確證分析 的英文怎麼說

中文拼音 [quèzhèngfēn]
確證分析 英文
confirmatory analysis
  • : 形容詞1. (符合事實; 真實) true; reliable; authentic 2. (堅固; 堅定) firm
  • : Ⅰ動詞(證明) prove; verify; demonstrate Ⅱ名詞1 (證據) evidence; proof; testimony; witness 2 (...
  • : 分Ⅰ名詞1. (成分) component 2. (職責和權利的限度) what is within one's duty or rights Ⅱ同 「份」Ⅲ動詞[書面語] (料想) judge
  • : Ⅰ動詞1. (分開; 散開) divide; separate 2. (分析) analyse; dissect; resolve Ⅱ名詞(姓氏) a surname
  1. Financial structure selection according to financial distress : on the base of trade - off theory, the article studies the relation between financial distress and financial structure - - - - discussing how to make a reasonable financial structure to prevent a financial distress. finally on the base of gregoradrade. s latent period criterion, demonstrate the article. s result jointly the real data in the chinese capital market

    在財務危機與融資結構選擇的研究中:在權衡理論的基礎上研究了財務危機與企業融資結構之間的關系? ?了企業如何定合理的融資結構,以預防財務危機的發生,最後以gregoradrade的潛伏期判據為基礎,並結合中國資本市場的實際數據對上述研究結果進行了實
  2. Metropolitan circle is the result of industrialization and urbanization, which is the embodiment of centralization and radialization when the metropolis is developing to a certainty, in order to advance the space and economy to conform, to form a corporate area, fabricating the new type of metropolitan circle in which the metropolis is the core is new topic for discussion of innovative space structure of the big ciry this paper combine the theory expatiation and demonstration analysis with comprehensive and new statistics data, and theory model, and discusses the all - around regional development in chengdu area from a new angle, ie : using space structure model of metropolitan circle to develop the overall enhancement of strength in chengdu first, the thesis defmitudes the concept, connotation, and character of metropolitan circle, after that, it discusses the formative mechanism of metropolitan circle from the factors such as market, institution and ect moreover, from the practice of metropolitan circle ' s development in ho me and abroad, it summarizes the significance of the metropolitan circle form for the economic and social development, as well as the experience for reference and the problems we should pay attention to = based on these theories and practice, it brings forward the necessity and strategic significance of building metropolitan circle in chengdu, and analysis its possibilities, it also makes a research on the model of this circle, it innovatively brings forth that the double - polar circle structure of central city - sub central city - satellite town should be builded, through the establishment of index system, the sphere of metropolis circle in chengdu can be set which means the central city, sub center city and satellite town are sett it also analysis how to determine the gravity between center city and circumjacent area, and discusses the function orientation of center city and satellite town at last, it briefly analyses the transportation designing of suburb and city which are imperative for constructing the metropolitan circle in chengdu

    本文將理論闡述和經驗實與較全面的最新統計資料,以及理論模型結合起來,從新的角度深入探討成都的區域整體發展,即以都市圈的空間結構模式促進成都整體實力的全面提高。本論文首先明了都市圈的概念、內涵及特徵,從市場、等因素探討了都市圈的形成機理,並從國內外都市圈的發展實踐中,總結出都市圈這種空間形式所引起的經濟和社會發展的意義所在,以及我們值得借鑒的經驗和需要注意的問題。在此理論和實踐基礎上,提出構建成都都市圈的必要性及戰略意義,其可能性;並且對如何構建成都都市圈模式進行了探討,主要是創新性提出構建中心城市-副中心城市-衛星城鎮的雙極圈域結構,並通過指標體系的建立以定成都都市圈的范圍,即中心城市、副中心城市和衛星城鎮的定,以及測定中心城市與周邊地區的引力大小,以及對中心城市和衛星城鎮的功能定位進行了探討。
  3. Meanwhile, according to the reduced theoretic of the open - web truss, the strength simplification computational method are proposed, and in comparison of the theoretical calculating value with the tested one and the behavior analysis of the tested beams during the process, the hypothesis and the theory of the beam are verified and the stress distribution of the circular hole castellated beam is also obtained

