收益狀況 的英文怎麼說

中文拼音 [shōuzhuàngkuàng]
收益狀況 英文
earning position
  • : 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名詞1 (好處) benefit; profit; advantage 2 (姓氏) a surname Ⅱ形容詞(有益的) beneficialⅢ動詞...
  • : Ⅰ名詞1 (形狀) form; shape 2 (情況) state; condition; situation; circumstances 3 (陳述事件或...
  • : Ⅰ名詞1 (情形) condition; situation 2 (姓氏) a surname Ⅱ動詞(比方) compare Ⅲ連詞[書面語] (...
  • 收益 : income; proceeds; profit; earnings; gains; avails; gainings
  • 狀況 : condition; state; status; state of affairs
  1. The information asymmetry in loan of bank is that debit is more than credit about risk and income of debit, and so, debit does not carry out the mortgage of apprize according to the facts strictly, or credit can not get exactly information for other reasons, and then, the credit would be misadvise and can not make out exact decision - making

    銀行借貨中的信息不對稱,是指借款人對其自身風險暴露、收益狀況等有關信息掌握的比貨款人更全面,而不嚴格履行如實告知義務,或者由於其他原因使貨款人無法獲得準確全面的信息,誤導貨款人,使貨款人無法做出準確決策。
  2. To research the status of the use of shell resource in china securities market, in this paper, firstly, i interpret the shell resource from the economic point of view, and point out the important significance of the study on the shell resource ; secondly, i analyze the status of the use of shell resource in our country at present including the motivation, means, benefits and cost of buying a shell ; thirdly, the status of the use of shell resource in the securities market is positive studied in the way of statistics by taking the civil listed companies as examples, this part is the emphasis of the paper ; at last, i analyze the cause that the shell resource was not used well in our securities market, and bring forward some advice at five aspects, such as perfecting the law condition of buying a shell, building up the measures of resisting risk etc

    我們有必要對我國證券市場的殼資源利用進行研究,以期對投資者的投資決策、證券市場監管的制定及殼資源利用績效的提高有所裨。為了考察我國證券市場殼資源利用的,本文首先從經濟學的角度對殼資源進行了解釋,並指出研究殼資源利用的重要意義;其次,分析了我國現階段殼資源利用的現,包括買殼的動機、方式、和成本;再次,以國內買殼上市企業為研究對象,用統計學的方法對我國證券市場殼資源利用進行了實證分析,這部分是本文的重點;最後根據實證的結果,分析了我國證券市場殼資源利用不佳的原因,並從完善買殼的法律環境、增強風險防範措施等5方面提出了一些相應的建議。
  3. Whereas " build - operate - transfer ", called bot mode, has been successfully adopted in some foundation fields, such as public traffic, electric power, etc. this article is based on the study of yishui sewage treatment plant application of bot some constructive and valuable recommendations presented may be helpful to other foundations and environmental fields. this article has analyzed the feasibility of yishui sewage treatment plant application of bot, then made a blue print which include construct project item company project financing project, running project and the analyse of benefits to society and economy. the pivotal portion - concessionary agreement, is also studied in this article

    在借鑒國外城市基礎設施bot模式和國內電廠、高速公路等建設項目bot模式的基礎上,總結國內部分採用準bot模式建設污水處理廠的經驗,根據國家目前的環境政策和法律、法規要求和沂水縣社會經濟發展,運用了經濟學、技術經濟學及管理學的一般原理,對沂水縣城市污水處理廠採用bot模式建設進行了方案設計和分析,包括項目建設方案、項目公司組建方案、融資方案、運行方案、項目經濟效分析及項目各參與方的經濟效分析等內容,並對項目關鍵? ?特許權協議的有關內容進行了研究,在特許權協議中,對在實際工作中難以確定的費價格、發票、付款等具體內容提出了解決思路和辦法。
  4. It can meet people ' s deep level mental demand. currently, the living of the urban vulnerable groups is located in a state, that is, low income, few earning, increasing deep relatively - poverty, high n modulus, inanition, basic plump, simple low - level cloth, strain family - relation, big family - burden

