管理層發展 的英文怎麼說

中文拼音 [guǎncéngzhǎn]
管理層發展 英文
management development
  • : Ⅰ名詞1 (管子) pipe; tube 2 (吹奏的樂器) wind musical instrument 3 (形狀似管的電器件) valve;...
  • : Ⅰ名詞1 (物質組織的條紋) texture; grain (in wood skin etc ) 2 (道理;事理) reason; logic; tru...
  • : i 量詞1 (用於重疊、積累的東西 如樓層、階層、地層) storey; tier; stratum 2 (用於可以分項分步的...
  • : 名詞(頭發) hair
  • 管理層 : administrative level
  • 管理 : manage; run; administer; supervise; rule; administration; management; regulation
  1. Based on consider hereinbefore, this dissertation discusses several aspects on the problem of the sustainable and optimum exploitation of groundwater resources as follows : ( 1 ) reviewed entirely the origin and evolvement of the concept " sustainable development ", stated and commented the study status in queue on " sustainable development " around national and international range, thorough discussed the science connotation about the concept " sustainable development " ; ( 2 ) looked back and commented across - the aboard some furthest basic concept and proposition related to groundwater resources, put forward self opinions on a few existent mistake points of view and chaos understandings ; ( 3 ) expatiated entirely on the content and meaning of the theory of changeable groundwater resources system, contrast with the traditional methods of groundwater resources calculation and evaluation, combined example to show the application of this theory ; ( 4 ) thorough analyzed the difficult and complexity to forecast the groundwater resources, fully stated the traditional methods of groundwater resources forecasting, pointed out the characteristic and applying condition of these forecasting method, introduced the main ideas and methods of wavelet analysis developed recently, and the matlab software be known as the fifths era computer language, and its accessory wavelet analysis toolbox, applied these methods and tools to analyze the groundwater dynamic curve, adopted the b - j method and morte - carlo method, combined with the theory of changeable groundwater resources system, discussed the new view on the forecast of groundwater resources ; ( 5 ) synthetically analyzed the characteristics and limitations of the present all kind of groundwater manage model, combined mathematical programming mathematical statistics random process and the theory of variation system of groundwater resources on the unite optimum attempter of surface water and groundwater, emphasized how to make the model more nicety, more simple, more practicality ; ( 6 ) analyzed the inside condition and outside condition to assure the sustainable and optimum exploi tation of groundwater resources, the inside conditions are the follows : correct resources idea, scientific methods of resources calculation and evaluation, credible forecast methods of resources, exercisable measures of resources management, the outside conditions are the follows : the development idea of high layer, the transform of manage system, the matched policy and rule of law, the adjusted of economy lever, the improve of cultural diathesis, the boosting up of water - saving consciousness and detail measures, the control of population rising, the prevention and cure of water pollute, the renew and rebuild of ecology ; ( 7 ) scan the sustainable and optimum exploitation of groundwater resources from the high level of metagalaxy, earth system science, and philosophy ; lint out the more directions on groundwater resources

    基於以上考慮,論文主要從以下幾方面對地下水資源可持續開問題進行了比較深入的探討:全面回顧了「可持續」概念的由來與演變,對國內外「可持續」的研究現狀進行了述評,並對「可持續」概念的科學內涵進行了深入探討;對涉及地下水資源的一些最基本的概念和命題進行了全面的回顧和評述,對目前仍然存在的一些錯誤觀點和混亂認識提出了自己的見解;全面闡述了地下水資源變值系統論的內容和意義,並與傳統的地下水資源計算評價方法進行了對比分析,結合實例具體說明了方法的應用;深入分析了地下水資源預測預報工作的極端重要性和復雜性,對傳統的地下水資源動態預測方法進行了全面的評述,指出了各類預測預報方法的特點及適用條件,對最近二十多年剛起來的小波分析技術的主要思想和方法及其應用范圍,以及號稱第五代計算機語言的matlab軟體和附帶的小波分析工具箱進行了介紹,並應用於地下水動態過程線的分析,採用時間序列中的b ? j法,蒙特卡羅方法,與地下水資源變值系統論相結合,探討了地下水動態資料分析和地下水資源預測預報的新思路;綜合分析了現今各類地下水模型的特點及缺陷,將數學規劃、數統計、隨機過程等與地下水變值系統論相結合進行地表水地下水或多水源的聯合優化調度,使模型更準確、更實用;對保證地下水資源可持續開的內部條件和外部條件進行了分析,內部河海人學博卜學位論文前言、摘要、目錄條件主要是正確的資源觀,科學的資源計算與評價方法,可靠的資源預測預報技術,可操作的資源措施,外部條件主要是高思路、體制的變革、配套的政策法規、經濟杠桿的調節、人文素質的提高、節水意識的增強及具體節水措施、人口增長的控制、水體污染的防治、生態的恢復和重建等;從宇宙科學、地球系統科學及哲學的高度審視地下水資源的可持續開;指出了地下水資源可持續開的進一步研究方向。
  2. At the same time analyse these problems, primarily from basis management aspect analyse various shortage of pyramidical organizational structure and tradition human resources management inside of rw company, and lack information management from inside and outside enterprise, then from operating management aspect analyse the " olivary " strategy that make much of manufacture and make light of development and marketing, it is unadapted to market competition, explain the cause of rw company management innovation

