標量存取控制 的英文怎麼說

中文拼音 [biāoliángcúnkòngzhì]
標量存取控制 英文
scalar access control
  • : Ⅰ名詞1 [書面語] (樹梢) treetop; the tip of a tree2 (枝節或表面) symptom; outside appearance; ...
  • : 量動1. (度量) measure 2. (估量) estimate; size up
  • : 動詞1 (存在; 生存) exist; live; survive 2 (儲存; 保存) store; keep 3 (蓄積; 聚集) accumulat...
  • : Ⅰ動詞1 (拿到身邊) take; get; fetch 2 (得到; 招致) aim at; seek 3 (採取; 選取) adopt; assume...
  • : 動詞1 (告發;控告) accuse; charge 2 (控制) control; dominate 3 (使容器口兒朝下 讓裏面的液體慢...
  • : Ⅰ動詞1 (製造) make; manufacture 2 (擬訂; 規定) draw up; establish 3 (用強力約束; 限定; 管束...
  • 控制 : control; dominate; regulate; govern; manage; check; cybernate; manipulate; encraty; rule; rein; c...
  1. Afterwards, we choose the listed company which is drawn the non - standard auditing opinions by cpa in 2000, as the studying sample, and the listed company which is drawn the standard auditing opinions, as the controlling sample. through linear return and logistic return analyse, we verify that there are the phenomenon of earnings management in china ' s listed company, on the other hand, we have found the general accounting meanings of earnings management

    隨后,我們又以2000年度被注冊會計師出具了非準無保留意見的上市公司作為研究樣本,同時選了同樣數的被出具準無保留意見的上市公司作為樣本,通過線性回歸分析以及logistic回歸分析的手段,一方面我們驗證發現了我國上市公司中在的盈餘管理現象,另一方面我們也發現了上市公司經常採用的利潤操縱手段。
  2. Especially like lowness of technological content, illogicality of exporting structure, monotony of variety and specification, dropping behind of producing technology, and standard criterion not perfectly built etc. ii. relationships between science and technology and traditional china medicine ( tcm ) industry first : combination of science and technology ( s & t ) and tcm industry has come into being on the necessary condition of developing tendency. second : the function of science and technology will be brought into play if only under the circumstances of both organic balance

    如在中藥材資源的開發利用上在著重產品輕原料、重開發輕保護、重數輕質等問題,這些問題能否得到妥善解決關系著中藥開發研究是否能夠順利開展;我國現有的中藥基礎性研究尚未得突破性進展,對中藥藥效作用的物質基礎、作用機、配伍規律等缺乏創新性研究;有關中藥材種植、炮製、生產加工、質的系列準規范不夠完善,中藥的安全、有效、可
  3. To discuss farther the relation between compaction and deformability, moreover bring forward the reasonable method of roadbed compaction quality detection, the writer used the settlement data of the roadbed to validate father the correctness of the modulus value ; and demonstrated that it was not reasonable that the compactness is regarded as the only index representing compaction quality in the criterion, and demonstrated that the modulus of resilience is a credible index which represents compaction quality by contrasting the deformability of roadbed modes in the different compacted condition

    為了進一步探討路基壓實與變形之間的關系,從而確定有效的路基壓實質檢測方法,論文以昔格達填料路堤沉降監測資料為依據驗證了路基模值的正確性,通過不同壓實狀態下路基變形性的對比,論證了規范中僅以壓實度路基壓實質在弊端,提出了路基填築層模路基壓實質的可靠指
  4. Then, this paper empirically tested the validation and predictive accuracy of different var risk management model in the domestic financial market. finally, with the analysis of modem financial risk management development trend and the current domestic financial risk management situation, this paper made a prospect for the application of this model in the construction of domestic financial risk management system. through the analysis, the main conclusions are as follows : ( l ) the traditional mean - variance model is the special example of the portfolio selection based on the var risk management model for the case that the returns of the portfolio are assumed to be normally distributed ; compared with the mean - variance model, the var risk management model is more comprehensive and accurate in the measurement of the portfolio risk, so based on the var model, the investors can allocate the asset more effectively. ( 2 ) the var risk management model can provide the timely and comprehensive risk information for the top risk manager, so it is very helpful to the improvement of total risk management efficiency. ( 3 ) based on the var model, the raroc performance valuation approach can reflect the real performance of the portfolio manager and provide the coherent standard for the allocation of risk limitation and the construction of the incentive compatibility constraint mechanism in the financial instiutions

