1.
					
							Risk Adjusted Return on Capital (RAROC)
						 
					
					
						
						 
					
					
						风险调整资本回报率
					2.
					
							Application of risk adjusted return of capital in credit risk management;
						 
					
					
						
						 
					
					
						风险调整后的资本收益率在信用风险管理中的应用
					3.
					
							Optimal portfolio selection based on maximizing risk-adjusted return on capital;
						 
					
					
						
						 
					
					
						基于风险调整后资本收益率的最优资产投资组合模型
					4.
					
							Asset Specificity and Risk Aversion in Adjustment of Agricultural Production Structure;
						 
					
					
						
						 
					
					
						资产专用性与农业结构调整风险规避
					5.
					
							On the Adjustment of Capital and Risk under the Pressure of Capital Requirement Regulation:An Empirical Study of the Data from American Commercial Banks
						
						
						资本充足率监管压力下资本与风险的调整——基于美国商业银行数据的实证分析
					6.
					
							Small and Medium-Sized Investors s Stock Investment Mentality Risk Adjustment Model;
						 
					
					
						
						 
					
					
						中小投资者股票投资心态调整风险控制模型
					7.
					
							The Potential Risk of FDI and the Adjustment of FDI Policy of China;
						 
					
					
						
						 
					
					
						利用外资的潜在风险与中国FDI政策的调整
					8.
					
							How Enterprise Transfer Investment Risk in the Period of Economic Structure Adjustment;
						 
					
					
						
						 
					
					
						企业在经济结构调整期怎样转移投资风险
					9.
					
							An Empirical Analysis on the Risk-Adjusted Cost Efficiencies of Commercial Banks in China;
						
						
						基于风险调整的中国商业银行成本效率研究
					10.
					
							A Study on the Strategy of Integrated Risk Management-Contingent Capital;
						 
					
					
						
						 
					
					
						整合型风险管理策略下或有资本工具研究
					11.
					
							Co-integration analysis of the venture capital market and patent output in china
						 
					
					
						
						 
					
					
						中国风险资本市场与专利产出的协整性分析
					12.
					
							4. Adjustment of registered capital;
						 
					
					
						
						 
					
					
						(四)调整注册资本;
					13.
					
							Two Kinds of Risk Investment of Human Capital,Investment Risks and the Risk Dispersion;
						 
					
					
						
						 
					
					
						两种人力资本风险投资、投资风险及其风险分散
					14.
					
							capital/risk-asset ratio
						 
					
					
						
						 
					
					
						资本与风险资产比率
					15.
					
							Double moral hazard and the theory of capital structure of venture capital financing
						 
					
					
						
						 
					
					
						双边道德风险与风险投资的资本结构
					16.
					
							Decision-making method for power investment considering risk-adjusted discount rates
						 
					
					
						
						 
					
					
						计及风险调整贴现率和期权估价的电力投资决策方法
					17.
					
							The Study on the Choice of the Right Moment to Withdraw Venture Capital after the IPO of the Venture;
						
						
						风险企业IPO后风险资本退出时机研究
					18.
					
							Abstract: The risk decision of long term indefinite investment was an alysed according to probability theory and by means of risk-adjusted discount ra te.
						
						
						文摘:根据概率论原理,采用风险调整贴现率的方法,进行不确定长期投资风险的分析.