問題類市場 的英文怎麼說

中文拼音 [wènlèishìchǎng]
問題類市場 英文
question mark
  • : Ⅰ動詞1 (請人解答) ask; inquire 2 (詢問; 慰問) question; ask about [after]; inquire about [aft...
  • : Ⅰ名詞1. (題目) subject; title; topic; problem 2. (姓氏) a surname Ⅱ動詞(寫上) inscribe; write
  • : Ⅰ名1 (許多相似或相同的事物的綜合; 種類) class; category; kind; type 2 (姓氏) a surname Ⅱ動詞...
  • : 同 「黻」[fú]
  • : 場Ⅰ名詞1 (平坦的空地 多用來翻曬糧食 碾軋穀物) a level open space; threshing ground 2 [方言] (...
  • 問題 : 1 (需回答的題目) question; problem 2 (需研究解決的矛盾等) problem; matter 3 (事故或意外) tr...
  1. In order to utilize the by - products produced in the process of soybean oil to develop the series products with high - tech content and high affixture, the raw material classification, substance composing, product quality, function characteristics, extraction technology, applied field, the foreground of development and existent problems, were synthesized

    摘要對植物性大豆蠟研發的原料分、物質組成、產品質量、功能特點、提取技術、應用領域、發展前景及存在的進行了綜合性表述,旨在綜合利用大豆油脂加工中的副產物,開發高科技含量與高附加值的系列產品,開拓新的應用領域,為國家提供新的蠟質資源,並推進到國際商品
  2. The third, it analyzes some question about feasibility analysis and provides some means to solve theses question. the fourth, it studies some important problem about real estate feasibility analyzing such as : the market segment and market position of real estate, consumer market and consumer buying action analyzing, the financial evaluation of real estate project, the analysis of risk of real estate project, the indefiniteness analyzing of real estate project. in the part of feasibility analyzing of s real estate project, it analyzes the feasibility of the s project from three aspects including marketing feasibility, engineering and technology feasibility, economical feasibility, then makes a conclusion of feasibility analyzing of s project, together with some suggestion to the problem of s project

    第四,對房地產開發項目可行性分析中應重點關注的一些進行了較為深入的探討,具體包括:準確地進行房地產細分與定位:房地產細分的準則,房地產定位的任務,房地產定位的誤區與對策;認真研究消費者及消費者購買行為:影響消費者購買行為的因素,消費者購買決策過程分析,消費者購買行為分析,消費者分析通常應涉及的;科學地進行開發項目的財務評價:靜態評價及其優缺點,動態評價及其優缺點;加強開發項目的風險分析:房地產開發項目風險的特點型,風險的總體狀況及變化趨勢,開發項目風險的防範策略;重視開發項目的不確定性分析:盈虧平衡分析,敏感性分析,概率分析。
  3. His moral evolutionism reveals the moral principle of market order and the trend of human morality ' s evolution, which has a profound and revelatory meaning in the problems of chinese moral transformation

    哈氏的道德進化論揭示了秩序的道德原理和人道德演化的趨勢,它對于中國道德轉型具有深刻的啟示意義。
  4. His moral evolutionism reveals the moral principle of market order and the trend of human morality ' s evolution, which has a profound and revelatory meaning for the issues of chinese moral transformation

    哈耶克的道德進化論揭示了秩序的道德原理和人道德演化的趨勢,它對于中國道德轉型具有深刻的?示意義。
  5. They include : counterparty analysis of securities held, maturity profile of major balance sheet items, breakdown of loan categories, risk management policies, materiality of market risk arising from the trading book, capital adequacy ratio adjusted for market risk, and the year 2000 problem

    這些項目包括分析所持證券的發行人別主要資產負債表項目到期情況風險管理政策因營業賬冊內的交易而承擔的風險是否屬于重大就風險調整資本充足比率以及公元二千年
  6. This text takes civi 1 responsibil ity of securities fraud as objective of study, and legislative and judicial experiences of other developed countries and regions as references. combined with the present situation of domestic securities market, via the comparison and analysis of the systems of civil responsibility of anti - securities fraud between domestic and abroad, and through the classified study of five typical civil responsibilities of securities fraud practices, we have precisely discussed the fundamental theory and the key points of civil responsibility of securities fraud, concluded essential formations of civil responsibility of securities fraud, and in the end, it proposes the legislative orientation, principles for civil responsibility of securities fraud, as well as suggestions for system improvement

