規避角 的英文怎麼說

中文拼音 [guījiǎo]
規避角 英文
avoiding speed
  • : 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
  • : 角Ⅰ名詞1 (牛、羊、 鹿等頭上長出的堅硬的東西) horn 2 (古時軍中吹的樂器) bugle; horn 3 (形狀像...
  • 規避 : (設法躲避) evade; dodge; avoid; set around; escapism
  1. The author tries to study on the problem not only from the angle of city planning and design, but also uses fruits of other subjects for reference in order to explore scientific policy. the scribe looks on the dwellers as study objects, discusses how they adapt themselves to the circumstances and the role they play, to avert hylic attitudes towards study

    作者試圖不僅從城市劃、建築設計等方面來改善住宅質量,更借鑒其他學科的成果,探索符合經濟律的優惠政策計劃,同時也將居住者本身作為研究對象,對其生存方式、對城市環境的適應與調整、在建設過程中的色進行了論述,以免研究工作只見物不見人。
  2. With the ways of our countrys criminal litigation court trials changing from inquisitorial proceedings to adversary procedures and the progressing of the criminal jurisdiction reformation, discovery is becoming an unavoidable issue in criminal litigation in our country. in practice, many jurisdictional authorities in our country have tried to explore and try it since 1999. this article, through comparing the discovery system among britain, america and japan, through analyzing the present actual situation of our countrys criminal litigation and from the aspects of the litigation modes, jurisdiction justice and the necessity for deepening the reformation of criminal trials, has proved that it is necessary and emergent in practice and applicable in theory to establish the discovery regime in our country

    隨著我國刑事訴訟法庭審判方式由審問制向對抗制的轉變和刑事審判方式改革的進一步深化,證據展示便成為刑事訴訟中的一個不可迴的問題,實踐中不少司法機關從1999年始即已進行了證據展示的探索和嘗試,本文從英美日國家的證據展示制度的定和比較入手,通過對我國刑事訴訟運作現狀的分析,從刑事訴訟模式、訴訟公正價值觀和深化刑事審判方式改革的度,論證了證據展示制度在我國的建立具有現實上的必要性、緊迫性和理論上的合理性,並在此基礎上對證據展示的主體、責任、內容作了理論上的探討研究。
  3. The chairman jan. gesmar - larsen of dell ltd. that developed by the net - sell ever said that, the market rule of the elec - business time is not ever " big win small " but " quick win slow ". as far, the internet business develops quickly, every aspect of the social is impacted by the net tide. that first in and takes this field presents survival and development. the bank as the high - teck company will be impacked by the net business heavily, at the same time will fuse into and affect the net business and people ' s life. at the net business time, berween the different financial institution, between the financial institution and unfinacial institution, the limit is going to be faintaess, the amalgamation trend of the financial serve is building the foundation stone of " big business "

    Gesmar - larsen曾經說過,電子商務時代的市場則不再是「大吃小」而是「快勝慢」 。在網際網路經濟高速發展的今天,社會的各個方面和落都在經受網路大潮的沖擊和洗禮,搶先進入和占領網路這一領域就代表著生存和發展,銀行作為知識密集型企業不可免地受到網路經濟的強大沖擊,同時又以自身的金融特點融入並影響著網路經濟和人們的生活。網路經濟時代,不同金融機構之間、金融機構和非金融機構之間的界限趨于模糊,金融服務的融合趨勢正在構建「大金融」的基石。
  4. Finally, the author advices to perfect culture environment for economic growth and culture risk - averse from the point of culture creativity, and expounds the relation between culture and economic growth, analyses the economical behaviour of culture in resource exhausted cities, points out the culture choice for the economic renaissance in resource exhausted cities - to reinforce the demonstrative function of the economic growth point, and to raise measures for culture creativity

