經濟準則系統 的英文怎麼說

中文拼音 [jīngzhǔntǒng]
經濟準則系統 英文
economic-criterion system
  • : 經動詞[紡織] (把紡好的紗或線梳整成經紗或經線) warp
  • : 濟名詞1. (古水名) the ji river2. (姓氏) a surname
  • : Ⅰ名詞1 (標準) standard; guideline; criterion; norm 2 (目標) aim; target Ⅱ動詞1 (依據; 依照)...
  • : Ⅰ名詞1 (規范) standard; norm; criterion 2 (規則) regulation; rule; law 3 (姓氏) a surname Ⅱ...
  • : 系動詞(打結; 扣) tie; fasten; do up; button up
  • : Ⅰ名詞1 (事物間連續的關系) interconnected system 2 (衣服等的筒狀部分) any tube shaped part of ...
  • 經濟 : 1 [經] (社會物質生產和再生產的活動) economy 2 (對國民經濟有利或有害的) economic; of industria...
  • 準則 : norm; standard; criterion; rule; formula; square
  • 系統 : 1. (按一定關系組成的同類事物) system 2. (有條理的;有系統的) systematic
  1. Nextly, to narrate the emergence, history, current situation and the future of network accounting in the summarize. once more, on the text this paper studies and discusses the fundamental, including network accounting connotation, similarities and differences of network accounting and traditional manual accounting and cais, technology criteria of network and some advantage ; influencing, on trad - itional accounting theory ( mainly focusing on, general principle etc. ), ob - taining and making use of information ; specialty, risk and precautionary, and so on. it puts forward the consult and sug - gestion

    再次,在主體部分圍繞網路會計的基本原理(包括網路會計的內涵、網路會計與傳手工會計和會計電算化的異同、網路會計的技術標、及其具有的優點) ,網路會計對傳會計理論的影響(集中在會計的核算前提條件、核算一般原等方面) ,網路會計下會計信息的獲取與使用,網路會計具有的特殊性及由此產生的風險和防範措施等若干方面進行詳細的研究和探討並闡述個人的基本觀點,從而為網路會計在我國的健康順利發展及為建設服務提供有益的參考和建議。
  2. With this aim, this paper has made a comprehensive study on the problem of the land requisition in our country. armed with such renowned theories as the theory of property right application, land rent, public choice etc., the study has rendered a potent analysis of the problems involved in the current land requisition policy and their reasons. then, based on china ’ s realities, it advances its own proposal to renovate the current policy from various aspects including the nature and limitation, the procedure and the standard of compensations of the land requisition, that is, by means of a combination of enumeration and generalization, decide on a strict definition of public interests ; improve the procedure of the requisition of land under the principle of openness, justice and high efficiency ; set up the compensation standard with the market price as the baton while versified by other supplementary ways ; most importantly, clarify the property right of land

    本文通過對土地徵用問題進行、深入的調查研究,針對當前我國土地徵用制度存在的主要缺陷和弊端,應用產權理論、地租理論、公共選擇理論、新制度學中的路徑依賴理論以及其它相關理論分析土地徵用存在的問題及其原因,並結合國內外的先進驗,立足本國實際,從征地性質與范圍的界定、征地程序的完善,以及征地補償標的確定,提出了完善土地徵用制度的政策建議:採取列舉式和概括式相結合的方式,嚴格的界定「公共利益」范圍;樹立正當的程序觀念,按照公正、公開與效率的原,完善征地程序;建立以市場價格為主的土地徵用補償標,建立多樣化的征地補償方式等來解決我國征地中存在的問題,但最根本的是明晰土地產權從而進一步完善我國土地徵用制度。
  3. Muc is furtherly defined as intergenerational opportunity cost under sustainability context and the concept of relative value is built up to analyze its dynamic character. in the neoclassic growrh with the invariable substitution of resource for capital, the formulation of this relative value is deduced. for mpc, hotelling model is used to illuminate the relation between the change of mpc and the impossibilities of sustainable use of energy resources ; for mec, an optimal growth model with exhaustible energy resources and environment pollution is employed to calculate the optimal environment

    在可持續發展的條件下,將能源資源的邊際使用者成本進一步定義為代際機會成本,並建立相對價值的概念用於分析代際機會成本的動態變化,基於一個資本與資源存在確定替代關的新古典推導這種相對價值的表達式;在傳的霍特林的基礎上,分析了邊際生產成本變化對資源可持續利用的影響;運用一個帶有資源與環境約束的最優增長模型,推導了邊際環境成本內部化的最優環境稅,並分析了這種稅收政策在實踐中的應用。
  4. In power market, system marginal price ( smp ) is the product price of an individual energy enterprise whose profit relies on successful bidding policy, and bidding policy is generally based on accurate mastery of short - term market tendency whose key is to carry out forecast of smp

