The idea is that people don't see this basic risk management problem and they see things in entirely different terms.
该思想的关键在与人们并没有看到,其中本质的基本风险管理问题,而是站在完全不同的角度去看问题。
If you go to look at congressional discussion of tax rates, you won't see risk management mentioned very often.
如果你看过国会有关税率的讨论,就会发现“风险管理“出现的频率并不高。
We have a good system in taxes, but it's imperfect because it hasn't been thought out thoroughly in terms of risk management.
我们有很好的税收制度,但它并不完善,因为它并非完全从风险管理的角度,经过考量而得出的。
Every risk management device relies on a design and the design is usually complex and has-- it all has to work together.
每种风险管理工具都是基于某种设计,而这种设计通常都是很复杂的,需要各部分相互之间的配合
I stressed in the third lecture that like any--insurance, like any other risk management device, is an invention.
在第三次课上我已经强调过了,保险和其它风险管理工具一样,是一种发明
Moral hazard occurs when a risk management institution incentivizes you to do bad behavior-- to show bad behavior.
道德风险产生于,风险管理机构怂恿人们,采用有悖于道德与人性手段。
We can't just smash things and start all over, we have to design a system of risk management.
而不是简单地打破一切再重新来过,我们应当设计一个好的风险管理体系。
The thing that's really doing the heavy hitting on risk management is really the tax and welfare system.
而税收和福利制度能真正有效地,实现风险管理。
Basel 1988 was an effort to make sophisticated risk management requirements for banks that relied on more modern, as of 1988, financial theory.
988年的巴塞尔协议就是致力于,在当时最新的金融理论基础之上,建立成熟完善的银行风险管理制度
But, because of the logic of risk management we have to make a deal with them; so, it becomes more formal and impersonal.
但是,基于风险管理的逻辑,我们必须和他们达成协议;,使分摊正规化而不受主观情绪的影响。
What Harsanyi and Rawls both gave us was a system of justice that, in my mind, conveys a sense of financial risk management.
在我看来,海萨尼和罗尔斯向我们阐述的,是一种公正机制,融合了金融风险管理意识。
I want to talk about Social Security as a risk management technique that developed in the nineteenth century and it developed in Germany.
我想谈谈社会保障,作为19世纪出现的,一种风险管理技巧,它最早出现在德国。
The other thing that I want to talk about-- and I guess I'm running out of time-- was about management of disaster risks.
还有一件事,我要说说...,我想我可能快没时间了,我要说的是灾难风险管理
But they have to try to let people manage their own risks for themselves, to some extent.
某种程度上来说,我们不得不,让人们自己管理自己的风险。
.. So, we have to frame things as-- put things in the mental categories-- presentation matters-- so that people can manage their risks right.
因此由于框架效应-,我们会把事物按照心理类别分类-,所以得注意使用正确的表述方式-,以便去恰当的进行风险管理。
They seem to talk about it in their own terms, which to a public finance expert is, I don't know, very populist or unprofessional.
他们似乎在用各自的术语表达“风险管理,这也许对于一个财政专家来说,听起来很平民化或者很不专业。
.. He said that we should think of-- When we think about distributional justice we can think of it as a risk management problem.
他说我们应该考虑这种做法-,在思考分配的公平问题时,可以把它看作一个风险管理的问题。
I call it the universal principle of risk management pooling and the hedging of risk.
我称之为,风险管理的普遍原则,风险汇聚和风险对冲
Because the financial risk management system that we have is imperfect, we aren't there yet.
因为我们的金融风险管理体系,存在缺陷,还并不完善。
Oil is very important to the Russian economy and are they managing the risk well?
石油是俄罗斯经济的支柱,不过他们在风险管理上做得如何呢?
I want to go over the history of risk management and through these three themes.
我要讲讲风险管理的历史,以及这三个主题。
We're not going to do that in a Robin Hood way, but in finance we're going to do that in a systematic way through risk management.
我们不能像罗宾汉那样来达到那样的目的,但在金融领域,我们将通过,系统的风险管理来实现
Anyway, I want then to move on to the topic of today's lecture, Insurance is the other side of the risk management institutions that we have.
下面开始今天这节课的主题,保险是我们现有的另一种,风险管理制度
I want to mention a couple other philosophers who talk about risk management.
我想再提几位学者,他们也探讨过风险管理的问题。
These are efforts to solve the moral hazard problem and to manage risks.
这些都是为了解决道德风险问题,和进行风险管理。
.. I think of both of these as incorporating-- I would, especially with Harsanyi, but also with Rawls-- as incorporating some idea of risk management into our basic philosophy.
这两者都-,我想。。。特别是海萨尼,当然罗尔斯也是-,这两人将风险管理的理念,引入到我们的基本哲学思维中。
The socialist idea started to lead to a number of experiments in various countries around the world that were pooling risks-- they might not have put it this way.
这种社会主义设想,引发了全世界很多国家,在风险管理上的改制与试行-,他们可能没用“社会主义“这一叫法。
They're both based on risk management and pooling of risks.
他们都是基于风险管理与风险汇聚
I still want to start with some theory and I thought that--well I will--I plan to start by talking about the most basic concepts of risk management, which underlie finance.
课程开始的时候会涉及一些理论,我认为这些理论,是风险管理最基本的概念,也是金融学中最基础的概念
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