    通過費氏空腹桁架簡化計算理論值與實測值的對比以及對試驗梁在試驗過程中的性態,驗了理論計算及各項假設的正性,得出圓孔蜂窩梁圓孔周邊應力佈特徵;並通過撓度,提出了實用的簡化計算式。
  4. Accounting for contingencies is one important part of uncertainty accounting , contingencies widespread exist in enterprises , as a special economic event , with developments of economic , financial relations is complex , the contents of contingencies unceasing extend , contingencies plays a more and more important role in financial accounting information and operation policy because theoretical and practical research of contingencies is late , special data is little , few pay a ~ ention to treatment of contingencies new accounting law points out that enterprises must explain contingencies arising from guarantees provided for the debit of other enterprises and pending litigation this is the first time that the law requests accounting treatment of contingencies accounting standard for business enterprises : contingencies prescribes the recognition and measurement of contingencies and the disclosure of relevant information , the standard is the first standard of contingencies , improves the accounting treatment for contingencies and the disclosure of relevant information the standard will help us improve the quality of information disclosure the article is divided into five parts to discuss the first part is a general introduction of contingencies , including the history, the classification , the framework and so on , all of which would help readers understand the basic concepts in the article the second part introduces recognition of contingencies , including recognition condition and accounting of some contingencies etc the third part introduces measurement of contingencies , including measurement principle and selection of measurement attributes the forth part introduces disclosure of contingencies , including disclosure of contingent asset , contingent liability etc the fifth part selects some enterprises financial report to analyse , points out some problems of contingent disclosure , gives some suggestions about disclosure of contingencies

    對于規范我國企業或有事項的會計核算和相關信息的披露問題,提高會計信息披露質量,保護投資者利益,具有重要的現實意義。本文試就或有事項的認、計量以及信息披露略談一下自己的認識,對準則可能存在的不足之處提出意見和建議,並採用實方法對上市公司或有事項的披露狀況進行了。本文共五章進行論述,第一章是對或有事項的概括性介紹,包括或有事項的涵義、特徵、或有事項會計的產生、或有事項的類以及或有事項會計的基本框架等,有助於讀者了解本文的一些基本概念;第二部介紹了或有事項的認,介紹了或有事項的認條件和幾種具體或有事項的會計處理;第三部介紹了或有事項的計量,包括或有事項的計量原則和計量屬性的選擇等問題;第四部介紹了或有事項的披露,包括或有資產、或有負債、預計負債等的披露;第五部選取了部上市公司的年報進行實,指出了我國上市公司在或有事項披露方面存在的問題,並提出了完善我國上市公司或有事項信息披露的建議。
  5. Indicators reacting to crisis phenomena are designed with the result of risk classification and reason analysis. with the help of indicators, empiristic analysis establishes the types of risks in government obligation of all counties and constitutes discriminant model and logistic model using six factors, which is derived by cluster analysis and factor analysis

    利用警情指標和警兆指標進行實定了各區縣政府債務風險類別,通過聚類和因子得出六個主因子,建立了判別模型和logistic模型,給出警限。
  6. A wind calculation is also provided when the uav flights along the straight course. at last, simulation in flight envelope with matlab / simulink is is offered with data and graph to prove the simulation design is successful

    最後,通過matlab / simulink實現了無人機全過程飛行的非線性模擬驗了無人機在全航程飛行過程中的飛行數據/曲線,驗了本文研究內容的正性。
  7. Network forensics is an important extension to present security infrastructure, and is becoming the research focus of forensic investigators and network security researchers. however many challenges still exist in conducting network forensics : the sheer amount of data generated by the network ; the comprehensibility of evidences extracted from collected data ; the efficiency of evidence analysis methods, etc. against above challenges, by taking the advantage of both the great learning capability and the comprehensibility of the analyzed results of decision tree technology and fuzzy logic, the researcher develops a fuzzy decision tree based network forensics system to aid an investigator in analyzing computer crime in network environments and automatically extract digital evidence. at the end of the paper, the experimental comparison results between our proposed method and other popular methods are presented. experimental results show that the system can classify most kinds of events ( 91. 16 ? correct classification rate on average ), provide analyzed and comprehensible information for a forensic expert and automate or semi - automate the process of forensic analysis