    邊際結算電價( smp )是發電企業在競爭性電力市場中的產品價格,以效益最大化為驅動,發電企業的利潤依賴于成功的報價策略,而報價策略形成的基礎是確把握短期市場的走向,把握市場的關鍵是對smp的確預測。
  5. The two categories have different directions. the dividend based on traditional finance is based on efficient market hypothesis. the dividend based on behavioral finance lead the psychology into the theory to explain the dividend policy 。 the dividend policy based on emh ( the efficient markets hypothesis ) face puzzle : 1 dollar cash dividend has no difference with 1dollar capital gain, in fact the investor pay no attention to the listed firms which do not distribute dividend. why so many listed firms make the decision to distribute dividend even cash dividend is taxed by 20 % and stock dividend is exemption from tax. why the price of the stock rise when the company make the decision to distribute dividend. the dividend policy based on emh do not rationally explain the puzzle of dividend

    通過尋求西方傳和現代股利理論的研究軌跡,本文認為公司股利理論體可以劃分為基於標金融學的股利理論和基於行為金融學的股利理論兩大類。兩者的研究出發點和研究角度各有不同。標金融學的股利政策理論是建立在有效市場假說和理性人基礎之上的,而股利行為理論引入社會學和心理學等學科的研究成果來闡釋和論證股利政策,從微觀個體的行為以及產生該行為的更深層次心理、社會動機來解釋、研究和預測個體心理決策程序對股利政策的影響以及如何運用心理學和金融原理來改善決策行為。
  6. Based on the analyses of the investment of nozzle tube net and relationship between the annual operation cost and tube diameter function of a fixed spray irrigation system, a mathematic model to calculate the economical tube diameter of a spray irrigation system is developed by using the minimum expense norm and nonlinear planning theory in engineering economic analysis, and a direct calculation formula for the economical tube diameter in unrestrained conditions is presented

    摘要在分析了固定式噴灌的管網投資、年運行費用與管徑函數關的基礎上,利用工程分析中費用最小化和非線性規劃理論,建立了求解噴灌管網管徑的數學模型,並給出了無約束條件直接求解管徑的計算式。
  7. It is this research that overcomes the difficult problems which variable factors in system design are many and researches about their coupling property are few with using engineering - organism - economy united theory, which horticulture facility types are too many, standardization low and dimension diverse with delamination strategy, and which reasoning in decision - making subsystem is hard because rules are uncertain with using uncertain reasoning with weight

    本研究運用工程?生物?一體化的理論,解決了設計中變量因子多而雜、且相互耦合研究少的難題;運用分層策略,解決了園藝設施類型多、標化程度低、數量大小參差不齊的難題;在決策分中,利用加權的不確定推理,解決了因規的不確定性而帶來得推理機制的難題。
  8. But indeed a good many of problem exist in the present situationof the management. according to this, this paper use the object of the borer. according to the reliability theory established the failure tree of borer system, calculated the reliability parameter of the system and every components. processed the instantaneous reliability analysis of the borer. received the eliability function of the components. based on this, established the maintain and management modeland ecnomye stimate model. and worked out the internet applications, improved the management efficiency of the employed facility, economized the devotion. the maintain and management of the borer achieved to the scientific and comunication, improved the management efficiency, possess great value of application

    針對這種情況,本文以石油鉆機為研究對象,利用可靠度理論,確立了石油鉆機的故障樹,計算了及各基本部件的可靠性參數,對鉆機進行了瞬時可靠度分析,同時,確定了石油鉆機的可靠度指標,得到了石油鉆機各基本部件的可靠度函數,根據可靠度函數建立了以可靠度為的維修管理及評價模型,並編制了相應的應用軟體,提高了現場設備管理的效率,節約了投入,使石油鉆機的維修管理達到了科學化、信息化的水平,提高了管理效率,具有較高的應用價值。
  9. In the part of the standard and index system of grassland ecological security evaluation, the author introduces selected principle, founded methods, sources of evaluation criterion and the principle that structures the index system of grassland ecological security evaluation, designs the concept frame of grassland ecological security evaluation learning from that of driving force - psr, and structures the index system of hierarchical structure of grassland ecological security evaluation according to the characteristic of grassland ecosystem and social and economic development of grassland

    最後對草原生態安全評價的原理做了探討,介紹了相關的評價方法。在草原生態安全評價的標與指標體研究中,討論了評價標選取的原、建立方法、來源以及草原生態安全指標體構建的原,依據草原生態以及牧區社會發展的特點,借鑒驅動力psr生態環境服務的概念框架設計了草原生態安全評價的概念框架,並構建了草原生態安全評價指標層次結構體
  10. The second chapter builds up indicator system of macroscopic finance risk according to standard, objectivity, sensitivity and operability, which includes macroscopic finance environment risk, bank default risk, foam economic risk, national debt risk and foreign capital impacting risk. next, it standardize indicator by adopting mapping, and applies hierarchy analytical process in determining weight. at last, it draws statistic measurement models by weighted average method