    當前,城市弱勢群體生活態處于入水平低,來源少,相對貧困程度日加深;恩格爾系數高,營養不足,基本肚飽,衣著簡樸,檔次偏低;家庭關系緊張,家庭負擔系數大的
  5. The total input flux of din is about 30900 t in 1998, respectively accounted for 48 % by rivers input, 25 % by seawater - bottom sediments exchanging, 26 % by recycled din in jiaozhou bay, and 1 % by atmospheric deposition

    模型對膠州灣din和po4一p、逗留時間以及新生產力的計算對膠州灣海洋生態領域的研究也是非常有的嘗試。
  6. This paper includes five parts. the first is to review the study on the subject ; the second is to discuss the characteristic of chian ' s stock market. the change of money - admitted policy and the questions on the study. the third is to verify the size effect in china ' s stock market by using correlation test and regression test on the bases of four different criterions, each criterion will be applied with two time - series methods. the fourth is to summary the main character of four different criterions, and apply joint test to the criterions that were proved the best concerning the size effect. the illiquidity risk was introduced to the study, the indexes of turn - over rate and the fluctuation of turn - over were used here. however, other factors that may influence the invest return rate as circulating rate and size were also included. according to the result, the size effect will be interpreted. the fifth is to summary the size effect and its explaination, and then to provide some useful invest strategies based on the conc lusion above

    論文分五部分,第一部分對小公司效應的有關研究文獻進行回顧;第二部分我國股票市場的、資金供給政策的變化和我國股票市場實證的相關問題進行論述;第三部分對我國股票市場的小公司效應按照四種不同的規模標準分類,每一種標準均分兩種不同的統計周期分段標準進行實證分析;第四部分小結不同的規模分類、不同統計周期分段的統計結果特徵,然後對小公司效應最明顯的規模分類標準進行多因子聯合回歸分析,這里引入了流動性風險因素,其用換手率和換手率波動指標來衡量,還分別引入了其它影響投資率的因子,分別是規模、流通比例。
  7. Jurors decided skilling and lay repeatedly lied about enron ' s financial health when they knew of accounting maneuvers that hid debt and inflated profits

    陪審團斷定當斯奇林和雷在了解如何利用會計作帳隱藏債務和誇大后,他們再三在安然的財務健康上撒謊。
  8. In the second part, it analyzes that implementing the new accord will have a series of influences on our commercial banks from five aspects, such as influences on sufficiency of bank capital, on risk management, on information exposure, on supervision of bank and on revenue of bank

    第二部分從五個方面分析了新資本協議的實施會給我國商業銀行帶來的影響,如對商業銀行資本充足的影響、對銀行風險管理能力的影響、對信息披露的影響、對銀行監管的影響以及對銀行能力的影響等。
  9. These nine signals measured three areas of a firm ' s financial condition : profitability, financial leverage / liquidity, and operating efficiency

    這9種信號數值衡量一家公司財務的三個方面:率、財務杠桿率/資產變現率和運作效率。
  10. So this paper tries to solve these problems through the following work : first, we select some index to valuate the close - end funds, including income, stability, risk in falling, stocks selecting ability and tuning ability, based on overseas funds valuation methods and domestic market condition ; second, we analyze the stability of all index and form two styles index, which are f and other bad stability index ; then, we form the valuation system, including two - layers index, which are p and factor score ; last, we use this system to analyze the close - end funds which came into existence before 2000 and get the final comparative result. the main intention of this paper is to create the system of valuating close - end funds in our country, which is comprehensive and objective. in my valuation system involving the period from 2000 to 2003, the funds as a whole performs inferior to the stock index

