角度監別 的英文怎麼說

中文拼音 [jiǎojiānbié]
角度監別 英文
angular resolution
  • : 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...
  • : 度動詞[書面語] (推測; 估計) surmise; estimate
  • : 監名詞1. (古代官府名) an imperial office 2. (姓氏) a surname
  • : 別動詞[方言] (改變) change (sb. 's opinion)
  • 角度 : 1. [數學] (角的大小) angle; the degree [size] of angle 2. (看事情的出發點) point of view; angle
  1. And as g20 and g7 presidents we are committed to re - examining the strategic role of the imf and world bank for the years to come - in particular the importance of a more independent role for the imf in the vital task of the surveillance of the world economy

    作為20國集團和7國集團輪值主席,我們兩國應在今後的年里致力於不斷地檢查國際貨幣基金組織和世界銀行的戰略色-特是國際貨幣基金組織在督世界經濟這一重要職責上應保持高的獨立性。
  2. To the first question, after the logical analysis of society public goods demand and supply, state function and the publicly consigned responsibility of the government, the agent - principal relationships in government structure and the target of agency, the function of government economics in the developing process of market economics is clarified ; further analyzing in the endogenetic inevitability of supervision in government economics is made on common economic agency in corporate, the agency character of public economics, public agency in government economics and the " dual - agency " in state - owned property rights ; in the aspect of property rights, the point of interiorization of external supervision of soes is made ; in the aspect of economics, the " public benefits " and output - and - input of government supervision are analyzed

    對前一問題,分從社會公共需要與公共品供給、國家職能與政府的公共受託責任、政府組織中的委託代理關系及其代理問題的邏輯分析中,闡明了政府經濟在市場經濟發展過程的作用;從一般意義的企業經濟代理、公有經濟的代理特徵、政府經濟的行政代理、以及國有產權的「雙重代理」問題等不同側面分析了實施政府經濟督的內生必然性;並從產權提出了國企外部督的內部化機制,從經濟學分析了政府督的「公共利益」以及督的成本與收益等問題。
  3. According to the mis configuration and flows, dfmis - 1 software system has been programmed which is composed of inventory management subsystem, purchasing management subsystem and manufacturing schedule management subsystem. through studying deeply manufacturing schedule management, we find a way to make mrpii and jit be jointed together into manufacturing schedule and monitoring block. the study discusses especially how to make certain the producing period of all of component during dynamic manufacturing with methods of jit and " electronic bulletin ", how to get true capability of implementing plans in all working procedure section, and how to empower monitoring manufacturing in order to avoiding break between working procedure sections

    其中一項就是設計並實施了整個公司的網路綜合布線和計算機系統的配置;第二項是根據公司最急需的功能,從「信息流」 、 「物流」和「資金流」的,提出了相適應的mis結構和流程,據此開發出具有庫存、采購和生產計劃管理功能的dfmis - 1軟體系統,並對其中的生產計劃管理模塊進行了較深入的研究,實現了mrpii和jit在生產計劃、生產督上的結合和應用,特對利用jit及其「電子看板」在生產動態中確定零部件的生產周期、獲得各工序段實際執行計劃的能力,以及在加強生產督、避免各工序之間的脫節上做了進一步的探討。
  4. Based on the discussion of the two main platforms on which distributed enterprise applications can be built, j2ee was selected as the infrastrcture of our inspection platform. the inspection platform was designed from the usecase view, logical view and deployment view respectively. model - view - controler ( mvc ) design pattern was used in the softeware architecture design

    Net平臺的比較分析,選擇將系統測中心構建在j2ee規范之上,然後利用uml建模技術分從用例視圖、邏輯視圖、部署視圖三個闡述了系統測平臺的總體設計,整個軟體的結構基於mvc (視圖、數據和控制分離)的設計模式。
  5. One lesson from the financial turmoil is that while financial globalisation involve participants that are global, they operate in markets that are regulated by domestic rules and standards. there was a relative absence of global standards to govern international finance conducted by participants from jurisdictions at different stages of financial sophistication