    本文以證券欺詐民事責任為研究對象,借鑒世界證券發達國家和地區的立法和司法經驗,結合我國證券的現實,通過對中外各國反證券欺詐民事責任制度的比較分析,對五種典型的證券欺詐行為民事責任的分研究,深入探討了證券欺詐民事責任的基本理論和難點,歸納論述了證券欺詐民事責任的構成要件,最後提出了我國證券欺詐民事責任制度的立法定位、立法原則及完善相關制度的幾點構想。
  7. Secondly, aiming at the shortage of the present study on this problem, this thesis try to make some creative breaks : explain the connotative definition of intermediate business in systematically to benefit this kind of problem to further study ; study the problems of risk aversion and prevention with it ' s development ; evaluate the market risk, the credit risk, investment risk etc. ; try to establish a valid system to evaluate the risk of intermediate business. the main method we used in this thesis to evaluate the risk of intermediate business is var ( value in risk ). at last, study to take some measures which will match the real state of our country to prevent the risk of intermediate business, which will do some good to intermediate business in china " s commercial bank

    其次,針對已有研究中的不足和此的研究現狀,本論文力求創新與突破的是:比較系統地對商業銀行中間業務進行界定和研究其發展策略,有利於對此的進一步深化和擴展;從商業銀行中間業務不斷發展的角度來研究風險規避和防範等,評估中間業務面臨的風險、信用風險、投資風險和管理風險等一系列風險,嘗試建立有效防範中間業務風險的評估體系,本文主要運用var法來評估中間業務的風險;探討符合我國國情的商業銀行中間業務風險防範措施,以期對我國商業銀行中間業務的發展有所裨益。
  8. Using methods mixed with quantity analysis and quality analysis, such as professional estimation, analytical hierarchy process ( ahp ) and gray correlatively comprehensive appraisal. analyzed factors of the lu - mei group real property for example : politics, economy, financial affairs, infrastructure, technology, legal system, culture, and competition condition. provided the appraisal model and judgments result, which is the basis on the decision of the investor

    本文總結了近年來我國房地產開發投資環境分析的一些方法,運用專家評分法和層次分析法、灰色關聯分析法等定性和定量分析相結合的方法,對魯煤房地產開發公司擬開發的三個房地產地塊的政治、經濟、財務、、基礎設施、技術、法制、文化、競爭等條件進行了分析,給出了評價模型和論證結果,為解決似的提供了評判模式,為投資者決策提供了科學的依據。
  9. This passage, by summing up the problems and analyzing the causes to the present problems, tries to find better ways to deal with the problems in the process of commercial bank operation by icbc, jilin branch. this passage starts with the basic theories of investment bank, the chapter 1 discusses the relationship between investment bank and commercial bank, unit 1 introduces the concept, the economic function, the developing model of international and domestic investment bank ; unit 2 describes combination, separate operation and recombination process between commercial bank and investment bank, and analyzes the differences by graphs ; unit 3 introduces the mix - operation tendency of commercial bank and investment bank, the dominant mode of big international bank is to carry out the mix - operation according to the investment bank ’ development history of the

    並在此基礎上,本文提出了解決的對策,主要體現在以下七個方面:一,更新觀念,建立一套符合需求的創新機制;二,加大投入,組建高素質的投資銀行專業人才隊伍;三,循序漸進,分步構築投資銀行業務組織體系;四,突出組織效率,建立與投資銀行業務相適應的決策管理機制;五,勇於創新,努力探索各符合需求的投資銀行業務品種;六,強化營銷,細致深人地做好投資銀行業務的營銷工作;七,加強合作,逐步積累投資銀行業務運作經驗。
  10. According to the background information from the above, the facts of the combination, expansion and quick development of wut, and the strategic significance of the world ' s economy and the development of university, and from the angle of history, reality and the future, to a large degree, this paper analyzes three strategic environment faced by university, that is : intellectual economy and the world ' s new technical revelation ; marketing economy and modernization of china ; the popularity of education and the reform of chinese higher leaning system. through a thorough analysis of thirty six comprehensive universities and science and engineering colleges owned by the national education department, and through comparison between typical universities, this paper also objectively analyzes the strength and advantages of the development of wut on the aspects of subjects, trade and scale, and the disparity existed in subject strength, scientific and technical ability, qualified personnel construct and the economic base. through those analysis, it points out several problems in the development of university, such as " no common idea, no complementary subjects, no fixed core, no unified campus " and etc. therefore, a basic conclusion is drawn, that is " generally speaking, wut ranks among the second class of the nation ' s higher learning groups, and which possesses many potentialities to help itself step into the first class universities