    最後,從文化創新的度去完善經濟增長點培育過程中的文化環境,文化風險,闡述了文化與經濟發展的關系,分析了資源枯竭地區文化經濟行為,指出資源枯竭型地區經濟復興的文化選擇? ?加強經濟增長點生成的示範導向,提出培育創新文化措施。
  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度對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對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策略之間的制度安排;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,針對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:比較系統地對商業銀行中間業務進行界定和研究其發展策略,有利於對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,以期對我國商業銀行中間業務的發展有所裨益。
  7. From the point of risk - averse, the conclusion of this paper enriches the studies of investment environment construction for the education of point of economic growth in resource exhausted areas, and is of realistic directory signification for the education of point of economic growth in resource exhausted areas

    本論文的研究從風險規避角度豐富了資源枯竭地區經濟增長點培育過程中的投資環境建設問題,對于資源枯竭地區政府培育新的經濟增長點具有現實指導意義。
  8. Second, the uncertainty of the relation between education and employment can be represented by some criteria such as graduates " employment rate, educational benefit dispersion grade, and the level of overeducation occurrence rate. third, personal choice, school, work - force market and work place are significant factors that affect the uncertainty of the relation between education and employment. fourth, in a society of market economy, the uncertainty of the relation between education and employment is a " sword with double blades ", thus it is necessary to avoid the disadvantages of the uncertainty of the relation between education and employment from the perspective of institutional layout

    教育模擴展和市場機制的共同作用,使得教育與就業之間也存在著不確定性; ( 2 )教育與就業關系的不確定性可以通過畢業生就業率高低、教育收益離散程度、教育過度發生率高低等指標來進行表徵; ( 3 )個人選擇、學校、勞動力市場和工作場合是影響教育與就業關系不確定性形成的重要因素,貫穿在教育與就業發生關系的全過程; ( 4 )在市場經濟社會,教育與就業關系的不確定性是一把「雙刃劍」 ,因此有必要著重從制度設計的度,對教育與就業關系的不確定性進行; ( 5 )當前我國教育與就業關系的不確定性也開始顯現。
  9. 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度來看,如其內部投資策略不允許投資于私募股本或者對沖基金,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。
  10. From the point of characters of the life insurance funds, part ivinquires into how to set up scientific and reasonable and efficient investing tactics, so as to evade hazard of investment and increase the investing profits

    第四部分從壽險資金的性質這一度出發探討如何制定科學、合理、高效的投資策略,以達到投資風險,提高投資收益的目的。
  11. From the point of view of attack - defense of tactical ballistic missile and aircraft carriers and through analyzing the mobile area and scouting early warnings and mobile evading capability of aircraft carrier the tactical ballistic missile ' s optimum attack tactics and aircraft carrier ' s defense tactics were made

    摘要從常彈道導彈與航空母艦攻防對抗的度出發,通過對航母機動區城及偵察預警、機動能力的分析,確定了雙方的最優攻防策略。
  12. Secondly, from the bank ’ s angle, i try to find some ways to avoid and control the risks derived from the fluctuation of real estate industry by the bank ’ s reform and innovation. this paper follows these clues with questions below : ( 1 ) what ’ s role do banks play in the real estate price formation ? ( 2 ) what determinants do the real estate loans depend on

    本文試圖從「房地產信貸風險如何形成」這一問題出發,結合國外對于房地產泡沫理論的研究,分析房地產市場、銀行信貸市場、監管者以及消費者等各參與方的行為,試圖找出銀行在發放房地產貸款過程中導致信貸風險積累的環節,並從銀行度分析,如何通過自身的變革和創新和控制風險。
  13. According to such an idea as bringing forward problems, analyzing problems, solving problems, the article generally speaked the beginning, development and conception of crm theory, then the author analized the material crm actualization process of a small - middle - sized enterprise, tuojin computer intergration limited responsibility corporation, from the abundant risk factors the enterprises encountered, the author summed up the key factors that may affect the crm, then discussed the factors, investigated them and gived the solve ways that can elude the corressponging factors, finally the author gived the performance assess and the actualization primarary effection

    本著提出問題、分析問題、解決問題的思路,本文在綜述客戶關系管理產生、發展及概念的理論基礎上,通過對一家中小企業? ?拓金計算機集成有限責任公司crm的具體實施過程進行分析,從企業所遇到的影響crm實施的大量因素中歸結出影響crm成敗的關鍵因素,隨后從管理的度對這些關鍵因素進行深入探討、研究並提出了相應風險的解決方法,最後給出企業實施crm的績效考核標準、 roi分析以及企業實施crm的初步效果。
  14. On the subject of prevention of risk is base on the economic view point, and not on human resource, operation or cooperates planning