    從金融動蕩的經驗中,我們學會一點,就是金融全球化的參與者雖然來自世界不同落,但參與者運作的市場各有各的本土規則,市場的發展及成熟程也有差,不過並無一套管國際金融的全球通用標準。
  6. In part three, the article firstly explains the process of using index, which is composed of collection, check back, machining and analyses. secondly it uses some indexes to analyses some cases, which is composed of basic analyses, index use, the result of control and the illumination. especially when traditional methods do not work, if we use the new system, we can find whether there is lost tax and measure how much it is, to improve the work of the control of tax resource

    一是分析稅源控指標的運用過程,包括數據的採集、核實、加工和分析四個過程:二是採用案例分析法,選取兩個具體案例分析稅源控指標的具體過程,分從單個稅源控指標的運用、一般指標和分稅種指標的綜合運用兩個,分為基本情況、指標運用、稅源控的結果和指標運用的啟示四個方面,闡述如何在傳統稅源控手段失靈的情況下,通過指標的運用,發現稅源流失的問題。
  7. As to the operating practice of sif ( ssf ), the thesis bring forwards a series of complete operating design project ; considering the high financial technical demand of sif ( ssf ), the thesis make systematic packing up and analysis on basic transaction strategy of sif ( ssf ). because of the importance of financial safety, the author pay highly attention to the latent high risk of the intensively dummy sif ( ssf ) transactions, on the ground of which, then the author put forwards with foresee the design project of risk distribution and risk control mechanism in sif ( ssf ) transactions in china

    在股指(票)期貨交易運行實務方面,提出了一套較完整的運作設計方案,希望能為股指(票)期貨交易開辦決策所參考;針對股指期貨和股票期貨的交易需要較強的金融技術支持的要求,對股指(票)交易的基本策略進行了系統的整理和分析。從金融安全的,作者非常關切高虛擬化的股指、股票期貨交易(特是股指期貨交易)所潛在的高風險特性,結合國際成熟經驗,前瞻性的提出了我國金融期貨交易的風險分擔與控制機制、管體制的設計方案。
  8. From the framework of the paper, the first and second chapters expound the basic notions and theories of the government regulation and power market ; the third and fourth chapters are the core parts, to study the entrance regulation from the angles of cost subadditivity and the workable competition, study the price regulation through contrast analysis of the investment reply rate model and the highest limit price model ; the fifth chapter reach the policy of the government regulation in our power market : rule by law is the marrow, the independent regulation organization is the key point, the clearance of property rights is the guarantee

    從結構上看,論文的第一、二章首先對政府規制和電力市場基本概念與基本理論進行論述;第三、四章是本論文的核心部分,從成本弱增和有效競爭的對電力市場的進入規制進行探討,通過投資回報率模型和最高限價模型之間的比較分析對我國電力市場的價格規制進行研究;第五章得出我國電力市場政府規制的政策導向:法治是電力管的精髓,獨立的管機構是電力管的關鍵,產權清晰是電力管的保障。
  9. The first section : cross - border issuing and listing of securities, its legal characteristic, regulations and rules involved. the second section : some private law issues with regard to cross - border issuing, including legal status of issuers, methods of listing, corporate governance ; class rights and minority protection, conflict and application of laws, etc. the third section : legal supervision on the cross - border listing and the international regulatory cooperation. the last section : based on the analysis of the legal systems of developed securities market, international practice and the review of prc oversea listing system, the reformational and legislative proposals on the prc oversea listing system and international regulatory cooperation pattern are given in the paper respectively

    本文具體包括四個部分:第一部分主要探究跨境證券發行與上市及其法律特點和所涉及的法律規則;第二部分從私法的,對跨境證券發行與上市中所面臨的幾個核心和熱點法律問題進行了研究,主要包括發行人的主體資格、發行與上市的方式、公司治理問題、類股與類股東保護,以及法律沖突與法律適用等問題;第三部分從公法的視,就跨境證券發行與上市的法律管及國際間的合作進行探討;第四部分在考察我國現行的海外上市制的基礎上,筆者根據我國的實際情況和從發展的,就我國海外發行與上市制所存在的問題及其完善、我國如何參與國際管合作等提出了初步的意見和建議。
  10. Then it discussed the causes of the change from the separation financial mode into the universal financial mode. author respectively analyzed this change from two perspectives - - the " functional finance " and the " institutional change model " of new institutionalist economics, pointed out the advantages and disadvantages of the two financial modes, and then introduced the operation frameworks in the universal financial mode and adjustments of the financial supervision

