經濟論文索引 的英文怎麼說

中文拼音 [jīnglúnwénsuǒyǐn]
經濟論文索引 英文
indexof economic articles
  • : 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
  • : 論名詞(記錄孔子及其門徒的言行的「論語」) the analects of confucius
  • : Ⅰ名詞1 (字) character; script; writing 2 (文字) language 3 (文章) literary composition; wri...
  • : Ⅰ名詞1 (大繩子; 大鏈子) a large rope 2 (姓氏) a surname Ⅱ動詞1 (搜尋; 尋找) search 2 (要; ...
  • : Ⅰ動詞1 (牽引; 拉) draw; stretch 2 (引導) lead; guide 3 (離開) leave 4 (伸著) stretch 5 (...
  • 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...
  • 論文 : thesis; dissertation; treatise; paper
  • 索引 : index; indexing; key; repertory; subscript; concordance
  1. Secondly, it begins to explore the vital effect of the early - warning system in survival development for it industry in fujian, besides the characteristics, precondition, building process, structure and function. thirdly, it establishes an index system, which includes a constraint layer of three constraint factors, such as industrial science and technology, industrial economics and industrial circumstance, and 19 indexes. in order to ascertain the dividing lines of alarming situation, it introduces the concept of subordinate degree

    首先提出福建省電子信息產業可持續發展理,在此基礎上,探預警系統在可持續發展中的重要作用,分析電子信息產業可持續發展預警系統的特徵、建立的前提條件、構建過程及其結構和功能;然後構建一套由產業科技、產業和產業環境三個約束因子構成的約束層,及由19個指標構成的福建省電子信息產業可持續發展預警系統指標體系,並入模糊數學的隸屬度概念,將預警界限的確定轉化為相應隸屬度的確定,預警結果的輸出採用紅、黃、綠三色信號燈顯示系統法;最後用1995 - 2001年福建電子信息產業的相關統計數據對所建立的福建省電子信息產業可持續發展預警系統進行實例驗證。
  2. The thesis takes finance risk as research object which studies up on the theory system, statistic measurement models and policy of china macroscopic finance risk. the author applies lots of data in analyzing and evaluating china macroscopic finance risk from the establishment of market economic system, and tries to explore the discipline and characteristic, then bring forward theoretical source and policy suggestion for the strategic management of national macroscopic finance risk. the main contents is as follows : the first chapter defines risk, finance risk and macroscopic finance risk, then concludes the basic characteristic of macroscopic finance risk, involving the complexity and multiplicity of forming reasons generated latency, accompanying of finance development and severity of educing crisis. finally, it discusses forming mechanism of macroscopic finance risk from three aspects, such as general source, informational source and international background represents following action and gearing utility in the process from risk to crises

    以宏觀金融風險為研究對象,研究我國宏觀金融風險的理體系、統計度量模型和政策,運用大量的統計數據對市場體制建立以來我國宏觀金融風險狀況進行了分析和評價,試圖探我國宏觀金融風險的變化規律和形成原因的特殊性,為國家宏觀金融風險的戰略管理提出理依據和政策建議。其主要研究內容如下:首先,從風險、金融風險和宏觀金融風險等定義出發,總結了宏觀金融風險形成原因的復雜性和多重性、生成的潛伏性、與金融發展的相隨性和發危機的嚴重性等基本特徵,從金融風險產生的一般根源、信息根源和國際背景三方面述了宏觀金融風險形成的機理,最後闡釋了從金融風險到金融危機的傳導機制。
  3. Through all - sided theory analysis and demonstration study of rising and developing of university town in china, this paper tries to explore how it should veritably bring into play its diffuse function and eradiated function of economics, culture, education, society and so on toward city and how it should become the center of the city and so on, hoping more people will discuss this topic

    本篇通過對大學城在我國的產生、發展進行全方位的理分析和實證研究,試圖探大學城如何真正發揮它對城市、化、教育等的巨大擴散和輻射功能,如何成為城市發展中心等問題,以期拋磚玉。
  4. This paper, with the application of system innovation theory, new - system economics and management theory, has a careful investigation on the history of the institution - transformed companies at country level, and systematically set up a management pattern suitable for the further development of them, whose key points include the following : to build up good instruction - transformed companies at country level and upgrade them according to modern enterprise system ; to achieve detachment of enterprises from the government through reducing the burden of their political and social functions by effective policies ; to set up managerial structure suitable for market mechanism ; to realize market - oriented management ; to get rid of the " insiders - dominating " situation and bring into professional managers and outside talents ; to improve the supervi sory mechanism based on common villagers and non - shareholders ; to put into practice the industrial strategy and economic concept of " property as bases, tertiary industry as focuses " ; to reconstruct with market mechanism the " villages in city " ; etc. by the research, hoping to find out one good way of new management style for countryside urbanization on theory

    運用制度創新、新制度學、公司治理學中的理,對村級轉制公司的歷史進程進行了細致的回顧,首次提出了如何系統地構建村級轉制公司的問題,關鍵環節包括:通過產權創新實現村級轉制公司的制度、體制創新:通過行之有效的政策取向減除其行政和社會職能的負擔,使之實現政企分開:構建適合市場機制的公司治理結構、轉向型公司治理;改善「內部人」控制局面,入職業理人機制和外來優秀人才;健全以普通股(村)民和非股東為主的監事機制;實施以「物業為基礎、第三產業為重點」的產業戰略與發展觀;入市場機制改造「城中村」 。藉此研究,希望在理上探一條適應農村城市化進程的管理新體制,以點及面,以廣州市的農村轉制公司為點,構思村級轉制公司的構建與營模式,供我國農村城市化的村級轉制組織參考。
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