組合決策標準 的英文怎麼說
中文拼音 [zǔgějuécèbiāozhǔn]
組合決策標準
英文
portfolio decision criteria- 組 : Ⅰ名詞1 (由不多的人員組成的單位) group 2 (姓氏) a surname Ⅱ動詞(組織) organize; form Ⅲ量詞(...
- 合 : 合量詞(容量單位) ge, a unit of dry measure for grain (=1 decilitre)
- 決 : Ⅰ動詞1 (作出主張; 決定) decide; determine 2 (執行死刑; 殺死) execute a person 3 (裂開; 斷開...
- 策 : Ⅰ名詞1 (通「冊」 古代寫字用的竹片或木片) bamboo or wooden slips used for writing on in ancient ...
- 標 : Ⅰ名詞1 [書面語] (樹梢) treetop; the tip of a tree2 (枝節或表面) symptom; outside appearance; ...
- 準 : Ⅰ名詞1 (標準) standard; guideline; criterion; norm 2 (目標) aim; target Ⅱ動詞1 (依據; 依照)...
- 組合 : 1 (組織成為整體) make up; compose; constitute 2 (組織起來的整體) association; combination3 [...
- 標準 : (衡量事物的準則; 榜樣; 規范) standard; criterion; benchmark; pip; rule; ètalon (衡器); merits
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In addition, specialist groups in some bds are taking the lead in specifying interoperability standards for their respective business areas
此外,某些決策局部門的專家小組現正率先訂明互用標準,以配合本身的業務需要。The research of the eco - environment information system based on webgis will help to establish a dynamic monitoring system and provide a feasible scheme for eco - environment information management and decision support. in this paper, based on the internet networklized development technologies, aimed at networklized management of eco - environment, such technologies as the multi - scale, multi - resolution rate data collection and integration, document database, spatial database, comgis development, and " 3s " were used. the main results are listed as the following : 1
本研究在「數字北京」框架下,基於internet網路開發技術,以生態環境信息網路化管理為目標,綜合運用多尺度多解析度數據集成與綜合、文檔數據庫、空間數據庫、組件gis開發、 「 3s 」 ( gps 、 gis 、 rs )集成等技術,以標準化數據規范長期積累的多學科、多尺度、多類型的信息資料,以網路化方式服務于全市乃至全國的各種研究,向國家決策部門和社會提供信息服務。On the background of selecting an optimal combination of elastic pads " height between the two adjacent cylinders, which carry out the design requirement of combinative cylinders assembled structure, in this dissertation, the optimal design model is established ground on geometrical and mechanical model of the combinative cylinders assembled structure. the algorithm that integrates multi - objective ' s decision - making method with minimal distance between two points in euclid ' s space into the modified genetic algorithm to solute the optimal model is presented
本文以選取層間彈性墊層厚度實現組合圓筒裱糊裝配結構的設計要求為研究背景,依據組合圓筒裱糊裝配結構的幾何模型與力學模型,建立組合圓筒裱糊裝配結構的優化模型,提出改進遺傳演算法與歐幾里德空間最短距離準則的多目標決策方法相結合的優化演算法。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量方法相比, var風險管理模型能夠更全面、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風險管理模型則能夠取得較好的預測衡量效果; ( 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控體系、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。For multi - criteria and multi - object decision - making of engineering equipment management, the paper looks at the synthetic decision - making system based on building an open model, which is oriented to the needs of different levels and areas
摘要針對工程裝備管理體系中大量多準則、多目標的決策問題,探討了基於組件技術建立一個適應各種不同層次、不同地區的開放型、通用的工程裝備管理綜合決策系統。Secondly, with swot analysis method, author analyses the decision - making tactic for enterprises to implement tpl ; based on the binary decision - making criterion developed by ballow, author present the essential mode of decision - making on logistics, and analyses several operational management mode of tpl - the specialization and individuation operational mode based on core competitive ability, the conformity mode based on supply chain, virtual business mode based on modem electronic technology, and integrated logistics agent mode. and then, in the view of logistics, author analyses the principle abided by tpl enterprises in the process of reengineering the process of logistic business, analysing and designing the structure of tpl enterprises based on reengineering the process of manufacture and business. further more, author study the design mode of information management system for tpl, comparing and analysing typical information management system for logistics
鑒於此,本文分析了發達國家第三方物流事業的發展及其第三方物流運作管理的經驗,結合中國物流行業的現狀和環境,進行了如下研究:首先,基於第三方物流的基本概念及相關理論與技術方面,提出了關于第三方物流的見解;其次,應用swot分析方法分析了企業實施第三方物流的戰略決策,研究了基於ballow開發的tpl二維決策標準,提出了第三方物流戰略決策基本模式,剖析了幾種第三方物流的運作管理模式,即:基於核心能力的專業化和個性化運作模式、基於供應鏈管理的整合運作模式、基於現代電子信息技術的虛擬經營模式和綜合物流代理模式;然後,從物流的角度,分析了第三方物流企業在物流流程重組的過程中應注重的原則,從而以物流重組生產流程,重組物流業務流程,對第三方物流企業的組織結構進行了分析與設計;進而對第三方物流信息管理系統方案設計模式進行了研究,對當前典型的物流信息系統方案進行了比較與分析。The sub - principle level is composed of many factors, which affect yield rate and risk, such as policies, interest rate, market and enterprises. finally, different fund portfolio forms the program level of the structure. it can also be regarded as a pyramid structure, with yield rate and risk value on the top, which is supported by many factors and different investment portfolio
開放式基金的價值在確定的時間和投資額下,取決于收益率及風險因素,這是基金預定目標的基本準則層,影響收益率和風險的諸多因素,如政策、利率、市場及企業等,構成了遞階層次結構的子準則層,最後,不同的基金組合構成這個結構的方案層,也可以把它看成一個金字塔型的結構,塔頂是收益率和風險值,支撐塔頂的是諸多因素和不同的投資組合,本文將順著這個塔型,對相關因素予以自上而下的梳理和分析解剖。Referring to the standard nema dual ring phase scheme, it analyzes the candidate phase transition and presented the concept of 3 - stage phase transition process, which can generate the phase combination and phase transition with high flexibility and is able to reduce the complexity of decision making process
參考nema標準的雙環相位結構,分析了單點自適應控制策略的備選相位切換方案,提出「三階段」相位切換過程,能靈活地實現相位組合和相位切換,降低相位切換決策方法的復雜程度。分享友人