consumer's risk
51Disney Consumer Products — (DCP) is a division of The Walt Disney Company that engages in merchandizing of the Disney brand and Disney properties, including Disney movies and The Disney Channel television shows. Its merchandise includes apparel, toys, home décor, books,… …
52Producer's risk — is the probability that a good product will be rejected as a bad product by the consumer …
53Bisphenol A — Bisphenol A IUPAC name …
54Credit score (United States) — A credit score in the United States is a number representing the creditworthiness of a person, the likelihood that person will pay his or her debts. Lenders, such as banks and credit card companies, use credit scores to evaluate the potential… …
55statistics — /steuh tis tiks/, n. 1. (used with a sing. v.) the science that deals with the collection, classification, analysis, and interpretation of numerical facts or data, and that, by use of mathematical theories of probability, imposes order and… …
56Credit derivative — In finance, a credit derivative is a securitized derivative whose value is derived from the credit risk on an underlying bond, loan or any other financial asset. In this way, the credit risk is on an entity other than the counterparties to the… …
57риск — 2.19 риск (risk): Потенциальная опасность нанесения ущерба организации в результате реализации некоторой угрозы с использованием уязвимостей актива или группы активов. Примечание Определяется как сочетание вероятности события и его последствий.… …
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58ГОСТ Р ИСО 12491-2011: Материалы и изделия строительные. Статистические методы контроля качества — Терминология ГОСТ Р ИСО 12491 2011: Материалы и изделия строительные. Статистические методы контроля качества оригинал документа: 3.30 (статистическая) гипотеза [(statistical) hypothesis]: Утверждение относительно распределения совокупности,… …
Словарь-справочник терминов нормативно-технической документации
59Modern portfolio theory — Portfolio analysis redirects here. For theorems about the mean variance efficient frontier, see Mutual fund separation theorem. For non mean variance portfolio analysis, see Marginal conditional stochastic dominance. Modern portfolio theory (MPT) …
60Hedge (finance) — For other uses, see Hedge (disambiguation). Finance Financial markets …