standard risk - translation to russian
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standard risk - translation to russian

Standard Portfolio Analysis of Risk

standard risk      
нормальный риск (не выходящая за определённый предел вероятность наступления страхового случая)
risk aversion         
PREFERENCE AGAINST RISK, A COMMON HUMAN BEHAVIOR OF ATTEMPTING TO LOWER UNCERTAINTY AND AVOID RISK
Risk Aversion; Risk-aversion; Absolute risk aversion; Arrow-Pratt measure; Coefficient of absolute risk aversion; Coefficient of relative risk aversion; Decreasing absolute risk aversion; Increasing absolute risk aversion; Constant absolute risk aversion; Increasing relative risk aversion; Decreasing relative risk aversion; Constant Relative Risk Aversion; Risk averse; CARA utility; Risk tolerance; Risk tolerant; Risk-tolerant; Risk-averse; Log utility; Risk attitude; Co-efficient of absolute risk aversion; Risk Tolerance; Relative risk aversion; Risk aversion scale; Risk aversion (Economics); Risk aversion (economics)
неприятие риска
relative risk         
  • Risk Ratio vs Odds Ratio
IN STATISTICS AND EPIDEMIOLOGY
Relative Risk; Relative risks; Relative chance; Relative probability; Risk ratio; Adjusted relative risk

математика

относительный риск

Definition

Тексако
("Текса́ко")

нефтяная монополия США; см. в ст. Нефтяные монополии.

Wikipedia

CME SPAN

The Standard Portfolio Analysis of Risk, or SPAN, is a system for calculating margin requirements for futures and options on futures. It was developed by the Chicago Mercantile Exchange in 1988.

SPAN is a portfolio margining method that uses grid simulation. It calculates the likely loss in a set of derivative positions (also called a portfolio) and sets this value as the initial margin payable by the firm holding the portfolio. In this manner, SPAN provides for offsets between correlated positions and enhances margining efficiency.

What is the Russian for standard risk? Translation of &#39standard risk&#39 to Russian