盈餘調節表 的英文怎麼說

中文拼音 [yíngdiàojiébiǎo]
盈餘調節表 英文
surplus reconciliation statement
  • : Ⅰ動詞1. (充滿) be full of; be filled with 2. (多出來;多餘) have a surplus ofⅡ名詞(姓氏) a surname
  • : Ⅰ同「余」Ⅰ-Ⅳ1. Ⅱ名詞(姓氏) a surname
  • 調 : Ⅰ動詞1 (配合得均勻合適) harmonize; suit well; fit in perfectly 2 (使配合得均勻合適) mix; adju...
  • : 節構詞成分。
  • : Ⅰ名詞1 (外面;外表) outside; surface; external 2 (中表親戚) the relationship between the child...
  • 盈餘 : 7000元 have a surplus of 7,000 yuan
  • 調節 : regulate; adjust; monitor; measure; take care of; condition; regulation; adjustment; conditioning...
  1. In chapter 1, we briefly reviewed the risk theory and its development. and the significance about this paper was expressed. in chapter 2, we introduced classical risk model. in which, making this risk process into a strong markovian process is the preparation of deriving the main results. chapter 3 is the main body of the paper, we derived the results about general ruin probability in a kind of continuous time risk model with deficit - time geometry distribution of claim inter - occurrence time. the martingale approach is a good procedure to get the expression of ruin probability about a class of continuous time risk models with deficit - time geometry distribution of claim inter - occurrence time. we also take advantage of change of measure idea from it

    第二章介紹了經典風險模型,其中用逐段決定馬爾可夫過程理論及補充變量技巧,使一類風險模型的過程成為齊次強馬爾可夫過程。第三章作為本文的主體部分,在索賠到達間隔服從虧時幾何分佈的連續時間風險模型中,索賠額分佈為一般分佈,它的破產概率可以利用pdmp中的廣義生成運算元得出鞅,通過調系數的選擇以及在相應測度下的測度變換,使得破產概率的一般解可以示出來。
  2. For example, the managers color financial reporting in order to enhance issuing price before coming into the market ; the managers manipulate earnings management to obtain share allotment qualification or avoid being deficit in three years ; on the side, the managers tend to manipulate profit for their interests

    上市前為提高發行價格對財務報進行粉飾;上市后為了取得配股資格或避免連續3年虧損被摘牌進行調;另外上市公司經理人員從自身利益出發也趨向于拉高利潤。
分享友人