略。
- But although risk aversion may be a factor, describing the dollar as a “safe haven” seems dubious. 尽管风险规避可能是一个因素,但将美元描述为“避难所”似乎并不可信。
- VIX hovering around 36.20 is an indicative of the concerns and risk aversion surrounding the markets. 波动率指数在36.;20附近盘旋,预示着市场环境对于风险的厌恶。
- Risk aversion in the mood before dissipating, the U.S. dollar and the yen still higher potential. 在风险厌恶情绪消退之前,美元及日元仍有上涨潜力。