收入等價變量 的英文怎麼說

中文拼音 [shōuděngjiàbiànliáng]
收入等價變量 英文
equivalent variation in income
  • : Ⅰ動詞1 (把攤開的或分散的事物聚集、合攏) put away; take in 2 (收取) collect 3 (收割) harvest...
  • : Ⅰ動詞1 (進來或進去) enter 2 (參加) join; be admitted into; become a member of 3 (合乎) conf...
  • : Ⅰ量詞1 (等級) class; grade; rank 2 (種; 類) kind; sort; type Ⅱ形容詞(程度或數量上相同) equa...
  • : 名詞1. (價格) price 2. (價值) value 3. [化學] (化合價) valence
  • : 量動1. (度量) measure 2. (估量) estimate; size up
  • 收入 : 1 (收進來的錢) income; revenue; receipts; gainings; earning; gross; proceeds; takings 2 (收進...
  • 等價 : of equal value; equal in value; equivalence
  1. Therefore, the paper expanded eles, namely, turned the above assumption into the following : all the consumers in the same income level have the identical marginal budget share or the identical marginal propensity to consume when consuming certain goods, but consumers in different income level have not and the paper, by defining and introducing the nominal variable of income level - a variable of the marginal propensity to consume only resulting from the change of consumers " ( rural residents ) income level, with which the standard income level was compared, adopted to expand again the extended eles model, exploited the surveying household data in 2001 by liaoning statistics bureau, caculated ( 1 ) the marginal propensity to consume, real expenditure structure, real propensity to consume and marginal budget share of main consumer goods of rural residents in different income levels ; ( 2 ) the proportion of the basic demand quantity, the basic demand structure, the basic demand of main consumer goods in real expenditure of livelihood consumption ; ( 3 ) the income elasticity of demand, the expenditure elasticity of consumption, the price elasticity of demand and the cross price elasticity of demand of main consumer goods ; finally, came the following conclusions : 1

    故本論文採用對擴展的線性支出系統進行再擴展,即將上述假定改為: 「對某類消費品的邊際預算份額或邊際消費傾向,對于同一級的所有消費者均相同,但對于不同級的消費者則有可能不同。 」並通過定義和在模型中引級虛,藉以代表與基準的級相比,消費者(農民)僅僅由於其所處的化所導致的邊際消費傾向的。本論文採用對擴展的eles模型的再擴展,利用遼寧省統計局農調總隊的2001年農村住戶調查分戶資料(共1890戶) ,計算了( 1 )不同級農民對各主要類型消費品的邊際消費傾向、實際支出結構、實際消費傾向、邊際預算份額; ( 2 )不同級農民對各主要類型消費品的基本需求、基本需求結構、基本需求占實際生活消費支出比重; ( 3 )不同級農民對各主要類摘要型消費品的需求彈性、消費支出彈性、需求自格彈性、需求的交叉格彈性。
  2. In this article, firstly the background of the textile trade conflicts within sino - us or sino - euro are introduced, thus learn that how to discern and dodge the foreign trade risks, how to choose the appropriate investment projects have already become one of the most important questions for exporting companies on foreign trade affairs well - known as high investment and high risk. so the main text makes a risk analysis qualitatively and quantitatively on a textile - exporting trading company from three angles of statistic 、 game theory and portfolio theory, which is the main content that we studied. firstly, the statistic article adopts data of the transaction closing price of the textile clothing index in shenzhen stock exchange at the end of each quarter as well as several other kinds of data reflecting the macro - economic changes, performs an empirical analysis of these data according to the theory of co - integration test 、 granger cause test and impulse response function of time series in economitric, and learn that the impact to ti is more obvious by the economic index reflecting local commodity price level and economic prosperity degree home and abroad, as well as the impact degree and the time lag degree, and knows the macro - economic risks faced by textile business enterprises ; after that by the game theory angle we analyze exactly the managing risks faced by one textile export corporation named beauty. from the game expansion chart the system arrangement between censor ways by exportation goal countries and exporting strategies by the exporting enterprises has been analyzed. involving the benefit assignment between them both the limited rounds and infinite rounds negotiations of cooperation games have been studied, and then country responsibility and the enterprise managing risks on foreign trade affairs and so on have been analyzed exactly ; in order to realize the investment multiplication in the certain degree to disperse the risk, the