    網路取是對現有網路安全體系的必要擴展,已日益成為研究的重點.但目前在進行網路取時仍存在很多挑戰:如網路產生的海量數據;從已收集數據中提取的據的可理解性;方法的有效性等.針對上述問題,利用模糊決策樹技術強大的學習能力及其結果的易理解性,開發了一種基於模糊決策樹的網路取系統,以協助網路取人員在網路環境下對計算機犯罪事件進行取.給出了該方法的實驗結果以及與現有方法的對照結果.實驗結果表明,該系統可以對大多數網路事件進行識別(平均正類率為91 . 16 ? ) ,能為網路取人員提供可理解的信息,協助取人員進行快速高效的
  8. The balanced scorecard is better than the traditional method which focuses narrowly on financial indicators and neglets the non - financial indicators. in light of this, our attention will be focused on the study of how to put the advanced theory into practice. by adopting the balanced scorecard valuation modular, through case study, we may decide that weather the balanced scorecard is suitable for our state - owned enterprises

    鑒於此,本課題研究力求以最新理論指導實踐,採用案例研究法,組織該先進管理方法在企業中實際應用實施,構建出企業平衡計卡適用模型,通過個案的應用研究實認平衡計法對我國的國有企業是否實適合的問題?以此達到課題研究的目的。
  9. China ' s accession to wto offes both oppohanities and challenges to the fusion into global economic - community the thesis focuses on the adjustinent mechanism of national reserves in kind, aiming to ensure china ' s national defense and economic security and to complete the " macro - adjusanent mechanism in socialist marketing economy it provides analysis on the basic theories of national reserves in kind as well as relations among reserves, markct and govermeni. howevee the stability on national reserves in kind and macro - adjustment mechanism are also concerned. the monographic analysis on grain reserves, oil storage, material reserves will be initiated to give the consmictive suggestions based on the reality of china ' s national power the thesis is composed of six chapters

    本文以保新形勢下我國國防安全和經濟安全、完善我國社會主義市場經濟條件下的宏觀調控體系為目標,以我國國家實物儲備調控機制為研究對象,系統了國家實物儲備的基礎理論、儲備與市場、政府的辯關系、國家實物儲備的穩定與調控機制,並在此基礎上結合我國實際國情,對我國的國家糧食儲備、石油儲備、其它重要戰略物資儲備(概稱為物資儲備)做出進一步的實,提出有針對性的政策建議。
  10. The specialty and innovation of this paper lies in : l. the main method is quantitative resolution and analysis, the supplemental method is qualitative analysis and theoretic expatiation, and the process of demonstrate and result is much definitive ; 2. the conception of successive industry investment was set forth, and the model of investment portion was set up ; 3. 1 have built the index system of investment structure of regional industry ; moreover, i have used three synthetic evaluated models to contrast the effort

    以數量解和定量為主,以定性和理論闡述為輔,論過程及結果明; 2建立了區域產業投資結構評價指標體系,並用三種綜合評價模型進行了對比論; 3提出了產業連續投資的概念,建立了投資配比例模型。
  11. In this paper, systemic theoretic analysis of the relationship of stock structure and operating performance is progressed, based on this, theoretic study and demonstration analysis organic fall together, and the neural networks model that can reflect their relationship total and systemic is established. the input variable of the model can reflect the panorama of stock structure, also, it can embodiment other influence factor of company performance. the evaluation target system that can reflect the operating condition of listed companies completely, impersonality and truly is advanced, at the same time, the best result weights confirm method is brought forward, thereby, the fuzzy integrate evaluations method is improved

    本文對股權結構與經營績效之間的關系作了系統的理論,並在此基礎上,將理論研究和實有機地結合起來,建立了一個能全面、系統地反映它們之間關系的神經網路模型:該模型的輸入變量在反映股權結構全貌的同時又體現了公司績效的其它影響因素;提出了可以全面、客觀、真實地反映上市公司經營狀況的評價指標體系,同時提出了最佳結果權重定法,從而改進了模糊綜合評價方法,並利用改進的模糊綜合評價法求出公司經營績效的綜合量化值作為神經網路的期望輸出;改進了神經網路模型的演算法,使其在樣本數據相對較少的條件下也能很好地在性態上模擬被逼近函數。
  12. This paper predicts the potential of residual resources and unproved reserves in liaohe oilfield, analyzes the exploration degree and direction, evaluates and optimizes each zone, defines 7 key zones for recent exploration in the oilfield, and demonstrates the geological conditions, resource potential and exploration targets in each key zone

