規避對策 的英文怎麼說

中文拼音 [guīduì]
規避對策 英文
evasion game
  • : Ⅰ名詞1 (畫圓形的工具) instrument for drawing circles 2 (規則; 成例) rule; regulation 3 [機械...
  • : 動詞1. (躲開;迴避) avoid; evade; dodge; seek shelter; shun; flee 2. (防止; 避免) prevent; keep away; repel
  • : Ⅰ動詞1 (回答) answer; reply 2 (對待; 對付) treat; cope with; counter 3 (朝; 向; 面對) be tr...
  • : 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 ...
  • 規避 : (設法躲避) evade; dodge; avoid; set around; escapism
  1. Discussion on the mechanism and preventive measures to avoid concrete carbonation

    混凝土碳化機理及規避對策研究
  2. Zhejiang industry gathering risk elusion and sustainable growth ' s countermeasure research

    浙江產業集群風險和持續成長研究
  3. The fourth is that the study on the enterprise product mix adjustment from the side of theory is scarce and fragmentary, immethodical. according to the existing problems, this thesis tries to take individual enterprise as the object of study and research the tactics and methods of enterprise product mix adjustment, and the models of enterprise product mix adjustment and whose effect factors, and trap enterprise may encounter in the course of enterprise product mix adjusting and tactics to elude them

    上述存在的這些問題,本論文試圖從微觀層次上以單個企業為研究象,企業產品結構調整的具體略及途徑進行完整系統的探討,並企業產品結構的模型及其選擇的影響因素,企業在進行產品結構調整過程中可能遇到的陷阱及略等實際問題進行深入的分析。
  4. As long as we use scientific methods to open out the evolutive law of our complex economy, adopt feasible countermeasures, institute scientific middle and long run layouts, we can avoid fatal misplay in decision - making

    只要利用科學方法揭示我國復雜經濟系統的演化律,並採用切實可行的,制定出科學的中長期劃,就可以免重大的決失誤。
  5. In this article, firstly the background of the textile trade conflicts within sino - us or sino - euro are introduced, thus learn that how to discern and dodge the foreign trade risks, how to choose the appropriate investment projects have already become one of the most important questions for exporting companies on foreign trade affairs well - known as high investment and high risk. so the main text makes a risk analysis qualitatively and quantitatively on a textile - exporting trading company from three angles of statistic 、 game theory and portfolio theory, which is the main content that we studied. firstly, the statistic article adopts data of the transaction closing price of the textile clothing index in shenzhen stock exchange at the end of each quarter as well as several other kinds of data reflecting the macro - economic changes, performs an empirical analysis of these data according to the theory of co - integration test 、 granger cause test and impulse response function of time series in economitric, and learn that the impact to ti is more obvious by the economic index reflecting local commodity price level and economic prosperity degree home and abroad, as well as the impact degree and the time lag degree, and knows the macro - economic risks faced by textile business enterprises ; after that by the game theory angle we analyze exactly the managing risks faced by one textile export corporation named beauty. from the game expansion chart the system arrangement between censor ways by exportation goal countries and exporting strategies by the exporting enterprises has been analyzed. involving the benefit assignment between them both the limited rounds and infinite rounds negotiations of cooperation games have been studied, and then country responsibility and the enterprise managing risks on foreign trade affairs and so on have been analyzed exactly ; in order to realize the investment multiplication in the certain degree to disperse the risk, the

    本文首先介紹了中美、中歐紡織品貿易爭端的來龍去脈,由此可知在涉外貿易這種以高投入、高風險著稱的行業里,如何甄別和外貿風險、如何選擇合適的投資項目已經成為外貿企業的首要問題。因此,正文分別從統計學、博弈論和投資組合三種角度涉外紡織品貿易公司風險進行了定性和定量的分析,這也是本文的主要研究內容。首先,統計學篇選取了深圳證券交易所行業分類指數?紡織服裝指數( ti )每一季度末的交易收盤價和若干種反映宏觀經濟變化的指標,利用計量經濟學中時間序列的協整檢驗、 granger因果檢驗和脈沖反應函數等理論做實證分析,從而得知反映國內物價水平和國內外經濟景氣程度的經濟指標紡織板塊上市值的沖擊比較明顯,且可知沖擊程度和時滯度,進而分析出涉外紡織企業所面臨的宏觀經濟風險;接著,從博弈論的角度具體分析一家紡織品出口公司( beauty )的外貿活動所面臨的各種經營風險,該篇從博弈擴展圖入手,分析了出口目的國審查方式與本企業出口略之間的制度安排;並圍繞雙方的利益分配,研究了有限回合和無限回合合作談判博弈,然後具體論述了國家責任和企業涉外經營風險等問題;在一定程度上為了實現投資多元化來分散風險的目的,投資組合篇從經典的markowitz模型著手,在一些特定條件的限制下,給出了一個相應的投資組合模型。
  6. Secondly, aiming at the shortage of the present study on this problem, this thesis try to make some creative breaks : explain the connotative definition of intermediate business in systematically to benefit this kind of problem to further study ; study the problems of risk aversion and prevention with it ' s development ; evaluate the market risk, the credit risk, investment risk etc. ; try to establish a valid system to evaluate the risk of intermediate business. the main method we used in this thesis to evaluate the risk of intermediate business is var ( value in risk ). at last, study to take some measures which will match the real state of our country to prevent the risk of intermediate business, which will do some good to intermediate business in china " s commercial bank

