進度績效比率 的英文怎麼說

中文拼音 [jìnxiào]
進度績效比率 英文
spr
  • : 進構詞成分。
  • : 度動詞[書面語] (推測; 估計) surmise; estimate
  • : Ⅰ動詞(把麻搓捻成線) twist hempen thread Ⅱ名詞(功業; 成果) achievement; accomplishment; merit
  • : Ⅰ名詞(效果; 功用) effect; efficiency; result Ⅱ動詞1 (仿效) imitate; follow the example of 2 ...
  • : Ⅰ動詞1 (比較; 較量高下、 長短、距離、好壞等) compare; compete; contrast; match; emulate 2 (比...
  • : 率名詞(比值) rate; ratio; proportion
  • 進度 : 1. (工作進行的速度) rate of progress; rate of advance 2. (工作進行的計劃) planned speed; schedule
  • 績效 : performance appraisal
  • 比率 : ratio; proportion; rate比率計 ratio meter
  1. Then, the paper compares the characteristics of pegged exchange rate regime, free float exchange rate regime, and the regimes intervenient from the aspect of trading, policies, economic development, etc. the paper studies the effects of exchange rate regimes on macroeconomic in the different de jure and de facto classifications of regimes ; analyses factors affecting the selection of exchange rate regimes, and emphasizes on the capital mobility factor

    文章概括了匯研究的不同視角並以此為基礎選定了本文的研究角,然後從貿易、政策、經濟發展等角較了固定匯和浮動匯的特點,並對介於兩者之間的各種匯的特徵行了較。接著,從匯名義分類法和事實分類法等角研究了各種匯對經濟的影響。
  2. This thesis use the application of the text analysis method, system method, comparison method and other research method, and clarify the two important manner and the three important ways of the human resource integratation in modern enterprise. meanwhile it use the cost - income model, and analysis the efficient choice of text on human resource integratation in modern enterprise from economic angle

    本文運用實證分析方法、系統方法、較方法等研究方法,闡明了現代企業人力資源整合的方式和途徑。本文還運用成本?收益模型,從經濟學的角分析了企業行人力資源整合測評的選擇。
  3. The research on the incentive mechanism, whose difficulty and stress focuses on the design of the compensation mechanism, includes the proportion of the salary, bonus, stock option and selection of the target of firm performance, etc. because of the flaws in the marked mechanism and corporate governance in our country, we need think more over, such as the object of the applied, stock option and the internal & external environments in the design of the soe operator ' s annual salary system

    從國外在該領域的研究成果來看,目前經營者年薪制設計的難點和重點集中在報酬結構的設計,即工資、獎金、期權收入的設計及例、經營者業考核指標的選擇、激勵強的實證分析和信息揭示的研究等方面。我國由於在市場競爭機制、公司內部法人治理結構、法律環境完善等方面存在缺陷,使得國有企業經營者的報酬設計除了上述各方面外,還須對經營者年薪制的實施對象、期權設計、內外環境行分析。
  4. Ttis paper wil1 give us an easy and opened way to evaiuae a channl stratgy in consumer goods marketing field by analyalng and combining the theories ofchannl and channl evaluaion. five indexes, naxnd as the growth rate, the comprehensive markehng shar, the average reward and investinent rate of accouns, the channel cost and the trade satisfacion are chosen to evaluae the whole channel strategy. ms five indexes are most importan to consumer goods indusny

    本文結合通路理論並借鑒通路評價理論,提出了消費品通路策略評價方法,它是一個開放式的系統,採用了消費品行業中非常重要的五個指標,它們是:成長、綜合市場佔有、經銷商投資報酬、通路成本占銷售額以及顧客滿意,還可根據製造商的期望加入其他指標,通過對這幾個指標在通路策略評價期末完成狀況與期初設定目標值的較,將通路策略在評價期內的行了完全的量化和分析。
  5. Then, this paper empirically tested the validation and predictive accuracy of different var risk management model in the domestic financial market. finally, with the analysis of modem financial risk management development trend and the current domestic financial risk management situation, this paper made a prospect for the application of this model in the construction of domestic financial risk management system. through the analysis, the main conclusions are as follows : ( l ) the traditional mean - variance model is the special example of the portfolio selection based on the var risk management model for the case that the returns of the portfolio are assumed to be normally distributed ; compared with the mean - variance model, the var risk management model is more comprehensive and accurate in the measurement of the portfolio risk, so based on the var model, the investors can allocate the asset more effectively. ( 2 ) the var risk management model can provide the timely and comprehensive risk information for the top risk manager, so it is very helpful to the improvement of total risk management efficiency. ( 3 ) based on the var model, the raroc performance valuation approach can reflect the real performance of the portfolio manager and provide the coherent standard for the allocation of risk limitation and the construction of the incentive compatibility constraint mechanism in the financial instiutions