    運用多種方法對遼河油田剩餘資源潛力及近期待探明儲量進行了預測,並從勘探程度和勘探方向入手,對各個區帶進行了深入評價和優選,明了近期遼河油區的7個重點勘探區帶,並對各重點區帶的石油地質條件、資源潛力、勘探目標進行了論,為近期油氣勘探指明了方向。
  13. Aiming at the characteristics of its management, the paper synthetically utilizes the knowledge and methods in the fields of the theory of corporation pre - warning management, system theory, the management ways of the enterprise, behavior science, sociology and statistics, and so on. from the angle of organization, the paper expounds the accidence cause, the principal, the process, the behave modes and the results led to the risk by management system, utilizing by various methods, such as field survey, examples analysis, the investigation of questionnaire, the judge of the major eleme nts, the blur judgments of the computer model, and it attempts to seek for a pre - warning method which can describe, expect, judge, evaluate and control in advance the railway risk and incidences

    針對鐵路機車運行管理的特點,本論文綜合地運用企業預警管理理論、系統論、企業管理學、行為科學、社會學、統計學等多學科、多領域的知識和方法,從組織的角度出發,通過實地調查和問卷調查、實、主成判斷,計算機模型等手段,對中高速機車車輛交通安全事故的成因、機理過程、表象及結果進行較深入的研究,探求一種對風險和危機能有效明的描述、預測、預報、評價、控制的預警管理方法。
  14. Robust optimization is a kind of valid design method that improves the product performance, combining robust and optimization, it adjusts name values of design variables and controls its deviation to promise robustness of the optimization solution. robust optimization includes : ( 1 ) selecting the random factor and turning with quantity ; ( 2 ) uncertainty analysis ; ( 3 ) applying results of uncertainty analysis in robust optimization models

    穩健優化設計方法是提高產品性能的一種有效的設計方法,是穩健設計和優化設計兩種方法的結合,它是通過調整設計變量的名義值和控制其偏差來保設計最優解的穩健性,包括三個步驟: ( 1 )隨機因素的定與量化; ( 2 )不; ( 3 )在穩健優化模型中合理地應用不的結果。
  15. The paper accounts the importance and the necessity of the forecasting research to the stock return volatility of our country, and the use in practice of the forecasting about the stock return volatility, firstly, stock market of our country is divided into large scale stock 、 middle scale stock and small scale stock on the basis of stock size. secondly, according to the basic method of the mathematical statistics , the behavior of the return volatility about single stock is described by using the model of the rolling variance estimates 。 through the relation of daily returns volatility and weekly returns volatility and the forecasting accuracy of the volatility forecasting model to various stock scale , we do practical analysis with the forecasting research to return volatility of single stock market

    在個股收益波動性的可預測性研究方面,首先按市值規模大小將我國股票為大盤股、中盤股和小盤股,然後利用數理統計的基本方法,用滾動樣本方差估計模型描述個股市場收益波動性的行為,並對三種股票日收益率序列及周收益率序列波動之間的關系以及波動預測模型對各種股盤的預測準性進行了實和結果檢驗。
  16. 5. the project completion probability is discussed, which fully describes the uncertainty of construction sequence schedule and provides basis for analysis of time limit

    5 .進行了完工概率,較好地描述了施工進度計劃的不定性,為施工工期論提供了依據。
  17. This article first introduces environmental value, its category and assessment of environmental value ; then environmental policy, environmental compensation of usa, and cercla, opa ’ 90 will be introduced. also, rules on assessment of environmental damage contemplated in directions issued by euro parliament and eu council of ministers and their developments will be explored. demonstrative analysis, comparative analysis and etc. will be applied in the research of the above law, and meanwhile, theory of environmental economics will be adopted in assessment of environmental damage