    本文首先介紹了中美、中歐紡織品貿易爭端的來龍去脈,由此可知在涉外貿易這種以高投、高風險著稱的行業里,如何甄別和規避外貿風險、如何選擇合適的投資項目已經成為外貿企業的首要問題。因此,正文分別從統計學、博弈論和投資組合三種角度對涉外紡織品貿易公司風險進行了定性和定的分析,這也是本文的主要研究內容。首先,統計學篇選取了深圳證券交易所行業分類指數?紡織服裝指數( ti )每一季度末的交易和若干種反映宏觀經濟化的指標,利用計經濟學中時間序列的協整檢驗、 granger因果檢驗和脈沖反應函數理論做實證分析,從而得知反映國內物水平和國內外經濟景氣程度的經濟指標對紡織板塊上市值的沖擊比較明顯,且可知沖擊程度和時滯度,進而分析出涉外紡織企業所面臨的宏觀經濟風險;接著,從博弈論的角度具體分析一家紡織品出口公司( beauty )的外貿活動所面臨的各種經營風險,該篇從博弈擴展圖手,分析了出口目的國審查方式與本企業出口策略之間的制度安排;並圍繞雙方的利益分配,研究了有限回合和無限回合合作談判博弈,然後具體論述了國家責任和企業涉外經營風險問題;在一定程度上為了實現投資多元化來分散風險的目的,投資組合篇從經典的markowitz模型著手,在一些特定條件的限制下,給出了一個相應的投資組合模型。
  3. With the trend of openness and integration of globlal economy, exchange rate is playing more and more important role in influencing the allocation of global resources. the sensitivity of the price of tradale goods to exchange rate fluctuation becomes the focus of international economics because it is a critical vector and transmitter when an economy is confronted of exogenous impact. traditional international economics theory assume that nominal exchange rate fluctuation has complete pass - through effect, namely it ’ s change will introduce proportional change of tradable goods, then it will influence such macroeconomic vector as term of trade, import and export, inflation, employment, productivity, income allocation, and so on. from a microeconomic angle, including pricing to market, innovative behavior, menu cost and sunk cost, the paper probe into the pricing model of international enterprices under floating exchange rate and testify the incomplete pass - through of exchange rate and it ’ s detailed reason, then discuss the inspiration it has on china. it ’ s believable this kind of research will play a big part in china ’ s exchange rate scheme and some macroeconomic problems such as exchange rate tranmitting channel and effects, exchange rate fluctuating behavior

    傳統的國際經濟學理論認為,名義匯率的波動具有完全的傳遞性( completepass - through ) ,即它的化會引起同比例的進出口貿易品相對格以及貿易品和非貿易品相對格的化,然後通過需求動的支出轉移效應( expenditureswitching )來影響國內經濟的諸多宏觀,如貿易條件、進出口貿易額、通脹水平、就業、勞動生產率以及分配,本文從依市定( pricingtomarket ) 、創新行為、菜單成本以及沉澱成本四個不同的微觀角度,通過對浮動匯率下國際壟斷競爭性生產廠商的定模型具體而透徹的探討,論證了匯率的不完全傳遞性並深分析了決定匯率傳遞彈性的重要影響因素,闡述了該理論對人民幣匯率的啟示,這樣的研究會對我國今後的匯率政策以及匯率的傳導機制、傳導效應、波動行為宏觀經濟問題起到重要的作用。
  4. By relaxing the main assumptions in the mm theorem and introducing such variables as taxation, bankruptcy cost, asymmetric information, agency cost and transaction cost, this paper proves that in real economic situations, capital structure influences corporate value through three channels, namely tax avoidance effect corporate governance mechanism and signal mechanism

    摘要放寬mm定理中的主要假設條件,引、破產成本、不對稱信息、代理成本、交易成本,由此證明了現實經濟環境中資本結構通過避稅效應、公司治理機制和信號機制三條途徑影響公司值。
  5. Lwac is becoming one of the important trends in the development of modern concrete. to solve the problems such as poor workability, large shrinkage value and crack easily of lwac, on the basis of systematic experiments, the author establishes lwac workability evaluation system and advances the testing method of pumping performance of lwac ; the control technology of discrete of lwac is introduced through analyzing structure formation process and establishing the mathematic model ; based on studying the strength source of lwac and the function mechanism of artificial additive, this paper not only confirms some major factors which affect concrete strength but explores the preparation technology route of high strength lwac ; the different effects of several fibers in lwac have been studied, and the fiber is introduced in pumping lwac to improve its crack - proof performance