    其次,針已有研究中的不足和此類問題的研究現狀,本論文力求創新與突破的是:比較系統地商業銀行中間業務進行界定和研究其發展略,有利於此類問題的進一步深化和擴展;從商業銀行中間業務不斷發展的角度來研究風險和防範等問題,評估中間業務面臨的市場風險、信用風險、投資風險和管理風險等一系列風險,嘗試建立有效防範中間業務風險的評估體系,本文主要運用var法來評估中間業務的市場風險;探討符合我國國情的商業銀行中間業務風險防範措施,以期我國商業銀行中間業務的發展有所裨益。
  7. The innovations include macro - environment, credit management system and so on. based on the fourth, the thesis studies risk - control system of loan. it especially analyzes asset - value system and introduces methods of asset - value

    文章的第四部分根據上述原因,提出實施體制改革信貸風險方法,探討了從外部環境改革、信貸管理體制等方面來信貸風險。
  8. Secondly, this dissertation analyses the action characters of soccer robot, designs kinds of actions in allusion to switchover of attack and defend, puts forward theory of action selection and rules of action selection in order to realize part cooperation which combines court subarea and switchover of attack and defend when soccer robot is under special state thirdly, after considering the characters of obstacles in the robot soccer, we have founded the collision module, to the current questions of obstacle - escaping arithmetic, we put forward the new obstacle - escaping strategy based on the speed vector information which is able to dope out the potential obstacles in the moving path and count out the suitable velocity to escape obstacles by the aid of the geometry transform of obstacle velocity vector the grid implementation arithmetic of path - searching tree is set forth for the convenience the result of simulating competition showed that this way is suitable to the mobile obstacle escaping

    ( 2 )分析了足球機器人動作的特點,針機器人足球比賽的攻防狀態轉變,進行了各類動作設計;為了使足球機器人在特定狀態下,實現局部的配合,將攻防狀態的變化與球場分區相結合,提出了足球機器人的動作選擇機理和動作選擇的則。 ( 3 )分析了機器人足球比賽中障礙物的特點,建立了足球機器人碰撞模型。針目前機器人足球比賽中劃演算法的不足,提出了基於障礙物的速度矢量信廣東工業大學工學博上學應論文息制定的足球機器人略。
  9. The paper analyzed the status of chinese foreign exchange reserves investment at present, and then put forward suggestions for improving reserves investment returns, such as discriminating investment function from the management ; constructing efficient mechanism ; setting up investment benchmark and limitation, evading and manipulating risks ; optimizing the currency and assets compounding ; expanding invest channel ; absorbing more person with ability in international finance market and perfecting relevant laws etc

    本文分析了我國外匯儲備基金投資增值的現狀,從區分管理功能和投資功能,組建高效基金運營模式;設定投資基準和投資限額,控制和投資風險;優化外匯儲備的貨幣結構和資產結構,拓寬投資渠道;加快培養吸納國際金融市場操作人才,完善有關法等幾個方面提出了改進外匯儲備基金投資增值的
  10. So whether have we tools to avoid risk on the basis of market forecasting ? yes, the finance engineering tools just perform. it was the emphases to dissertate why and how the tools can do it

    而金融工程所提供的險工具正好為租船人或船東們解決了有效運價波動風險的問題,根據市場的定性與定量分析做出正確的經營決
  11. Finally, the author sketches clues, method and basic structure of the study ; part two : financing mechanism. on the basis of listing all the sources of the overseas venture capital and taking the china ' s features into consideration, this part analyzes the sources of china ' s venture capital from two aspects : possibility and feasibility. all in all, at present, the venture capital in china is still on the beginning stage with the characteristics of simplicity of suppliers of the venture capital, the frequent interference of the government, the low passion of non - governmental groups in investment and the fact that the total supply volume of the venture capital, especially the available volume, is far behind the vast demand of the transformation of scientific and technological achievements and the development of hi - tech industry