    通過研究分析,本文主要得出如下結論: ( 1 )傳統的markowitz均值? ?方差模型僅僅是在資產組合收益正態分佈假設條件下基於var風險管理模型行資產組合選擇的特例,與均值? ?方差模型中的方差風險量方法相, var風險管理模型能夠更全面、更貼切地衡量資產組合的風險,且基於此模型能夠更有行資產配置決策; ( 2 ) var風險管理模型能夠滿足更高層次風險管理者對風險信息的需求,有助於整體風險管理的提高; ( 3 )基於var風險管理模型的raroc評價能夠反映資產組合管理人的真實業,從而為金融機構風險限額的分配和激勵約束機制的制定提供統一的標準; ( 4 )國內證券市場資產組合收益服從正態分佈的假設明顯不成立,實證檢驗表明基於資產組合收益正態分佈假設條件下的方差? ?協方差模型對國內資產組合風險的預測存在較大的偏差,由於文中證明在收益正態分佈假設條件下基於方差? ?協方差模型行資產組合選擇的結果等價于markowitz的均值? ?方差模型,因此,均值? ?方差模型對國內資產組合風險的預測同樣會存在著較大的偏差,而半參數var風險管理模型則能夠取得較好的預測衡量果; ( 5 ) var風險管理模型符合未來金融風險管理的發展趨勢,基於var風險管理模型建立內容提要風險限額內控體系、風險信息披露體系和業評價體系,並行金融監管,將有助於國內金融機構內部風險管理方法和外部監管技術跟上國際金融風險管理的發展潮流。
  6. Taking xiaoshan, tonglu and longyou of zhejiang province as cases, this paper gives a comparative analysis to system performance from fairness, efficiency and availability of the nrcms, thus provide the reliable basis for further consummated the nrcms

    通過以浙江蕭山、桐廬及龍游3縣(區)新型農村合作醫療實踐經驗為個案,著重從公平性、性與可及性3個方面對新型農村合作醫療制較研究,從而為一步完善新型農村合作醫療制提供了現實依據。
  7. Abstract : by comparing our long jumpers with foreign athletes, the author thinks that the only way to improve the performance of long jump is to increase the ho rizontal velocity and decrease the loss ratio of velocity

    文摘:通過對中外跳遠運動員的對分析發現,中國運動員只有在加大水平速的同時,一步減少其速的損失才能更有地提高跳遠成
  8. Chapter three, the traditional indexes in performance appraisal of investment funds, such as original earning rate, jensen index, sharpe index and treynor index have been studied in comparison. semi - risk adjusted earning rate, m2 measure index and vavoc index etc. are improved performance appraisal indexes, and have been introduced

    通過對投資基金評價的傳統指標:原始收益、詹森指數、夏普指數、特雷諾指數的較研究后,討論了下側風險調整收益、 m ~ 2測指數、 vavoc指標等主要的改指標。
  9. At the basis of this interpret, the text makes a thorough study of economic efficiency of three types of mergence. ( such as horizontal merger, vertical merger and conglomerate merger ). in macro level, the rationality of m & a and its products lies in scale economics and also lies in reducing relevant costs & diversifying operation risk, etc. it sets forth good results of mergence to mechanism adjustment of production construction in detail

    然後,從企業的不同層面具體分析企業並購之動因,對橫向並購、縱向並購和混合併購等三種形式的經濟行深入的較研究,認為橫向並購可獲得規模經濟,在有限理性的環境下縱向並購可以降低交易費用,而混合併購可達到組合應和降低經營風險的目的。
  10. In this dissertation, we establish an overall framework to study comparatively the difference of operations between chinese security funds and american mutual funds. from the view of comparative study, we analyze the form and organization of funds, the environment ( market efficiency and government interference ) in which funds operate, the investment strategy, performance evaluation and performance persistence. we conduct theoretic and empiric research and find some major difference of operations between chinese security funds and american mutual funds

    本文建立了對中美證券基金運作較研究的整體框架,從較研究的角,對中美基金的運作組織形式、運作環境(市場和政府干預)對基金運作的影響、基金的投資戰略、基金的業評估和基金的業持續性等方面行系統的理論分析,揭示了中美兩國基金的運作差異及原因,為我國的基金業發展提供了有益的借鑒。
  11. Proceeding with the industry ' s market structure, re source allocation efficiency, grade of technical progress and level of market opening, the indicator system for evaluating the market performance of auto industry is abstracted. the market performance by using borda method is analyzed with actual examples, thus concluding that compared to the developed country the gap of the market performance with our auto industry is being gradually widened

    論文從產業的市場結構、資源配置、技術步程、市場開放程入手,提煉出評價汽車產業市場的指標體系,並運用模糊borda數法對我國汽車產業的市場行了實證分析,指出我國與國外發達國家的汽車產業相,市場差距還在逐步拉大。
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