    本文針對輕集料混凝土工作性能差、形大、易於開裂問題,根據大實驗建立了高強輕集料混凝土工作性能的評體系,提出了高強輕集料混凝土可泵性的測試方法;通過分析輕集料混凝土的結構形成過程,建立了輕集料混凝土拌和物物料運動的數學模型,提出了防止輕集料混凝土分層離析的技術措施;通過對輕集料混凝土強度來源和礦物摻合料的作用機理的深研究,確定了影響輕集料混凝土強度因素的主次關系,提出了配製高強輕集料混凝土的技術路線;研究了纖維在輕集料混凝土中的增強增韌、減少縮的作用機理。
  6. The payments for capital and labor are totally set by market power and capital ( labor ) suppliers of any firm have no power to alter the transaction terms with its labor ( capital ) suppliers to their advantage and thus every firm generate zero economic profit. every firm ' s value is equal to the sum of the market prices of the human assets and physical assets that it use and thus the formation and disbandment of a firm have no influence on the interest of any of its members. through an efficient comparison of production within the firm and the scattered individual production coordinated through markets, the dissertation reveals that the origin of the power relationship phenomenon within the firm is that the suppliers of the resources to the firm in real world are unable to enter into legally binding complete contracts as walras assumed

    在一般均衡範式中,企業是一個追求利潤最大化的原子;企業的生產過程被描述為一個「黑箱」 ,它自動地、無摩擦地把任何一組投轉化為既定的技術約束下所能生產的最高產出;資本和勞動僅僅是生產過程中不同類別的投,它們之間的關系是對稱的,它們各自的報酬都是完全由市場整體的力決定的,任何一個企業的資本(勞動)提供者都不可能為了增進其自身的利益而改與勞動(資本)提供者的交易條件,從而任何一個企業產生的經濟利潤都為零;任何一個企業的值都於該企業使用的人力資產和非人力資產的市場格之和,組成一個企業不會增進任何參與人的益,解散一個企業也不會降低任何參與人的益。
  7. It is discovered that the first factor impacting wheat output in all is resources factor, including science and technology development level, agricultural resources, etc. ; the second factor is input and output factor including price and revenue ; the third factor is policy factor, including subjunctive policy variables and the price rate of industrial commodities to agricultural commodities ; the fourth factor is climate factor, especially the disaster suffered proportion

    經研究認為,影響小麥產的第一主因子為資源(科技)因子,主要是科技發展水平、農業資源;第二主因子為投(產出)因子,表現為格、;第三主因子為政策因子,包括政策虛擬、工農業商品比;第四主因子為氣候因子,主要為受災比重的大部分信息。
  8. The first part of this text recommends and explain the intension of the system of executive stock option with its key element, characteristic, current development, positive and negative effects, etc. which offering basic support for following analysis ; the second part, described the behavior of stock price and black - scholes option pricing model from the angle of quantitative analysis, and discuss the value factor of stock option with its encouragement, analyzed the change of every factor in black - scholes option pricing model impact on option worth ; then analyzed the leverage effects and manager ' s morals risk model of executive stock option, at last, considering the main defect existing in the system of executive stock option at present, that is : it depends on stock market unduly, and the stock option incomes of manager has no relationship with manager ' s achievement. this text bring forward the manager synthesizes achievement and appraises model

