inflow forecast 中文意思是什麼

inflow forecast 解釋
來水預測
  • inflow : n. 1. 流入,注入。2. 流入物。3. 內流,吸入,吸風。
  • forecast : vt. (forecast, forecasted; forecast, forecasted) 預測;預報(天氣)。n. 預測;預報。 a weather forecast 天氣預報。
  1. Preferential tariff treatment as a typical case of tax incentives is analyzed in this paper to forecast the impacts on foreign capital inflow in the process of " uniting the domestic and foreign enterprises ' income taxes into one "

    由於進口關稅優惠政策是唯一經歷了實施和取消過程的外商投資企業稅收優惠政策,因此對它的研究有助於我們預測即將實行的內外資企業所得稅合併對流入中國的外資額的影響。
  2. Demonstration of water regime stations optimization for sanxia reservoir inflow flood forecast

    三峽入庫洪水預報水情站網優化論證
  3. Tracking, simulate, forecast the excess central banks money supply, oil prices, currency shocks and capital inflow, resulted soaring and rising interest rate, bond spread, 1995, and 1998 summer us financial institutions speculation, betting on the wrong side of bond spread, resulted ltcm billion dollar failure and global credit squeeze

    模擬追縱過高貨幣政策與油價及匯率貶值導致高經濟成長與通膨及外資湧入造成國際股房市暴漲貿易逆差大增企業營運虧損,資金緊縮,提高利率,股房市及衍生工具價格模擬協助金融監管,避免賭錯方向,造成損失暴跌,
  4. Tracking, simulate, forecast the excess central banks money supply, oil prices, currency, interest rates spread shocks and capital inflow, resulted us, european, asean, japan, taiwan, hong kong, china and asian, brazil, russia soaring and rising interest rate, bond spread caused plunging stocks and properties prices resulted nonperformance loan in the housing industry, banking, construction industry default during 1982 - 1998

    模擬追縱過高貨幣政策與油價及匯率貶值導致高經濟成長與通膨及外資湧入造成國際股房市暴漲外債高舉,出口衰退,貿易逆差大增企業營運虧損,資金緊縮,提高利率,股房市暴跌,資金外流資金套牢造成呆帳與倒帳之預防
  5. Quantity of generating electricity should be also calculated while the river inflow, quantity of water transfer and its duration curve are taken into account. as a company, it is necessary to take a series of measures to increase its benefits while water transfer leads to the decrease of hydro power inevitablly. the efficient methods can be taken into account as follows : i ) to improve the forecast accuracy, to decrease surplus water, and to increase seasonal electricity energy, ii ) to raise the peaking ability of dan jiang kou power station to obtain peaking benefits, iii ) to choose a suitable site to construct a pumped storage plant for peaking benefits

    在進行以上四方面內容深入探討的基礎上,論文針對丹江口水利樞紐運行任務、運行方式的重大變化,提出漢江集團應採取以下因應措施以適應企業產業結構的調整,這些措施包括:準確計算發電效益減少值;合理地核算水源的供水成本;以上述兩項計算成果為基礎,核算企業結構調整后總效益變化量;提高預報水平,減少棄水量,爭取增發季節性電能;研究新的調度方式,提高電站調峰能力,提高電站的容量效益;在適當的地點修建抽水蓄能電站,提高電站的調峰能力。
  6. In addition, the characteristic of outlier in the reservoir inflow is analyzed and the theory of robust estimation is introduced into the forecast of reservoir inflow and real - time error correction of it. the robust system can prevent outlier and extreme error from influencing correction efficiency, so as to improve the stability of correction results

    分析水庫入庫實測流量中粗差的特點,把抗差理論與方法引入水庫入庫洪水預報和誤差實時修正中,研究了具有抗差特性的洪水預報實時修正方法,以抗禦粗差和極值誤差對修正結果的影響,增強了修正結果的穩定性。
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