general net theory 中文意思是什麼

general net theory 解釋
廣義網論
  • general : adj (opp special)1 一般的,綜合的,通用的。2 普通的,廣泛的,通常的。3 全體的,總的;全面的,普...
  • net : n 因特網。 supply Net services 提供因特網服務。 n 1 網,網眼織物,(花邊的)織物。2 網狀物,網狀...
  • theory : n. 1. 理論,學理,原理。2. 學說,論說 (opp. hypothesis)。3. 推測,揣度。4. 〈口語〉見解,意見。
  1. It is necessary to optimize and perfect mathematics structures in mid - school mathematics teaching. viewing from general process, mathematics study is a process in which new learning contents and original mathematics structures act on each other and a new structure is then formed. viewing from meaningful study theory, any knowledge that students have learned is not fragmentary or isolated but constitute knowledge structures and build mutual relations between knowledges ; viewing from information - processing theory, we can improve our memorizing ability of working, if we can organize necessary information into " group lump " reasonably and effectively in the form of " structure " and concentrate more information into a new " group lump ". perfecting cognitiopn structures is an effective way in which our thinking can be suited to huge and long - term memorizing ; viewing from the theory of establshment, mathematics study means that subjects are forming a net - frame between new knowledge and all other factors so as to obtain new knowledge

    中學數學課堂教學中優化和完善學生的數學認知結構的必要性,從數學學習的一般過程看,數學學習就是新的學習內容與學生原有的數學認知結構相互作用,形成新的數學認知結構的過程;從有意義學習理論看,學生所學的任何知識,都不是零碎的、彼此孤立的,而應按知識之間的關系,通過不同層次來構成知識的結構,建立知識之間的相互聯系;從信息加工理論看,如果人們採用「結構」的形式合理有效地組織必要的信息,成為「組塊」 ,可以讓更多的信息濃縮進不多的組塊,從而擴大工作記憶能力,而完善認知結構是使人的思維適應龐大的長期記憶的一種有效方法;從建構主義理論看,數學學習是指主體在把新知識與多方面的各種因素建立聯系的過程中,建構新知識與各方面因素間的網路構架,從而獲得新知識的意義。
  2. In thes paper, we set up a risk quantiative appraisal system for the scientific risk management of the real estate invesbent whih is based on the probability theory, mathematial statistics and fmancial anaiysis theorythis system developes the application of the probability theory and mathematical statishcs to the risk appraisal on the base of current risk appraisal methods. what ' s more, in orde to filfulthe need of prachcal application, we create a set of risk - fmance index models in whih we analyze five kinds of twortant risk in the real estate investinen from their orighs, such as the general price fluctuation risk, the markt risk, the interest rate risk, the operation risk and the decision risk. ih the system, standard deviation of the npv ( net present value ) is uesed as the quantitative index of the singe risks and the whole risk. in addition, we connect the system with risk avoiding tactics in the risk managemen of a proect. all these provide a decision basis for risk management

    本文應用概率論、數理統計、財務分析等理論為房地產投資風險的科學管理建立了一套風險定量評價系統。該系統是在現有的風險評價方法的基礎上,將概率論和數理統計的理論在風險評價中的應用進一步深化。並結合房地產投資的實際,從風險形成的原因出發,針對其中影響較大的幾類風險像利率風險、物價風險、行業風險、經營風險、決策風險,建立了一套風險- - -財務指標評價模型,運用凈現值的標準差這一指標將房地產投資所面臨的個體風險和整體風險定量化,同時與項目風險管理中的風險規避策略有機地結合在一起,為房地產投資的風險管理提供了決策的依據。
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