    接著對上述問題進行了分析,首先從企業基礎面闡明了rw公司金字塔形組織結構存在的種種弊端,分析了rw公司傳統人事觀念等傳統方式的不足,缺乏對企業內部和外部的信息;然後從企業經營環節分析了企業當前重製造,輕研和營銷的「橄欖型」戰略與市場競爭不相適應。
  3. Using the net assets per capital, the investment return rate, the t - m model, the h - m model, the single factor evaluating model which consists of the treynor index, the jensen index, the sharpe index and the square m index, we evaluate the performance of the twelve mutual funds. and we come to the following conclusions : ( 1 ) after the modification of the risk factor, our mutual funds in the recent one year outguess the market ; ( 2 ) better performance comes from the aid of the government, the improvement of the investment environment and the hard, smart work of the managers especially in the way of selecting some securities in the capital market. ( 3 ) though we make progress, there are still many problems which prevent the further development of our mutual funds such as the devise of the management fee and the characteristics of different funds, all of them divided into the subjective ones and the objective ones

    通過使用投資基金單位凈資產和投資收益率指標、單因素整體績效評估模型,包括treynor指數、 jensen指數、 sharpe指數和業績的m ~ 2測度以及t - m 、 h - m模型對12隻樣本基金進行實證研究,實證研究表明: ( 1 )經過風險調整后,在最近的一年中,我國證券投資基金的業績總體上優於市場基準組合; ( 2 )基金業績的提高得益於的重視、投資環境的改善和基金經的經營,而基金經的良好業績是通過一定的證券選擇來獲得的; ( 3 )已成為證券市場上舉足輕重力量的基金在過程中雖然取得了一定的成績但其進一步還面臨著許多問題,有主觀存在的諸如費率的設定、基金風格方面的問題等等,也有客觀存在的諸如證券市場現階段的不完善等等,所以,我們應該抓住《證券投資基金法》問世帶給基金業的契機,大力促進證券投資基金規范,採取各種措施做大、做優和做強基金業。
  4. At last, the paper looks into the prospects of mbo. it can be convinced that management buy - outs will play its positive role when the systematic environment in china becomes more perfective

    最後,結合中國經濟的現狀,對收購的前景做了一下望,希望隨著制度環境的不斷完善,收購能逐漸步入正軌,揮出應有的積極作用。
  5. It takes agency theory as its premise, human resource property right as its core, and modern distribution theory and risk theory as its foundation. its basic idea is to give high - level managers headed by chief executive officer the right to purchase common stocks of the company at a certain price and time in the future. through this equity system, it ' s expected to inspirit organizations " management in the long run, avoid operators " short - term behavior, and thus reduce agency cost, improve organizations " management structure, and promote the stability of management, so that both constituents ( stake holders ) and vicegerents " ( operators ) targets of gaining profit will be realized finally

