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risk coefficient

См. также в других словарях:

  • Risk aversion — is a concept in psychology, economics, and finance, based on the behavior of humans (especially consumers and investors) while exposed to uncertainty. Risk aversion is the reluctance of a person to accept a bargain with an uncertain payoff rather …   Wikipedia

  • Risk aversion coefficient — коэффициент неприятия риска. См. также: Инвестиционные риски Финансовый словарь Финам …   Финансовый словарь

  • Risk pool — A risk pool is one of the forms of risk management mostly practised by insurance companies. Under this system, insurance companies come together to form a pool, which can provide protection to insurance companies against catastrophe risks such as …   Wikipedia

  • Coefficient of variation — In probability theory and statistics, the coefficient of variation (CV) is a normalized measure of dispersion of a probability distribution. It is also known as unitized risk or the variation coefficient. The absolute value of the CV is sometimes …   Wikipedia

  • Coefficient Of Variation - CV — A statistical measure of the dispersion of data points in a data series around the mean. It is calculated as follows: The coefficient of variation represents the ratio of the standard deviation to the mean, and it is a useful statistic for… …   Investment dictionary

  • Risk-free interest rate — The risk free interest rate is the interest rate that it is assumed can be obtained by investing in financial instruments with no default risk. However, the financial instrument can carry other types of risk, e.g. market risk (the risk of changes …   Wikipedia

  • Coefficient of inbreeding — A measure of how close two people are genetically to each another. The coefficient of inbreeding, symbolized by the letter F, is the probability that a person with two identical genes received both genes from one ancestor. Take a first cousin… …   Medical dictionary

  • coefficient of variation — A measure of investment risk that defines risk as the standard deviation per unit of expected return. Bloomberg Financial Dictionary …   Financial and business terms

  • Gini coefficient — The Gini coefficient is a measure of statistical dispersion most prominently used as a measure of inequality of income distribution or inequality of wealth distribution. It is defined as a ratio with values between 0 and 1: A low Gini coefficient …   Wikipedia

  • Partition coefficient — In chemistry and the pharmaceutical sciences, a partition (P) or distribution coefficient (D) is the ratio of concentrations of a compound in the two phases of a mixture of two immiscible solvents at equilibrium.[1] The terms gas/liquid partition …   Wikipedia

  • specific risk — non systematic risk The risk associated with each of the individual assets in a portfolio, as opposed to the systematic risk associated with the market as a whole. It can be eliminated by diversification Portfolio theory holds that investors… …   Big dictionary of business and management

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