    本文的第一部分全面介紹和闡述了經理股票期權制度的內涵,構成要素,特點,發展情況和正負效應,為後面的分析提供了基本支持;第二部分,從定分析的角度出發描述了股票格行為和black - scholes期權定模型,並以此為理論基礎探討了股票期權的值因素和激勵性,分析了black - scholes期權定模型中各因素的化對期權值的影響;接著分析了經理股票期權的杠桿效應和經理人道德風險模型,最後,針對當前經理股票期權制度存在的主要缺陷即:過度依賴股票市場,經理的股票期權與公司的業績缺乏相關性這一問題提出了經理綜合業績評模型。
  9. Institutional economics is its basic theoretical clue. the institutional approach includes : transaction cost is a basic view for housing finance institutions and a certain institution follows the principle of minimum transaction cost ; financial deepenness and financial function theories are important ways to understand housing finance institution ; a systematic institutional structure of housing finance comes from the interaction of social economy, culture and politics, and institutional bundling and embeddedness are common forms ; financial structure theory is a forceful quantitative way to analyses housing finance institutions ; minimization of transaction cost is the basic motivation for institutional transformation, and the basic ways are forced transformation and induced transformation ; equity and efficiency are basic criteria for evaluating housing finance institutions, which may implement through certain institutions while government acts as leverage between equity and efficiency. ( 2 ) multiformality and transformation of housing finance

    制度經濟學是基本的理論線索,制度分析範式包括如下方面:交易成本是考察住房金融制度的基本視角,特定的住房制度安排遵循約束條件交易成本最小化原則;金融深化和金融功能理論是理解特定住房金融制度安排的重要輔助方法;整體性住房金融制度結構的形成是包括社會經濟、文化、政治各類制度在內互相影響、平衡的產物,制度捆綁和制度嵌是常見的形式;金融結構方法是用制度分析方法解釋住房金融制度的有力的定分析工具;住房金融制度遷的基本動因是交易成本最小化(外部益內部化) ,遷的基本方式是強制性遷和誘致性遷;公平和效率是住房金融制度評的基本標準,公平和效率通過一定的制度安排可以同時實現,政府在住房金融制度中起著平衡公平和效率的杠桿作用。
  10. Culture and education, other goods is over 1. second, cross section data analysis of consumption composition of urban and rural households shows that : ( 1 ) mfc of urban households is lower than its in long - term ; ( 2 ) mfc of rural households is lower than that of urban households ; ( 3 ) the income elasticity of rural households on such good as transportation and communication, housing, dressing, culture and education is high, but low on household facilities ; ( 4 ) the response of urban households on an } 7 goods " price is sensitive than that of rural households ; ( 5 ) the changing foods price of urban and rural households can great affect consumption of other goods. chapter six : analysis on consumption function of rural households in jiangxi province

    另外,值得注意的是農村居民的居住需求彈性大於城鎮居民,反映出農村居民對住房投資的偏好仍未改;第五,對城鄉居民格彈性的分析表明,城鎮居民在各大類商品上對格的反應都要高於農村居民,而農村居民對交通通訊、食品、衣著、文教娛樂方面的化反應強烈;第六,對互格彈性的計算表明,城鄉居民的食品動后對其他七大類商品需求的影響最大,說明穩定食品(或農產品)的格對于提高城鄉居民的消費水平是非常重要的。
  11. In this article, with the aid of basic modern theories lemphatically analyze the gap between distribution of citizen ' s legal incomes at the time of economic transformation basing on the research results which i have grasped this dissertation is divided into four parts : chapter one is about the meaning of income distribution, the indexes to measure the gap between income distribution and the major theories con corn ing income distribution ; chapter two is about the current situation of income distribution and its causes which are analyzed from development, resources, systems, policy and so on ; chapter three predicts that the trends in the changes in income distribution based on the " new industrialization road " advanced by the 16th national congress of communist party of china ( 16th nccpc ) will magnify first and then reduce ; chapter four makes an appropriate appraisal of current income distribution and proposes some countermeasures to reduce the income gap

    本文主要藉助現代經濟學的基本理論,在盡可能地了解與掌握已有研究成果的基礎上,著重對轉型經濟中我國居民正常合法分配差距的問題展開分析。全文共分了四個部分:第一部分對居民分配的相關范疇做了解釋,並對主要的分配差距測指標以及主要分配理論做了簡要概述;第二部分分析了我國分配差距拉大的現狀並從體制、政策、發展、資源方面深刻剖析了產生現狀的原因;第三部分結合十六大所提出走「新型工業化道路」預測我國分配差距將呈現先擴大后縮小的動趨勢;第四部分對當前分配差距進行合理的評並提出縮小分配差距的對策措施。
  12. Equivalent variation in income

    收入等價變量
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