quit the stage 中文意思是什麼

quit the stage 解釋
退出舞臺
  • quit : vt 1 放棄(信仰、行動、工作等);〈美國〉停止。2 退出(屋外),離開(本國、軍隊等);告別(親友等...
  • the : 〈代表用法〉…那樣的東西,…那種東西。1 〈用單數普通名詞代表它的一類時(所謂代表的單數)〉 (a) 〈...
  • stage : n 1 講臺;舞臺;戲院,劇場;〈the stage〉戲劇,戲劇藝術;戲劇文學;〈the stage〉戲劇業;劇壇。2 ...
  1. This paper , from related document exposition , i get the hint of staging investment about capital structure contract and establishes a more simple model , in each stage of venture enterprise ' s quit , have designed the optimal equity proportion contract between venture capitalist and entrepreneur , through raising the effort level of entrepreneur reduce informational asymmetries , and reach conclusion : in first stagethe equity proportion of venture capitalist optimal fraction is 0. 5 , in the following stagethe equity proportion of venture capitalist tends to increase

    本文從相關的文獻論述中得到關于資本結構契約設計和分階段投資的啟示,建立了一個比較簡單,易操作的模型,在風險企業退出前的各階段,設計了風險資本家和企業家之間的最優的股權比例契約,通過提高企業家的努力程度來降低信息不對稱下的道德風險,並得出結論:在投資第一階段,風險資本家的股權比例最優解是1 / 2 ,以後的各階段,風險資本家的股權比例趨于增加。
  2. La faloise was the last to quit the box. he had just noticed the fair - haired labordette, comfortably installed in the count de vandeuvres s stage box and chatting at very close quarters with blanche de sivry

    剛才他在德旺德夫爾伯爵的邊包廂里,瞥見端端莊莊地坐著金色頭發的拉博德特,他與布朗瑟德西弗里緊坐在一起談話呢。
  3. Also, the paper creates a new principle of quit - orientation, thoroughly analyzes the double layers of entrust - agency relation while vc being invested in ve by using the theory of entrust - agency. on the basis of using information theory, enterprise management theory and related financial theories, with the considerations of the present condition of management of ve in china. the paper points out that there is great necessity for vc to interfere in the management of ve, further more, vc must effectively control risks by means of conversant design, financial tools selection, stage financing and managerial arrangement

    運用委託代理理論對風險投資資金注入風險企業后形成的風險投資與風險企業、風險企業股東與經理人之間的雙重委託代理關系做出深入的分析,並在運用信息認論、公司治理理論、相關金融理論的基礎上結合我國當前風險企業管理現狀,指出風險投資應當介入風險企業的管理以突破信息不對稱狀態,並通過風險投資契約的設置、金融工具的選擇、分期投資機制的設置、治理結構的安排來控制動態風險。
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