substantive characteristics 中文意思是什麼

substantive characteristics 解釋
本質特徵
  • substantive : adj 1 實體的;真實的。2 獨立的,自立的。3 堅固的;實質的;本質的。4 【語法】實詞的,名詞的;表示...
  • characteristics : 產品性能描述
  1. Cyberculture : its substantive characteristics and current significance

    網路文化的本質特徵及其當下意義
  2. Firstly, the author introduces the development history and law of anti - dumping procedural law, then discusses its concept, characteristics, fundamental principles, relation between it and anti - dumping substantive law, finally expounds the jurisdiction, competent authorities, parties and their rights of anti - dumping case. part ii, anti - dumping investigation procedure. this part mainly discusses initiation mechanism, conditions of petition and acceptance, way and content of investigation, preliminary determination, final determination, concerned stipulations of chinese anti - dumping ordinance and its perfection

    筆者首先簡要介紹了國際國內反傾銷程序法的發展歷史以及「其由國內法到統一法,又從統一法到國內法,再由國內法到統一法,且日趨統一」的發展規律,接著重點論述了反傾銷程序法的概念、特徵一基本原則、反傾銷實體法與程序法的關系,最後闡述了反傾銷案件的管轄和主管機關、反傾銷申訴案件的當事人及其權利。
  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. Based on the above motioned, it shows what should be the major quality characteristics of the chinese corporate financial information, and why procedural rationality rather than substantive rationality should be the criterion to identify the truthfulness of the chinese financial information

    在此基礎上,討論了中國會計信息的質量特徵和把握原則,並提出程序理性應是中國會計信息真實性的鑒別標準。再次,重點分析了中國上市公司業績操縱的原因。
分享友人