exposure tools 中文意思是什麼

exposure tools 解釋
曝光工具
  • exposure : n. 1. 曝露;曝曬;揭發。2. 【攝影】曝光;膠卷[軟片]張數;曝光時間。3. (房屋的)朝向,方位。4. 商品的陳列。5. 【歷史】(嬰兒的)曝棄。
  • tools : 裝配工具
  1. Photoresist technology is the important constitute of exposure technology, high performance resolution can be attained by using high performance exposure tools with matched high performance photoresist

    摘要光刻膠技術是曝光技術中重要的組成部分,高性能的曝光工具需要有與之相配套的高性能的光刻膠才能真正獲得高解析度的加工能力。
  2. After years of research, the international federation of accountants has issued a full set of exposure drafts on accounting standards for governments. they have captured the hard - earned experiences of developed countries that have adopted the resource accounting concepts for many years. these clear and fair accounting standards have provided the modern tools to develop the next generation of international culture in public finance management

    其實國際會計師公會經多年的研究,現已向有關會員國的政府發出諮詢會計準則,引用多個已沿用資源管理會計概念resource accounting多年的先進國家經驗,希望在公共財務管理所用的會計工具方面,可逐漸建立一套清晰而又公正的現代國際標準。
  3. The risk estimation of the exposure to market risks as the risk - management ' s core, there are many risk - management models of estimating the risk of financial markets, in this paper, the author first analyses the characteristics of the current financial market risks, then makes a comprehensive systematic analysis and estimation of all kinds of risks present in financial market with the help of var ( value at risk ), a world - wide valuably and widely accepted brand - new risk management tools. finally, a substantive suggestion about the applications of var models to the financial markets risk management of our country is provided on the basis of the detailed analysis of the calculation of all kinds of var models, along with their advantages and disadvantages and also the applications. with the development and betterment of our country ' s security markets, the entry into wto and openness of financial market, financial product innovation and extensions of traditional bank off - balance business, the augmentation of market risks will surely lead to risk management innovation and identity to international standards. therefore, the research of financial market risk management signifies a lot not only in a realistic sense, also in a guideline sense. this is just where this paper aims

    針對金融市場風險管理的核心主要是對風險的測量,本文先分析了當前金融市場風險的特點,然後應用近年來在國際上受到廣泛重視並開始為大家所接受的一種全新的風險管理工具? 「在險價值」 ( valueatrisk ) var的基本思想,全面、系統地分析和測量了金融市場所存在的各種風險,並對各種var基本模型的計算、優缺點及應用作了詳細分析,最後對var模型在我國金融市場風險管理的應用提出了實質性的建議。隨著我國證券市場的發展壯大和不斷完善,及加入wto和金融市場的開放,金融產品的創新及傳統銀行表外業務的不斷拓寬,市場風險的加大必將帶來風險管理的創新並同國際接軌。所以金融市場風險管理的研究不僅具有現實意義,更具有指導意義實,這也是論文的出發點所在。
  4. Students will also gain some hands - on exposure to powerful, high - level tools for making computers do amazing things, without the need for conventional programming languages

    學生也能親手操作一些功能強大的高級工具,使電腦在沒有傳統編程語言的幫助下做出驚人的事情。
  5. What are the tools of managing your factoring exposure, i. e. advance ratio, eligibility ratio

    管理保理的風險暴露有哪些工具,如:預付比例,合格率?
  6. It has thus been demonstrated that a tiered approach at all three steps can be helpful to optimize the use of the available resources ; if relatively crude tools ? designed to provide a “ worst case ” estimate ? do not suggest a toxicologically significant exposure ( or a relevant deficit of a particular nutrient ) it may not be necessary to use more sophisticated tools

    已經證明,在所有的三個步驟中一種分層的方法能夠有效優化可用資源:如果一種相對粗糙的方法設計用來對最壞的情況進行評估沒有顯示有毒理學意義的暴露(或者某種特定營養的不足)那就不需要再使用更精確的方法。
  7. The detailed lecture notes explain a wide range of information technology concepts. students build a database, online survey, and gain exposure to a range of software tools in the assignments

    詳細的課堂講稿解釋了一系列廣泛的信息技術概念。在作業中,學生將學會建立數據庫,在線調查和使用一系列的軟體工具。
  8. The high incidence of financial instability and crisis, from the late 1990s to the present time, has spurred the development of analytical methods for the assessment of the robustness of the financial sector, its exposure to risk and its vulnerability to shocks. quantitative tools include indicators of financial sector soundness, early warning systems, sensitivity analysis and extreme scenarios ( “ stress tests ” ), and financial forecasting

    20世紀80 、 90年代以來,由於金融危機在各國的頻繁發生,特別是亞洲金融危機的爆發,金融危機更易傳染,也更具有危害性,這些都使得國際上對于各類金融部門的穩定性的數量評估方法研究迅速增加,這些數量的方法包括:金融穩健指標,早期預警系統,敏感性分析和壓力測試。
  9. In this paper, we have conducted national - scale air quality, exposure, and risk modeling for the us in the years 2015, 2020, and 2030, using similar tools and methods as the 1999 national - scale air toxics assessment

    在此篇論文當中,我們利用全國的空氣品質資料,進行美國在2015年、 2020年及2030的暴露及風險模擬,如同1999年全國空氣毒性物質評估所使用的工具和方法。
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