    其本質是對經營者的一種薪酬安排;它以代論為前提,以人力資本產權論為核心,以現代分配論和風險論為基礎;其基本內容是給予公司內以首席執行官為首的高級人員在未來某特定的時間按某一固定價格購買本公司普通股的權力;通過這種機制希望對公司起到長期激勵的作用,避免經營者的短期行為,從而減少代成本,改善企業的治結構,促進穩健經營,最終實現委託者(股東)和受託者(經營者)雙贏的目的;它是把期權論應用於現代激勵機制的一種制度創新,比較符合市場經濟條件下企業經營者的價值取向和企業的戰略要求。
  6. At the beginning, researchers lay particular stress on the study of business strategy, but now, along with the enlargement of the size, increase of administrative levels, and the acute changes of the external environment, the enterprises more and more concern the formulation of the development strategy, because if without scenarios, the enterprises only rely business success on intuition strategy, the cost caused by missteps will be greater and greater, and even can bring terrible economic breakdown. in order to avoid these crisis and to build their permanent core competencies in a queasy environment, the enterprises are urged to think much of the study of the development strategy

    以往,戰略研究多偏重於經營戰略研究,而近年來,由於企業規模日益擴大,公司次增加,外部環境的急劇變化,企業越來越多地關心企業戰略的制訂了,因為如果沒有戰略,企業僅依靠直覺戰略獲得成功的話,由於過失帶來的風險、錯誤帶來的代價會越來越大,甚至造成經濟崩潰,促使企業領導更加重視戰略研究,以使他們的企業在愈加變幻多端的經營環境中保持競爭力。
  7. Firstly this paper points out that the mainstream value investment theories limits to some stratifications, such as market, business or product, technology and administrative levels, but it neglects the organizational idiosyncracy of the crux of the value factor, and it ' s better essence, better deep, better lasting than others. secondly this paper inducts and introduces collins " organizational idiosyncracy ideas, points out the importance of value investment theories " development ; and then establishes investigating index system of organizational idiosyncracy, through the way that from the surface to the core achieved a comprehensive summary of its external demonstrations in a large degree. to approve the effectiveness and operativeness of the investment index system in its application, this paper has chosen the specific cases in various corporations of different industries both at home and abroad, and made a various analysis of them, so that affirmed the advance and feasibility of the organizational idiosyncracy investment methods

    本文首先指出主流價值投資思想主要局限於市場、業務(產品) 、技術和次,而忽視了組織特質這一更本質、更深、更持久的關鍵價值因素;其次引入並評價了柯林斯的組織特質思想,指出了它對投資思想的意義;然後形成了一套組織特質的評價指標體系,利用該體系由表及裡的,在最大程度上實現了對組織特質的全面概括;同時為了證實該指標體系的有效性,選取了國外公司、我國不同行業的不同公司進行了個案分析,通過對不同組織特質狀況企業的多角度分析確認了組織特質投資方法的先進性和可行性;最後對組織特質投資方法的適用性和局限性予以了總結。
  8. According to the present state of k and the trend of automobile service industry, combining the opinions of k management, we educe the crucial success factors ( csf ) of k : the repair technology, the service quality and the customer satisfaction. for strengthening the csf, we give the resolution in information system area : constructing an information system that includes a technology support system and is in line with customer - oriented process

    然後以k汽車維修公司為研究對象,通過對k汽車維修公司的現狀及當前存在的問題和汽車維修業趨勢的分析,與公司共同分析得出該企業的關鍵成功因素( csf )是: 1 、汽車的維修技術和質量; 2 、很好的客戶滿意度。
  9. Secretary for housing, planning and lands, mr michael suen middle, visited the exhibition hall of roppongi hills development in tokyo and was briefed by a manager of the developer, mr michiho kishi right

    房屋及規劃地政局局長孫明揚中參觀東京六本木山覽館,並由該商的岸滿帆先生右作出介紹。 27 . 9 . 2005
  10. But there are still many problems hi practice that m & a on financial statement which can only bring short - term effect are more than m & a on value which can really improve the company ' s competity. in order to solve these problems, many new strict regulations have been worked out since 2001 which result in the stepwise standardization of m & a. the content of the thesis is composed of three parts : part one : the basic theory of m & a

