避和 的英文怎麼說

中文拼音 []
避和 英文
counteract
  • : 動詞1. (躲開;迴避) avoid; evade; dodge; seek shelter; shun; flee 2. (防止; 避免) prevent; keep away; repel
  • : 和動詞(在粉狀物中加液體攪拌或揉弄使有黏性) mix (powder) with water, etc. : 和點兒灰泥 prepare some plaster
  1. Bioactivities of extracts from croton tiglium against sitophilus zeamais

    9種植物精油對玉米象成蟲驅避和種群抑制作用
  2. Zhejiang industry gathering risk elusion and sustainable growth ' s countermeasure research

    浙江產業集群風險規避和持續成長對策研究
  3. He tried once again to evade the peace terms.

    他再一次努力迴避和約條款。
  4. " humph, " said morcerf, " this is the second time you have refused to dine with my mother ; it is evident that you wish to avoid her.

    「哼! 」馬爾塞夫說道, 「您迴避和家母一起吃飯這已經是第二次了,您顯然是想躲開她。 」
  5. The effect of antifeedant and growth inhibition of crude extracts of ginkgo biloba l. against the diamonback moth, plutella xylostella l

    銀杏葉粗提物對小菜蛾的拒避和生長發育抑制作用
  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研究其發展策略,有利於對此類問題的進一步深化擴展;從商業銀行中間業務不斷發展的角度來研究風險規避和防範等問題,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. Eighthly, on the basis of the agent ' s risk share model in holmstrom and milgrom, the risk evasion and the effect of the staff ' s property on risk share was studies, and the reasonable risk share proportion on the staff under risk evasion and property restriction was analyzed, and the effective environments for different restrictions was probed into further

    在文獻m與milg m的代理人風險分擔模型的基礎上,基於企業與員工的風險規,研究了風險規以及員工資產對風險分攤的影響,分析在風險規避和資產約束條件下員工合理的風險分攤比例,並探討不同約束的生效環境。
  8. 5. the ministry of labor and social affairs has adopted a policy of equal access to services and

    恰恰相反,這是一項延續了12年的、逃避和欺騙政策的一部份,是由伊拉克政權最高層制定的政策。
  9. Bioactivities of extracts from acorus gramineus soland against sitophilus zeamais motschulsky

    石菖蒲提取物對玉米象的驅避和觸殺作用
  10. Avoidance and control can ' t keep our hearts from falling, or cushion the landing

    避和控制都不會讓我們的心不」下落「 ,也不會起到」著陸「緩沖作用。
  11. Moreover, harry ' s tendency to bypass or simply flout the rules is a matter of moral concern for him : he wonders and worries about the self - justifications he offers, and often doubts not just his abilities but his virtue

    此外,哈利常被自己規避和無視校規這樣一個道德上的問題所困擾:他懷疑擔心那些自我辯解之詞,常常不只懷疑自己的能力,更懷疑自己的本質。
  12. In the procedure of combining into chinese rule of law, it had suffered all kinds of trouble, for example, try out the law, policy replace the tax law, confer the power of legislation etc. the problem in tax law explains such as administration power is too serious, the explain ownership is too misty, the effect is at will, in the tax law being put into practice, such as revenue from tax according to plan, reduce tax - free handles, the contradiction between tax and fee etc. reflect the distance between the ideal and the realistic

    在移植並鍥入到中國的法治化進程中,遭遇了種種規避和背離、錯位與隨意、變通與沖突的困境,如稅法制定中的法律試行、法律政策化授權立法問題,稅法解釋中的行政權力色彩濃厚、解釋主體歸屬模糊、解釋的效力隨意問題,稅法實施中的稅收計劃、減免稅處理、稅費之爭問題等,一程度上反映了稅收法定主義理想與現實之間的距離。
  13. 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

    商業銀行面對許多風險,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,對資金要統一規劃管理;要改革銀行的體制,建立現代企業制度法人治理結構,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策工具,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;續續優化負債結構負債載體設計;增強資金信用風險規避和化解的措施;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。
  14. Once a certain threshold is reached, either through one or two very traumatic events or through chronic, high levels of stress, adults and children can begin to exhibit ptsd symptoms such as re - experience ( including flashbacks, intrusive thoughts or nightmares ), avoidance and emotional numbing, and physiological hyperarousal ( such as an elevated resting heart rate )

    一旦經受一項或兩項創傷性事件或慢性高水平應激后達到某個閾限,成人兒童便開始出現ptsd的癥狀如再體驗(包括重現、侵入性思維或夢魘) 、迴避和情感麻木,以及生理的高覺醒狀態(如靜止時心率加快) 。
  15. To research the risk of responsibility in their work has great importance for both the risk managers and the cost engineers to avoid and control the risk

    研究造價工程師在執業過程中承擔的風險,對風險管理人員造價工程師如何規避和控制風險具有十分重要的指導意義。
  16. Behavior finance is based on the suspicion of the hypothesis about rational prospect, risk evasion and maximum utility in the modern classical financial theory

    摘要行為金融學是在質疑經典金融理論關于投資者具有理性預期、風險迴避和效用最大化的行為特徵的前提假設中產生的。
  17. But the risk might be dodged and focused through the anticipation operation - - focus the settlement of exchange rate through the forward settlement of exchange, to get away from exchange rate risk

    但風險可以通過事前的操作予以規避和鎖定? ?通過遠期結匯來鎖定結匯匯率,規匯率風險。
  18. 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,並從銀行角度分析,如何通過自身的變革創新規避和控制風險。
  19. All my attempts to question the authorities on the subject were met by evasion and prevarication

    我就這個問題質問權威的一切努力均被迴避和搪塞。
  20. In the course of the design of trajectory optimization, we adopt the improved adaptive genetic algorithm. first, the route planning problem is converted into the restricted short - cut problem and dijkstra algorithm is used to get the rough optimized trajectory which makes terrain avoidance and threat avoidance effectively. then, the adaptive genetic algorithm is used to optimize the reference trajectory

    對于航跡優化問題,採用了改進自適應遺傳演算法,首先把航跡規劃問題轉化為受約束的最短路徑問題,並採用狄克斯特拉演算法得到可以進行地形迴避和威脅迴的粗略優化路徑,然後利用改進的自適應遺傳演算法對粗略優化路徑進行優化,得到優化航跡。
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