    本文共分為五個部分:第一部分重點介紹了國內外關于本問題的研究現狀,說明本文的研究思路、研究方法和基本框架等;第二部分在分析國外風險資本來源的基礎上,結合我國風險投資的特點,從可能性和可行性兩方面來分析我國風險資本的來源;第二部分通過風險投資機構的三種主要組織形式進行比較分析,闡明了最適合於我國風險投資的發展的風險投資組織形式,並提出我國風險投資組織形式分階段發展的建議;第四部分構建出了具有一般意義的風險投資家投資決體系,並風險投資者如何逆向選擇問題進行了探討。
  12. Based on the analysis of commercial banks " current concept about fund management, this paper brings forward that fund management is the main - string in its operation, and that the concept of fund management, including security and profitability, is extended from current " forrying fund " to the management of the fund cost and fund risk the paper comprehensively discusses the principle of fund management, the management of fund costs, the tactics of management about fund liquidity, the measures of management about fund risks and how to solve the problems on interest risk in the period of frequent interest fluctuation. the paper puts forward ideas on how to improve the fund management. the security, liquidity and profitability of the fund, which are both contradictory and integrated with one another, are internal factors of fund management. fund liquidity is traditional core question. commercial banks face with a number of risks of witch credit risk is the greatest one because our country has adjusted interest rates 8 times since 1996, which covered a period of frequent interest fluctuation

    商業銀行面許多風險,但最大風險是信用風險。由於我國自1996年以來已連續調整了8次利率,近幾年是利率波動頻繁時期,研究利率的敏感性問題顯得特別重要。要改善資金管理,提高商業銀行的經營水平,就要建立資金管理是商業銀行經營主線的理念,資金要統一劃和管理;要改革銀行的體制,建立現代企業制度和法人治理結構,在體制上為資金管理提供有利的運行平臺;增加改善資金流動性管理所需的貨幣政工具,擴大資金調控手段;打破貨幣市場的僵化局面,為資金管理創造有利的宏觀環境;續續優化負債結構和負債載體設計;增強資金信用風險和化解的措施;通過銀行資源整合,努力尋找資金的安全投放渠道,最終完成經營模式由傳統型向現代型的轉變。
  13. Three type of option forward contract : interruptible, or callable, forward contract ; its supply - side analogue, puttable contract ; and their combination, bilateral optional electricity forward contract, are reported in chapter 5, these contracts allow market participants to take advantage of flexibility in generation or consumption to obtain a monetary benefit, while simultaneously removing the risk of market price fluctuations. in chapter 6 of this paper, various contracts for difference are discussed. the last part of this paper is conclusion and prospect

    論文首先分析比較了電力交易的幾種方式及其適用的環境,闡述了電力期貨的功能和意義;簡要介紹了電力期權和互換的概念與作用;重點研究運用金融衍生工具的理論分析遠期合約、期貨合約、可選擇遠期合約和差價合約等幾種電力合約的或降低風險的機理、合約價格或敲定價格的設定及市場參與者這些工具的響應和運用這些工具的略。
  14. However, our traditional steel company is low in its information, and the efficiency and level of information utilization are not high. in order to enhance its competitive power, china steel company needs widely to introduce the conception of erp, which can help it to reach business reengineering, organization adjustment and mis reintegration. under the way of advanced management, the company can better catch new opportunity for economy growth and easer escape from the risk

    「全球化、知識化、信息化」趨勢,為了提高企業自身的競爭能力,使其在激烈的市場競爭中長期獲勝,中國鋼鐵企業急需全面引入企業資源計劃( erp )的管理理念、管理思想和管理方法,通過它達到業務重組、機構重組和管理系統重組的目的,在先進的管理手段的支持下提高企業決體系和市場運作體系的反應水平,提高企業捕捉發展機遇、市場風險的能力。
  15. For investors such as pension funds, buying a stake in a listed entity may appeal if their internal rules stop them investing directly in private - equity or hedge funds

    在退休基金這樣的投資者角度來看,如其內部投資略不允許投資于私募股本或者沖基金,買入基金的股票可以這樣的條例,另一方面也可鎖定期的風險。
  16. The risk in the project construction and countermeasure of evading

    項目施工中的風險及規避對策
  17. Risks of chinese agriculture management under world trade organization regulation and countermeasures of evading risk

    框架下我國農業經營風險和規避對策
  18. Based on the analysis, it finds out the reasons of bank credit. according to the theory and the fact, it comes up with the solutions of bank credit risk

    本文結合稠州商業銀行案例,分析當前銀行存在的信貸情況,找出產生信貸風險的原因,然後,在理論和實際操作的基礎上,提出了商業銀行信貸風險的規避對策
  19. Chapter 4, the investment in the west were rising, by the time, we should think over the bad effect bring by international company, the paper analyzed the risk of import capital, and advanced how to avoid it

    第四章,跨國公司在西部地區的投資將不斷增長,在給西部地區帶來資金、技術的同時,我們也要考慮到由此可能產生的一系列負作用,論文在分析了跨國公司給西部地區經濟發展帶來的風險基礎上提出了規避對策
  20. This dissertation analyzes the causes and effects of irrational bestseller operation by bringing literature survey, case study into exercise. besides, it discusses the countermeasures accordingly so as to promote the sustainable development of china ’ s book industry

    本文運用文獻調查法、個案分析法等研究方法暢銷書非理性運作行為的成因及危害進行了梳理與解讀,並本著促進中國書業可持續發展的目的探討了規避對策
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