    真正有價值的實質性重組很少,戰略重組更難企及,市場上盛行的大多是注重短期效應的報表重組,重組后企業並不能隨之真正提高贏利能力,而利用重組圈錢牟利、操縱股價的案例時有生,這無疑會損害我國證券市場的健康,針對這些問題,從2001年開始,加大了監力度,資產重組逐步走向規范。
  11. With the development of globalization and china ' s enter into wto, group enterprises will play important role in the approaching of our national economy to the world economy improving international market competence and strengthening national economy power. financial management system is a system trying to set the financial rights responsibility and benefit among the various financial management class. its core is how to allocate the financial power and solve the " cost " and " profit " of centralization and decentralization between mother enterprises and its affiliated enterprises. how to build a financial management system which is suitable for the enterprises group and make it operate effectively is a significant task concerning the survival and development to enterprises group

    隨著全球經濟一體化的加快推進和我國加入wto ,企業集團這種經濟聯合體形式對我國經濟走向世界、增強國際市場競爭力、提高國家綜合經濟實力將產生重要作用。企業集團財務體制是明確各財務級的財務權限、責任和利益的制度,其核心是如何配置財務權限,主要是解決母子公司之間集權與分權的「成本」和「利益」的最優度的確定問題。構建適應企業集團需要的財務體制,使之有效運行,對企業集團的生存與具有重大意義。
  12. The changes of administrative level in many chinese - foreign joint ventures in china are by no means rare, especially in the cases that the enterprise is taken over by foreign side. they hope to take advantage of the advanced administrative concept and advanced management mode to achieve the development of the enterprise

    國內一些中外合資企業由於經營不善及其他種種原因引的變動,特別是由外方接手的情況比較普遍,希望憑借外方先進的念、經營模式,以達到企業的目的。
  13. This text aimed at the problems of the management aspects of design of organization structure of the wheel company, combining to the development stage of the company, by means of the questionnaire to the related personnel and comprehensive analyses of internal and external environment, find out main reasons of the influence of organization structure and design to the company development, . by the reference to the successful aspects of organization structure and design of the same domestic and overseas enterprises, i designed the excellent project. that is the excellent project of work flow, the excellent project of the organization structure and the excellent project of the position system respectively by the practice of experimental unit and its result, proving that this project is successful, attaining to aim of raising the company management level of enterprise management

    本文針通過對車輪公司外部環境、內部環境的分析,針對車輪公司組織設計中存在問題,通過現場調研與綜合分析,找出了公司組織結構不適應的三個主要方面? ?以職能為中心、次多、集權制,指出了解決公司目前問題是對組織結構的優化與改進,並通過借鑒國內外相關企業成功經驗,同時結合公司現狀,制定了公司組織結構優化設計方案,通過公司的認可和部分優化方案的實施以及實施效果驗證,證明了組織結構優化設計方案是可行的,而且能夠滿足企業與戰略的需要。
  14. To explore and make clear the background factor of the behaviors, the dynamic relationship and cause - effect relationship between organizational politics perceptions and consequential behaviors. this paper, based on the five theories related to power at different levels, personal perspective, strategy contingency theory, social exchange theory and structural theory. there appear several problems in the development of key disciplines and processes of crossing and assimilating of subjects, including system tie, the character of scientists, the problem of administers, which influence the development and construction of subject, through abstracting, summarizing and based on “ swot ” analytical model from the theory strategic competition by michael baud, we divide organizational politics behaviors in the organizational development of college subjects and crossing and assimilating of subjects into several sorts : including ( 1 ) offensive model ( 2 ) defensive model ( 3 ) strengthening model ( 4 ) shrinking model

    為探索和清重點學科組織政治行為的背景因素,組織政治知覺與后續產生的組織政治行為的動態關聯性與因果關系,本研究以五種不同次與權力相關的論,即個人特質論觀點( personalperspective ) ;策略權變論觀點( strategycontingencytheory ) ;沖突論觀點( conflicttheory ) ;社會交換論觀點( socialexchangytheory ) ;結構化論觀點( structurationtheory )為基本論依據,將重點學科學科以及學科交叉與融合過程中出現的諸如體制束縛、科學家自身素質、問題等影響學科建設與的共性現象進行提煉、總結,並依據「邁克爾?波特」的戰略競爭論學說中的「 swot 」分析模型,將大學學科組織及學科交叉與融合中存在的組織政治行為進行提練歸類,分為( 1 )進攻型; ( 2 )防守型; ( 3 )增強型; ( 4 )退縮型四類政治行為。
  15. During audit committee meetings , the audit committee will consider management ' s annual / periodic fraud risk assessment process, specifically including consideration of the potential for management override of controls or other inappropriate influences over the financial reporting process