    其次,根據指標體構建的規范性、客觀性、靈敏性和可操作性等原,構建了由宏觀環境風險、銀行壞賬風險、泡沫風險、國債風險和外資沖擊型風險構成的宏觀金融風險評價指標體;然後按照映射法對指標進行標化處理,採用層次分析法確定各大類因素的權重,並用加權平均法得出宏觀金融風險的計度量模型。
  11. In the thesis, first, with the view to new institutional economics, the author researched the asset appraisal standards and deeply analyzed its character, function, making and etc. second, the author made a theory model of demand - supply, and then analyzed the affect factors on the demand and supply of assets appraisal standards so to find the reason of its imbalance. after that, the author studied the cost and profit of the making of assets appraisal standards as well as many affect factors, so that the profit will be the most on the conditions of fixing cost. at last, on the basis of theoretical analysis, the author brought forward some suggestive conclusion such as : reasonable location of standards making ; the process of making should be full played ; choose the china appraisal society as the organization of making the assets appraisal standards through the comparing of many institution of standards making ; consult to the foreign assets appraisal standards so as to lower the cost of standards making ; streng then the theoretical preparation of assets appraisal ; standards making should be in a long run ; making standards as early as ; strengthen teaching on standards ; attach importance to macro - environment analyzing

    本文從新制度學角度研究資產評估,對資產評估的性質、功能及制定等進行了深入分析;通過構建供需分析理論模型,對影響資產評估的需求和供給的因素進行分析,剖析資產評估供需不平衡的成因;對資產評估制定的成本收益進行研究,全面分析影響成本和收益的諸多要素,達到成本一定的情況下,收益相對最大;在理論分析的基礎上結合中國資產評估的宏觀環境,分析了我國宏觀環境對制定的影響;提出了我國資產評估制定的對策定位:制定要合理定位;制定過程要充分博弈;對制定機構的選擇;借鑒國外資產評估;加大資產評估理論備;制定要有前瞻性;制定應有緊迫性;強化培訓力度;需明確宏觀環境分析。
  12. The page is also linked to the international monetary fund s dissemination standard bulletin board which provides the economic and financial statistics of and the methodology employed by 29 economies including hong kong. other new features include a new section on hong kong s monetary arrangements through 1997, video clips of senior executives and extracts from hkma publications. the site map and highlights of new features of the website are annexed

    計表亦已與國際貨幣基金組織之發布數據布告板聯網,該布告板提供包括香港在內的二十九個及金融數據。
  13. That is, with the guidance of the theory of system, the theory of sustainable utility, the theory of coordination between humans and land, the theory of land economic supply, the theory of ecology and etc, the goals, principles, gists, characteristics, procedure and contents of farmland consolidation project planning and design are analyzed ; then according to the characteristics of farmland in southern hilly region, the particularity of farmland consolidation project planning and design in this region is summarized, on the basis of which, the technic standards for farmland consolidation project planning and design in southern hilly region are discussed ulteriorly

    即在理論、可持續利用理論、人地協調理論、土地供給理論和生態學理論等農地整理項目規劃設計理論基礎的指導下,分析農地整理項目規劃設計的目標、原和依據以及特徵、程序和內容;然後,針對南方丘陵地區農用地的特點,總結提出南方丘陵地區農地整理規劃設計的特殊性,並在此基礎上進一步探討南方丘陵地區農地整理項目規劃設計的技術標
  14. In order to service for the economy - structure modulating and the economy ' s continuous healthy developing, in this paper, a senior systemic investigation was proposed on the role of stockjobber for china stock market realizing its resources allocation function with the guide of information economics and market efficiency theory, combining with the writer ' s investment - bank practices and facts of china stock market first, guiding with theories as resources rarity, reasonable allocation and optimal utilization, and efficient - market theory, after analyzing the mechanism and model of resources allocation function of stock market, some necessary conditions were concluded for effective resources allocation function of stock market, such as : the precondition is that enterprises compete to win financing according to market admittance regulations ; necessary condition is enterprise ' s property right to be clear, independent and decentralized ; investors should have got necessary finance knowledge and should invest rationally ; financing company should be high effective ; market system should be perfect and distribute in reason with plenty finance products

    筆者結合自己所在企業從事的投資銀行業務案例,聯我國證券市場的實際狀況,以信息學理論和市場效率理論為指導,對券商在我國證券市場實現其資源配置功能中的作用做了較為的初步探討與分析,以服務於我國結構調整,實現的持續健康發展。本文首先在資源稀缺及合理配置與充分利用原指導下,運用市場效率理論,分析了證券市場資源配置功能的作用機制和過程,總結了證券市場發揮資源配置功能應具備的一些條件:前提條件是企業按市場競爭進入市場融資;必備條件是企業產權的獨立、明晰和分散化;投資者應具備必要的金融知識和理性投資;籌資者須具備較高的效率;市場體應提供豐富的金融品種、結構完善並分佈合理。
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