    本文首先是通過環境的價值及其類和評價環境價值的各種方法的介紹,讓大家對環境的價值有初步的認識;再通過對美國的環境對策、補償、責任法( cercla ) 、油污法( opa 』 90 )和歐洲議會及歐盟部長理事會關于環境損害的預防和救濟的指令案中關于對自然環境資源的損害評價規則和發展過程進行探討,綜合運用實、比較等方法來研究上述法律運用環境經濟學原理來定損害賠償額的評價方法。
  18. Based on an statement of relative elements of life insurance and analysis of some key concepts, the thesis firstly sums up, compares and analyzes the commercial life insurance supply market in china from two aspects : company and product ; secondly, it introduces a method of measuring one ' s insurance demand, expound the methods and strategies of how to choose a company or a product : how to choose a company is to calculate, compare and analyze the ratios of debt and profit, which are based on statements of assets and debts and statements of losses and profits. a choice is made finally according to the above results ; how to choose a product include the methods of comparing all kinds of policy cost, and a empirical analysis is made for term policy cost, in addition, on basis of the present situation of life insurance market in china, author bring forth a simple way to choose participate insurance

    本文在闡述有關壽險基本知識並剖其中關鍵概念的基礎上,首先從壽險公司和壽險險種兩個方面對中國商業人壽保險供給市場進行了歸納、比較和,接著介紹了定保險需求的方法以及選擇壽險公司和險種的方法和策略:選擇壽險公司的具體方法是以各壽險公司的資產負債表和損益表為依據,計算出並比較各公司的償債比率和盈利比率,來考察其償債能力和盈利能力,最後根據結果做出相應選擇;選擇壽險險種的方法包括比較各類壽險保單成本的方法,本文對其中的定期壽險保單成本進行了實,並根據中國壽險市場的現狀,提出了選擇紅險的簡易方法。
  19. It also shows the two principal methods to measure and evaluate the extent of equity, and summarizes the gains and losses, the success and failure that china has made during the decades of planning economy and socialist market economy. after that, the thesis makes an empirical study on the status of equity and efficiency and their relationship in some other countries in the world. at last, using the experience on the issue of equity and efficiency of other countries for reference, and employing the fundamental principles of marxism " political economics and the general approaches of the western economics, the thesis analyzes and demonstrates the issue of equity and efficiency during the process of modernization in china, and proposes the view that china should realize the sound interaction of equity and efficiency basing itself upon the reality and taking a broad view of the future

    本文採取理論研究與實相結合的方法,在搜集和查閱了大量國內外文獻資料的基礎上,詳細介紹了國內外關于效率與公平的概念、類和相互關系的認識、主張和觀點,介紹了對公平度進行評價的兩種主要方法,總結了中國幾十年計劃經濟和社會主義市場經濟的得失成敗,並對世界主要國家公平與效率的狀況及其結合狀態進行了深入的實研究,在借鑒世界各國關于效率與公平問題的實踐和經驗教訓的基礎上,運用馬克思主義政治經濟學的基本原理,借鑒西方經濟學的一般方法對中國現代化進程中效率與公平的問題進行了全面、嚴密的與論,提出了社會主義初級階段正處理公平與效率問題的思路和原則及「立足現實,著眼長遠,實現公平與效率良性互動」觀點。
  20. Firstly, the mechanism and constitution of the areal model of agricultural integration are expounded and market tread, leading products, enterprises engaged in processing and selling agricultural products and its specialized wholesale markets and how the peasants are organized are all considered as its component parts. secondly, the methods of how to determine the types of areal models of agricultural integration are discussed. the fact that agricultural production is limited by territorial difference is considered, so the property of the commodity base of agricultural products is thought of as the important basis to determine the model types

    首先,對農業產業化地域模式的機制與構成要素進行了論述,把市場指向、主導產品、農產品加工銷售企業、農產品專業批發市場以及農民的組織化程度視為農業產業化地域模式的構成要素;其次,對定農業產業化地域模式類型的方法進行了探討,認為應以農業生產的地域性為出發點,把農產品商品基地的屬性(而非其他)作為定模式類型的重要依據;採用綜合法把煙臺市農業產業化地域模式類型為五類;然後實了萊陽龍大公司和棲霞蛇窩泊果品批發市場帶動當地農業產業化發展的實例;最後論述了煙臺市農業產業化地域模式的集聚
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