    通過研究分析,本文主要得出如下結論: ( 1 )傳統的markowitz均值? ?方差模型僅僅是在資產組合收益率正態分佈假設條件下基於var風險管理模型進行資產組合選擇的特例,與均值? ?方差模型中的方差風險度方法相比, var風險管理模型能夠更全面、更貼切地衡資產組合的風險,且基於此模型能夠更有效地進行資產配置決策; ( 2 ) var風險管理模型能夠滿足更高層次風險管理者對風險信息的需求,有助於整體風險管理效率的提高; ( 3 )基於var風險管理模型的raroc績效評價能夠反映資產組合管理人的真實業績,從而為金融機構風險限額的分配和激勵約束機定提供統一的準; ( 4 )國內證券市場資產組合收益率服從正態分佈的假設明顯不成立,實證檢驗表明基於資產組合收益率正態分佈假設條件下的方差? ?協方差模型對國內資產組合風險的預測在較大的偏差,由於文中證明在收益率正態分佈假設條件下基於方差? ?協方差模型進行資產組合選擇的結果等價于markowitz的均值? ?方差模型,因此,均值? ?方差模型對國內資產組合風險的預測同樣會在著較大的偏差,而半參數var風險管理模型則能夠得較好的預測衡效果; ( 5 ) var風險管理模型符合未來金融風險管理的發展趨勢,基於var風險管理模型建立內容提要風險限額內體系、風險信息披露體系和業績評價體系,並進行金融監管,將有助於國內金融機構內部風險管理方法和外部監管技術跟上國際金融風險管理的發展潮流。
  5. It solves payment issue through sharing pos and brush card. it solves info sharing and exchanging problem by enterprise application integration it adopts research method of software engineering and uses touch - screen, network, database technology and so on to carry through total design of the system and build the software : it uses user status identify and responsibility control to ensure database and application program ' s security ; it strengthen the code by coding optimize ; it captures and discards application runtime error to enhance the system ' s stability ; it uses multimedia voice and moving picture to show help information, thus makes the system easy to use ; it greatly reduces the maintenance work of the system by self - updating function ; it is an opening system by using star - model network top structure, supporting standard network communication protocol ? tcp / ip and offering standard software interfaced criterion

    論文採用軟體工程的研究方法,使用觸摸屏、網路、數據庫等技術,進行了系統總體方案設計和軟體開發:通過對數據庫和應用程序的用戶身份識別和權限,保證數據和應用程序的安全性;通過對代碼進行優化提高了代碼的健壯性;通過捕捉並拋出系統運行時的異常錯誤提高了系統的穩定性;通過多媒體語音、圖形和動畫提示幫助信息來增強系統的易用性;客戶端程序自動升級功能提高了系統的可維護性,有效地減少了維護工作;系統採用星型的網路拓撲結構,支持準的tcp ip網路通訊協議和規范的軟體介面準,具有良好的開放性。
  6. This article, by means of scientific methods like induction and analysis, preceding from demonstrating the relationship between the system and teaching quality, after examining the management units ' functions and the system ' s intension, and then revealing how economic system reform, education system reform and university teaching system reform work with one another, identified and analyzed the existing problems in the current university teaching management system such as single methods, limited targets and imperfect assessment system, made a further discussion in theory on how and by what means university teaching management system can be perfected, and finally concluded that, as to teaching management, the ideology should be re - shaped, the units re - structured and the system perfected, and what is more, the teaching quality assessment and monitoying system should be estabiished

    本文通過歸納法、分析法等科學研究方法,從探討高校教學管理度與高等教育質的關系為出發點,分析了教學管理組織的職能、教學管理度的內涵,重點剖析了當前經濟體改革、教育體改革與高校教學管理度創新之間的關系,從而提煉出目前高校教學管理度中在的管理方法單一、管理目局限、評估體系不健全等一系列問題,並對如何完善高校教學管理度以及採怎樣的完善措施進行了較為深入的理論探討,得出了應重塑教學管理理念、重構教學管理組織、完善教學管理體、建立教學質評估度與監體系的結論。
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