The standard statistical approach to risk management is based on a “bell curve” or normal distribution, in which most results are in the middle and extremes are rare.
在统计学中,风险管理的标准方法是基于“钟形曲线”(或曰正态分布)的,绝大多数结果分布在中间,极端情况十分罕见。
The standard statistical approach to risk management is based on a “bell curve” or normal distribution, in which most results are in the middle and extremes are rare.
在统计学中,风险管理的标准方法是基于“钟形曲线”(或曰正态分布)的,绝大多数结果分布在中间,极端情况十分罕见。
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