    接著分析了從分業經營轉向混業經營的原因,分從金融「功能觀點」和新制經濟學「制變遷」兩個剖析混業經營現象,比較並總結了兩種模式的利弊,並介紹了混業經營的模式和金融管模式的相應調整。
  11. And then, after the analysis of strengthening the internal control system in chinese corporation businesses, the article expounds the internal control from the angles of business administration. because of the double - arrangement of internal control in chinese businesses, thus is. the internal control with both the owner ( stockholder ) and the manager as the mainbody, and of the fact that the internal control is usually manipulated by the manager in practice, the internal control of the first arran gement should be externally manifesped so as to achieve the special control effect with the aid of external control procedure. meanwhile. the optimization of capital structure should be paid attention in the internal control of corporations due to the close relationship between the internal control and the capital market. finally, the thesis suggests that the corporation internal control make the whole and the single design based on the frame of the internal control system, proposes the feasible counter - measure perfecting the internal control of corporation business consists of the standard system of internal control formulated by the government department and the compulsory internal control audit

    在此基礎之上,針對我國公司制企業加強內部控制的必要性分析,從公司治理的闡釋企業內部控制,由於我國公司制企業內部控制具有雙層性,即以所有者(股東)為主體的內部控制和以經營者為主體的內部控制,且實踐中內部控制為經營者所操縱,應將第一層次的內部控制外部化,藉助外部控製程序達到其特殊的控制效果;同時,根據內部控制與資本市場之間的密切關系,公司內部控制建設必須關注資本結構優化問題。對於我國公司制企業內部控制構建,應以內部控制框架為基礎,具體從整體和單項分設計內部控制制。最後,本文提出我國公司制企業內部控制的完善應從兩方面入手:一是由政府管部門制止內部控制標準體系,二是對內部控制審計作出強制性的安排。
  12. Thirdly discussed financial system individually and against risk from department system, defined aspects about modem enterprise financial system such as establishing group control center of finance, chief office of finance, group partial financial report

    第三,根據企業集團財務活動的復雜性和重要性,將企業財務制單獨闡述,從部門制防範風險。對現代企業財務制中的幾個方面,如建立集團財務控制中心、財務總制、企業集團分部財務報告法等分論述。
  13. We wi1l research the invest channel of life insurance company through the economic way avoiding the government limited po1icy. firstly, we ' 1l study the special feature of life insurance fund and its relationship between life insurance investment

    本論文僅從經濟學,避開政府管政策,採用歷史、統計、理論聯系實際的方法,探討我國保險公司,特是壽險公司投資方式的選擇。
  14. From an architectural standpoint, glassbox inspector is similar to many performance monitoring systems, although it is distinguished by having well - defined modules that implement the key monitoring functions

    從架構的來看, glassbox inspector與許多性能視系統類似,區在於它擁有定義良好的實現了關鍵視功能的模塊。
  15. In this essay, firstly the author analyzes the predictability of time series from china ' s stock exchange using three kinds of methods : arma model, neural network model and non - parametric estimation and gives evaluation on their performances while at the same time puts forward some conclusions deserving attention from both stock exchange supervising department and stock traders. secondly, the author examines the assumptions closely on which the above - said methods base and gives a detailed discussion on them, especially using garch model to test quantitatively the stability of china ' s stock exchange, afterwards drawing the conclusion that it is hard to make accurate prediction of price or return rate of china ' s stocks for none of the assumptions fully holds ground. thirdly, taking account of the difference between chinese stock traders as a whole and that of developed countries, the author gives a thorough analysis on the complexity and volatility of its ( traders " ) reaction to information and points out that the intrinsic heterogeneous and volatile reaction to information is an important reason for the almost unpredictability of the price or return rate in china ' s stock exchange