    我們為您建議的風險方案是站在防止經濟損失度提供的,並非人力資源、操作流程或企業管理方面的。
  15. First, the conception, characteristic and classification of risk are summed up, the risk of engineering investment project and the theory of risk analysis are introduced and the function of risk evaluation is pointed out ; secondly, risk factors are analyzed particularly from the perspective of the system and the source of risk, the direct action body of risk, the influence of goal which made by the risk and the process of project management separately ; thirdly, after the risk identification, the investor must make evaluation whether the investment is successful or not and take measures to avoid the risks according to it

    本文首先對風險的概念、特徵以及分類進行歸納總結,並介紹工程投資項目的風險以及風險分析的理論,指出風險評價在工程項目投資中的作用;然後分別從系統度和風險來源、風險直接行為主體、風險對目標的影響、項目管理的過程多個度對工程投資項目的風險因素進行具體分析;在對工程投資項目風險因素進行辨識之後,投資者面臨某一投資項目,要對投資成功與否做出評價,並以此為依據對風險採取措施。
  16. Therefore the modern economist has done the thorough research to the financial crisis theory in view of the financial crisis in asia, has developed the theory, mainly manifests for the third generation finance crisis theory ? moral hazard theory and asymmetric information theory

    從「信息」和「制度」度詳細分析亞洲金融市場信息弱化的原因及影響,對亞洲金融市場的制度改革和金融風險的防禦提供思路,並結合我國金融市場信息弱化的實際情況,對我國金融市場道德風險的解決和金融風險的提供經驗。
  17. The author proposes that economic growth should be cultured by the evasion of risks that investors ca n ' t bear, and by setting up a risks diversification mechanism for investment operation, and that the setting up of areas creativity system is a effective way to promote the development of risk investment and economic

    文中提出要從超過投資主體承擔能力的投資風險的度去培育經濟增長點,確立風險投資運行過程中的風險分散轉移機制,指出建立區域創新系統是促進風險投資發展和經濟增長點培育的有效途徑。
  18. In view of the perspective of the owner, evaluation and analysis are made on the risk factors in every stage of bidding process, and appropriately implementary countermeasures are put forward, so as to accomplish the objectives of controlling, evading and reducing risks

    從業主方度出發,對招投標過程各階段的風險因素進行了評價分析,提出了相應的實施對策,以達到控制、和降低風險的目的。
  19. Therefore, this essay emphasizes the government and its action, analyzes how the irrational government action brings about the risk ’ s forming and accumulation and offers new ideas and perspectives for studying the chinese bank - industry risks to precaution

    因此,本文選取政府及政府行為作為問題研究的著力點,分析了非理性政府行為是如何直接或間接誘致了銀行業風險的形成,為研究中國銀行業的風險防範與提供了新的思路和視
  20. How to avoid such a low, homogeneous competition, reduce the waste of resources, improve the level of competition, and promote the orderly development of the various local economies are the research focuses of this article. based on the results of predecessors, using strategic management, regional economics and game theory and other relevant theories and the perspective of competitive advantages, confrontation and cooperation in the context of local government in attracting foreign investment in horizontal competition for theoretical and empirical analysis, the study attempts to get some useful enlightenment and policy recommendations, thus to a certain extent, avoid industrial convergence, as well as other short eyesight activities

    如何免低水平、同質化的競爭和資源浪費,提高競爭水平,促使各個地方經濟協調有序地發展系本研究關注重點,基於前人的成果,研究試圖以戰略管理、區域經濟學及博弈論等相關理論為指導,從競爭優勢,對抗與合作的度對地方政府在吸引外資中的橫向競爭行為進行理論和實證分析,以期得到有益的啟示和政策建議,從而在一定程度上各地產業趨同,以及以土地價格和稅收換取資金的短期行為。
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