    首先,對國外理論界經典成型的、以及前沿的基金評價指標和評價方法進行了詳細的分析,並結合我國的基金市場,選取了可以衡量基金、穩定性、下跌風險、股票選擇能力、時機選擇能力等量化指標;其次,根據我國基金分析的需要,採用了諸如基金交易價格、換手率等二級市場表現指標;然後,對這些指標進行了時間延續性分析,檢測這些指標在運用到我國基金市場時能否有效預測基金未來表現,從而形成了兩類指標:時間延續性很好的s _ p和時間延續性不好的其它所有指標;再次,在以上工作的基礎上形成了由兩個層面的指標構成的我國證券投資基金評價體系: s _ p和因子分析中綜合因子得分值;最後,選取了我國2000年1月1日前成立的23隻封閉式基金作為樣本,並同時採用上證a股與深成a股兩個基準組合進行了3年樣本期的實證分析,得出了最終的比較性評價結果。
  11. In the pricing of the participation policy, it is assumed that the expenses of participation policy are higher than the traditional products, so the insurance company distributes the policy holder according to the standards

    壽險公司的紅利分配隨壽險公司經營的變化而變化,具有不確定性,但壽險公司一般向分紅保單持有人提供保證最低
  12. In the part of case study, the article applies " porter ' s competition adavatge theory, " swot analysis ", " bcg matrix " and " webster and wind model ", to analyze the industry, enterprise situation, capital managemt revenues, market and customer of xingfa. in the end part of the case study, the article draws out a detailed production, investment and management project for the xingfa, confirms that the aim of investment and management of xingfa is to minimize the production cost, to reduce effctively marketing cost, to develop the competitive brand, and to increase market share as soon as possible, the article detailedly discusses the buyers " behavior, as well as industrial merge behavior, and gives strategic analysis on practical and typical issues of xingfa

    案例分析部分,根據案例部分提供的素材和作者集的其他有關資料,運用行業競爭5種壓力模型、 swot分析方法、 bcg矩陣,韋伯斯特和溫德模型等管理、經濟、投資方面的理論,對興發空調公司作了行業環境分析、企業分析、市場及客戶分析、資本運營分析,最後對興發空調公司生產投資管理方案作了詳細的規劃,確定了公司投資管理的宗旨是自有資本的最大化,公司的資本市場定位在充分籌借低成本資金,有效地降低經營成本、追求成為市場上的強勢品牌,盡快提高市場佔有率。
  13. The first step, set a suit of index system for evaluation, taken all the risks through the construction and running process of logistics projects into account, and number the indexes by experts investigation. introduce an example and judge the risk levels by a team of experts, then evaluate the whole risk level of the project by fuzzy mathematics comprehensive judgment and get the result. the second step, analysis the economic risk qualitatively, forecast the profit of the certain logistics project, to find out the economic risk of the project by risk compensation way

    本文根據大型物流項目投資大、風險高、專業性強的特點,將風險評估應用於物流項目,將物流項目的風險評估分為兩個層次:第一層次,充分考慮了物流項目投資建設及營運過程中的各種風險因素,建立了一套適用於物流項目的風險綜合評價指標體系,採取專家調查法對各因素權重賦值,並通過專家評審委員會對某一物流項目實例中各因素的風險程度進行判斷,採用模糊綜合評判法對該項目整體的風險程度進行訐估;第二層次,結合項目整體風險程度訐估的結果,對物流項目投資建設的收益狀況進行預測,採用風險報酬率法對具體的物流項目投資方案進行經濟風險分析,對該項目的經濟風險進行定量分析。
  14. In this paper, we first analyze the input and output as well as cost - benefit rate of chinese livestock industry by the example of hog, beef, mutton and dairy cow. then, we choose the samples from different regions in different time, use the stochastic production frontier suggested by battese and coelli ( 1992 ), which is aimed at the panel data ( balanced or unbalanced ), and make the econometric analysis for the growth of hog, beef, mutton, and dairy cow. different from the former research for livestock industry, the efficiency measurement theory is introdiced into the growth model and the tfp is dissolved into technical advancement, technological efficiency and residual, the translog production function is used to make the estimation more precised