    本文首先採用arma模型、非參數模型以及神經網路模型對我國股市時間序列進行研究,對三種方法在分析我國股市時間序列的表現進行評價,並得出了一些對管部門以及股票交易者有借鑒意義的結論;其次作者對三種模型分析我國股市時間序列的前提進行了討論,特是利用garch模型對我國股市的系統穩定性進行了量化檢驗,得出了前提難以滿足導致準確預測我國股市價格或收益率困難的結論;第三,考慮到中國股市股票交易者群體與發達國家股市股票交易者群體之間的差異,作者借用行為金融學的理論成果對我國股票交易者對信息反應的復雜性和易變性進行了詳細分析,指出股票交易者對信息反應的異質性和易變性是造成難以準確預測我國股市的一個重要原因,考慮到我國股市以散戶為主導的特性將長期存在,因此將行為金融學的研究結論納入對我國股市時間序列的量化研究具有重要的意義;最後,作者從唯理預測與唯象預測之間差異的出發,指出了唯象預測的缺點並對我國股市時間序列的研究方向進行了展望。
  16. Paper has first given its much angle and the mathematics definition of reality ammunition index number on the basis of elaborating the accident reality ammunition meaning of authorized strength of index number to evaluate the effect of prison pipe safe overall condition ; secondly for the specific statistical technology of the reality ammunition index number of authorized strength, do relatively detailed introduction, include the circle of prison safe accident to gather, accident type and rank surely with data to distinguish, data arrange to describe, the collection that accident divides into to worth, accident seasonal change analysis, various authorized strength of reality ammunition index number with reality certificate ; show clearly construction prison safety finally in advance systematic route

    摘要首先在闡述編制事故實發指數意義的基礎上,給出實發指數的數學定義及其多評估管安全整體狀況的作用;其次就編制實發指數的具體統計技術進行較為詳盡的介紹,包括管安全事故的界定與數據採集、事故類型與級區分、數據的整理描述、事故分值的匯總、事故的季節變動分析、各種實發指數的編制與實證;最後指明建設管安全預警系統的路徑。
  17. The integration of wireless acceleration sensor for structural global monitoring, the integration of wireless strain sensor for structural local monitoring, their corresponding network ’ s topological strucuture, the network ’ s communication protocol, saving energy and the network ’ s experiments are studied systemly, the main contents include : 1. for strucutal global monitoring, the electronics components are compared, anlysysed and seleced. on this base, the design modulization method is used for designing and debugging sensing disposal module, micro - processing module, wireless transceiver module and power module, and thus a wireless acceleration sensor node with digital interface is integrated using the above modules

    本文在充分研究傳感技術、信號處理技術、無線通信技術的基礎上,針對土木工程結構整體性態測的無線加速傳感器集成、結構局部性態測的無線應變傳感器集成以及相應的無線傳感器網路拓撲結構、網路通信協議、網路能耗處理、網路試驗等問題進行了系統的研究,主要研究內容如下: 1 .針對結構整體性態測的需要,從設計的小型化、低功耗、低成本、高可靠性出發,對相關電子器件進行了比較、分析、選擇;在此基礎上,採用模塊化設計方法,對傳感處理模塊、微處理模塊、無線收發模塊以及能源模塊分設計、調試,進而集成了基於數字介面的無線加速傳感器節點。
  18. It focuses on the problems of obsolete management of the stated - owned asset, the disagreement of accounts and realities, the existence of asset not recorded in the accounts, the delaying of financial planning, the lack of argument of investing, and its supervision

    著重研究了國有資產管理體制陳舊;帳實不符,帳外資產大量存在;財務計劃滯后,投資缺乏可行性論證,事後缺乏跟蹤督等。分從有形資產和無形資產兩個提出了有效地管理措施及運行機制。
  19. This paper firstly introduce and analyze the profit mode of civil commercial banks ' business of credit card, then analyze how to manage the risk of business of credit card of civil commercial banks in the direction of the risk factor affecting profit and cost, and propose that the level of risk management can be enhanced by dividing goal client base strictly, perfecting system of customers service, monitoring information of customers and performing rational management of raising fund

    摘要本文首先對我國商業銀行信用卡業務的盈利模式進行介紹分析,然後分從影響利潤和費用的風險因素的對我國銀行信用卡業務的風險管理進行分析,提出現階段可以通過嚴格劃分目標客戶群、完善客戶服務體系、對客戶信息進行實時督、採取合理的籌資管理等途徑來提高我國商業銀行信用卡業務的風險管理水平,進而縮小我國銀行業信用卡業務與外國銀行業信用卡業務的差距。
  20. As regards the necessity of finance regulation, different schools explain it from different angles

    對于金融管的必要性,不同理論派有不同的分析和解釋。
分享友人