    審計委員會將在季度會議上審議的欺詐風險評估過程,尤其必須關注在財務報告過程中是否生超權行為或施加其它不當影響。
  16. From the managers to the development department and research department, we always pay much attention to customer ' s diverse needs

    我們集團的部門和研究試驗中心都專注于客戶的不同要求。
  17. 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量方法相比, var風險模型能夠更全面、更貼切地衡量資產組合的風險,且基於此模型能夠更有效地進行資產配置決策; ( 2 ) var風險模型能夠滿足更高次風險者對風險信息的需求,有助於整體風險效率的提高; ( 3 )基於var風險模型的raroc績效評價能夠反映資產組合人的真實業績,從而為金融機構風險限額的分配和激勵約束機制的制定提供統一的標準; ( 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存在較大的偏差,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存在著較大的偏差,而半參數var風險模型則能夠取得較好的預測衡量效果; ( 5 ) var風險模型符合未來金融風險趨勢,基於var風險模型建立內容提要風險限額內控體系、風險信息披露體系和業績評價體系,並進行金融監,將有助於國內金融機構內部風險方法和外部監技術跟上國際金融風險潮流。
  18. Paper is divided into five chapters, chapter one is introduction, summarize the problem of community and present situation of its informative ; chapter two is theoretical discussion, summarized up the relative conception of community and informative community, built a theoretical platform for text to spread out ; chapter three discussed type partition of community and the standard of construction of each kind of community ; chapter four is the focal point, deeply discussed for different informative construction level of three kinds of community, including the community service informative and the construction of community informative network platform, at the same time give certain suggestion for the operation pattern of community ; chapter five discussed tendency of community development, and for meeting development to community based on learning, put forward three kinds of management pattern, and from angle of economic based on knowledge, put forward innovation and development for community management

    全文分為五章,第一章是緒論,綜述討論社區及其信息化的研究現狀和存在的問題;第二章是論論述,對社區及信息化社區的相關概念進行歸納,為全文的開搭建了論平臺;第三章討論了社區的類型劃分和各類社區的建設規范;第四章是全文的重點,對三類不同次的社區的信息化建設進行深入討論,包括社區信息化網路平臺的建設和社區服務信息化的建設,同時對社區的運行模式給出一定的建議;第五章論述了社區的趨勢,和為了適應目前創建學習型社區的趨勢而針對三類社區的建設特點提出的模式,並從知識經濟角度來考慮社區的,提出對社區和創新。
  19. This research starts from layered class moral education system to research on hidden moral education field, inquiring into power structures, social relationships, systematic norms, management environment, teaching processes, hidden moral education factors of evaluation for management and hidden influences to a student ' s morality in a class. i further advance the theory " culture management " and " ambiguity management " hi hidden moral education of a class and also clearly bring to light the view that the proper melting between rational management methods of manifest moral education and culture management methods and ambiguity management methods of hidden moral education is the developing tendency

    本論文的研究就從具有次性的班級德育系統的整體著眼,從隱性德育場入手,探討班級組織權力結構、社會關系、制度規范、環境、教學過程、評價中存在的隱性德育因素及其對學生品德的隱性影響,提出對班級隱性德育實行「文化」和「模糊」的論構想,明確闡述顯性德育的方式與隱性德育的文化方式、模糊方式之間的有機融合是現代班級德育趨向的觀點。
  20. The management of modern textile industry in the world has already developed toward large scale and less level. traditional mode of production management in liuzhou has already been far from the requirement of global economy integrity. it ' s quite necessary to study and use for reference the mode of production management home and abroad, and study further and promote it and put it into practice

    現代世界紡織業已向大規模、少次的方向,柳州傳統的紡織生產模式已遠不能適應當今的全球經濟一體化的需要,學習和借鑒國內外的生產模式、加強學習、研究並加以推廣和通用,是十分必要的。
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