    本文首先以生豬,肉牛、肉羊和奶牛為例對近年來我國畜牧業的投入產出和成本收益狀況進行了分析,然後採用battese和coelli在1992年提出的針對混合數據( paneldata )的隨機邊界生產函數形式,在不同地區選取一定的樣本,利用樣本省的時間序列與截面混合數據,對生豬,肉牛,肉羊和奶牛的增長因素進行了分析,與以往對于畜牧業增長研究不同的是,將效率測算理論引入生產增長模型,把全要素生產率分解為技術進步、技術效率和殘差項,並採取了更加符合實際的超越對數函數形式,使傳統上使用的索洛余值法得到改進,更深層次的剖析了我國畜牧業目前的增長方式。
  15. " benefits may be distributed very unevenly, " he told reuters

    他說: "不同的股票收益狀況可能會非常不均衡。
  16. Investors depend on the function of incentive mechanism, especially reputation vcst cared about and reward based on the fund ' s performance

    投資者主要依賴激勵機制的作用,其中聲譽機制以及基於投資收益狀況制定的薪酬制度在風險投資機構的治理中具有重要作用。
  17. The planning scheme shall estimate the investment costs and benefits, together with potential taxes and job opportunities, on the basis of sound analysis, to ensure achievability of the scheme

    應通過科學合理的分析,測算開發建設的投資成本與收益狀況、以及將來可提供的稅和就業崗位等,確保規劃實施的可行性。
  18. The paper mainly analyzes and summarizes the logical process of making the decision of pricing strategies of information goods and service. in some certain cases, given necessary assumptions we analyze the possible profits of available strategies

    論文的主要工作在於分析總結了信息產品/服務定價策略的一個邏輯的決策流程,並且在特定的假設基礎上定量分析了廠商定價決策的可能收益狀況
  19. Only after the diversity of customer utility function is known, can the monopolists make the decision of pricing strategies and realize the profits of the relevant strategies, and the best strategy which can make the monopolist maximize the profit will be applied naturally

    只有在得知客戶效用的分佈特徵之後,廠商才可以選擇相應的產品/服務提供策略並且定量測算各種可能定價策略的收益狀況,最後選擇實現最大化的定價策略和產品/服務提供方法。
  20. In order to solve the conflict of supply and demand, firstly, this particle discusses the characters of the national budget investment the emission of stock, attracting foreign capital and invest direct, domestic banks " loan, international financial organizations and foreign governments " loan, and the emission of bond, the bot mode and other financing manners. also, the particle analyses the resources of each financing manner and characters concretely. then, it analyses the scale, cost, construction and manner of highways " raising project, and it emphasizes banks " loan domestic and overseas, the emission of stock and bond, the attornment of highway ' s charge rights, the capital cost of bot financing manner, and uses the model to calc ulate the compositive capital cost, then build the worst ( in the worst environment hypothetically ) and the best scheme ( in the best environment hypothetically ) accordingly, after the comparison, we can obtain the status of the project ' s net cash flux, the debt ' s endurance capability, income and a series of data in any possible state, so that to get the optimized scheme and prepare for the scientific decision

    為了解決資金的供需矛盾,本文首先論述了國家預算內投資、發行股票、吸國外資本直接投資、國內銀行貸款、國際金融組織和外國政府貸款、發行債券、 bot方式等融資渠道的特點,具體分析了各融資方式的資金來源渠道及它們的特點;接著分析了公路項目籌資的規模、成本、結構和方式,重點分析國內外銀行貸款、發行股票和債券、轉讓公路費權、 bot融資方式資金成本,用模型的方式具體計算綜合資金成本,建立相應的最差方案(在假設的最差條件下)和最佳方案(在假設的最好條件下)與之進行比較,獲取在各種可能條件下的項目凈現金流量、債務承受能力和等一系列數據,確定整體最優方案,為科學決策做準備。
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