經濟遞階模型 的英文怎麼說

中文拼音 [jīngjiēxíng]
經濟遞階模型 英文
economic hierarchical model
  • : 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動詞(傳送;傳遞) hand over; pass; give Ⅱ副詞(順著次序) in the proper order; successively
  • : 名詞1. (臺階) steps; stairs 2. (等級) rank 3. [醫學] (耳蝸的三個螺旋管的任一個) scala 4. [數學] order 5. [地質學] stage
  • : 模名詞1. (模子) mould; pattern; matrix 2. (姓氏) a surname
  • 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...
  • 模型 : 1 (仿製實物) model; pattern 2 (制砂型的工具) mould; pattern3 (模子) model set; mould patter...
  1. The dissertation focuses on the theory & mechanism research on life insurers ’ integrated risk management ( irm ). based on the realistic contexts and theoretical foundations of irm, the paper tentatively establishes the theoretical frameworks of value - based irm and sets up an irm model & its extended model with a step - by - step risk integration system including capital risk integration, asset - liability risk integration, strategic & business risk integration, risk management & risk management culture integration. the paper is organized in preface ( contexts analysis ), irm theoretical framework & irm model establishment ( chapter 1 - 3 ), and the model ’ s practical execution ( chapter 4 - 7 )

    論文基於壽險公司整合性風險管理構架進行理論與運行研究,以公司整合性風險管理產生的背景(導論)為起點,以金融理論、財務理論、風險社會與風險文化理論為理論基礎(第一章) ,建立了基於價值創造的公司整合性風險管理理論體系(第二章) ,建構壽險公司整合性風險管理(第三章) ,並對所建進行擴展運用,形成了資本風險的整合管理、資產負債風險的整合管理、戰略風險與營風險的整合管理、風險管理與風險管理文化的整合管理(第四章至第七章)的式風險整合管理體系。
  2. An ideal investment location can be founded in case disposal of the elements properly the paper works over the technique means of economic risks and puts forward that the economic results are impacted upon by a complicated three - dimensional risk of the absence of information ; in addition, it constitutes economic model of foreign investment to large - scale construction through ahp. the thought economic factors are transferred into quantitative index by taking advantage of computer, a figure of decision - making is worked out as well ; the quantitative and statistic analyses of risk elements is carried out by means of mathematics, which provides decision - makers with a theoretic measure

    本文研究了項目風險的技術分析手段;以系統論的觀點提出了項目結果受到復雜的信息匱乏三維風險因素威脅;構建了大土木工程國際投資項目風險,通過計算機求解將思維性的風險因素轉化為量化指標,做出了決策參考圖;提出了大項目工程地區的因子數學分析措施,為決策提供了投資地投資等級量化指標的依據;提出了大土木工程國際投資未確知有理數解決方法,為投資的決策提供了效益分析結果。
  3. And use relative fitting error to measure statistical data non - uniform error ; then introduce the method systematically of using the fuzzy comprehensive evaluation method to carry on the overall superior test of the government statistical data quality. includes the establishment of step level appraisal target system, target weight determination, calculates the factor weight in various levels, uniform test of judgment matrix, and built up the final fuzzy comprehensive evaluation model of the government statistical data quality according to the above - mentioned standard ; finally selects the partial main social economy total quantity target from chinese statistics yearbook 2003 to carry on the real diagnosis analysis : ( 1 ) confirm these social economy total quantity targets using the description statistics and the k - s inspection method to obey the lognormal normal distribution. ( 2 ) according to the two levels of inspection methods which this article proposed to carry on accuracy and the overall superior test for these social economy total quantity targets

    本文首先從統計數據及質量的涵義出發,全面系統的介紹了統計數據質量的概念;其次,從研究統計數據的分佈規律入手,對統計數據準確性檢驗問題進行了探討,利用對數正態分佈檢驗對反映研究對象規大小的統計數據的質量及異常數據進行定量檢查和識別,並利用相對擬合誤差計量統計數據的非一致性誤差;接著系統介紹了利用糊綜合評價方法對政府統計數據質量進行整體優度檢驗的思路,具體包括建立層次的評價指標體系,指標權重的確定,計算各層次中因素的權重,判斷矩陣的一致性檢驗,並根據上述標準建立了最終的政府統計數據質量糊綜合評價;然後通過從2003年中國統計年鑒資料中選取部分主要的社會總量指標進行實證分析: ( 1 )利用描述統計和k - s檢驗法來驗證這些社會總量指標服從對數正態分佈的規律; ( 2 )按照本文提出的二級檢驗法來對這些社會總量指標進行準確性和整體優度檢驗,從而達到綜合評價政府統計數據質量的目的;最後對這種二級檢驗法的優點和不足進行小結,提出今後應該努力改進的方向。
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