    本課正是從上述背景出發,緊密結合武漢理工大學合併、擴招和大發展的實際,從世界經濟和大學發展的高度,從歷史、現實和未來的角度,大范圍、多層面、寬視野地分析了學校發展所面臨的知識經濟和世界新技術革命、經濟和中國現代化建設以及教育大眾化和高校管理體制改革三大戰略環境,通過對育部所屬36所綜合及理工高校的整體分析和典型大學的個案對比,比較客觀地分析了學校發展在學科、行業和規模三方面的實力與優勢以及存在的學科實力、科技能力、人才結構和經濟基礎等四方面的差距,指出了學校發展中「無共同的理念、無互補的學科、無凝聚的核心、無統一的校園」等,並得出一個基本結論:學校總體位居全國高校第二集團水平,具有向一流大學邁進的基礎,同時,相比國內一流大學又有很大的差距。
  11. This paper includes five parts. the first is to review the study on the subject ; the second is to discuss the characteristic of chian ' s stock market. the change of money - admitted policy and the questions on the study. the third is to verify the size effect in china ' s stock market by using correlation test and regression test on the bases of four different criterions, each criterion will be applied with two time - series methods. the fourth is to summary the main character of four different criterions, and apply joint test to the criterions that were proved the best concerning the size effect. the illiquidity risk was introduced to the study, the indexes of turn - over rate and the fluctuation of turn - over were used here. however, other factors that may influence the invest return rate as circulating rate and size were also included. according to the result, the size effect will be interpreted. the fifth is to summary the size effect and its explaination, and then to provide some useful invest strategies based on the conc lusion above

    論文分五部分,第一部分對小公司效應的有關研究文獻進行回顧;第二部分我國股票的狀況、資金供給政策的變化和我國股票實證的相關進行論述;第三部分對我國股票的小公司效應按照四種不同的規模標準分,每一種標準均分兩種不同的統計周期分段標準進行實證分析;第四部分小結不同的規模分、不同統計周期分段的統計結果特徵,然後對小公司效應最明顯的規模分標準進行多因子聯合回歸分析,這里引入了流動性風險因素,其用換手率和換手率波動指標來衡量,還分別引入了其它影響投資收益率的因子,分別是規模、流通比例。
  12. In order to resolved the secondhand - house light trade problem. we analyzed some correlation secondhand - housing institution and found the essential of the matter is secondhand - housing market ' s characteristic is broadly asymmetry information

    本文通過分析這些,發現產生的實質是二手房交易存在著交易信息不對稱,這種信息不對稱可以歸為兩: 1
  13. Through comparison of securities supervision system, issuing market, trading market, serving market and so on among united kingdom, united states, japan and china, we can find that the following problems in our securities supervision : multi - management and inconsistent policies, incomplete jurisdiction system, irregular self - disciplinary system, incomplete verification system of securities issuing market, high risks brought by single type broker dealers, weak securities supervision, backward supervision concept and poor quality of supervisors

    通過將我國與英、美、日等幾個主要國家進行證券監管體系、發行、交易、服務等方面的比較,可以看出,我國在證券監管方面存在證券監管多頭管理、政出多門,證券監管的法律體系不完善,證券的自律機制不健全,證券發行的核準制不完善,證券商種單一、風險較高,證券監管乏力,監管理念落後,監管人員素質較低等方面的
  14. My point is to say that if there s any market in the world that needs some negotiations on over - capacity, and on dealing with unfair practices, it s the steel market

    我的意思是,如果世界上有哪一產品的需要就生產能力過剩和對付不公平做法的進行談判的話,這就是鋼鐵。這是我們工作的另一個方面。
  15. They include : ( i ) problems existing in development strategy of army listed companies, such as, replacing strategic plan with management plan ; lack of understanding for the importance of strategic management ; no development strategy at all in some companies. without strategic plan, a company can only have a partial understanding of the situation instead of a comprehensive one, just like the blinds feel the elephant ; ( ii ) the thesis intends to analyze the inside and outside factors of army listed companies to specify their development goal while taking suntime international as an example to have further analysis ; ( iii ) combining with strategic planning theory, the thesis tries to probe into the development strategies of the eight army listed companies. army listed companies can be divided into two categories : one category includes the four companies with suntime and new zhongji as their heads

    本文主要論述兵團上公司在發展戰略方面的有關,包括: (一)兵團上公司在發展戰略上存在的,如:以經營規劃代替戰略規劃,對戰略管理重要性認識不足,有的上公司甚至沒有發展戰略等等,缺少戰略的規劃就如同六個瞎子摸象一樣,只識局部不掌握全局,而這正是兵團上公司在戰略研究方面存在的; (二)本文試圖通過分析兵團上公司存在的內部因素,外部因素,確定兵團上公司的發展目標,並以新天國際為例作了進一步分析; (三)本文結合戰略規劃的理論,試圖對兵團八家上公司發展戰略進行探索,兵團的上公司分為兩:一是以新天國際,新中基為首的四家企業,在本行業中經營成熟,具備實現多元化的戰略的能力,並可以根據,產品的情況採取幾種戰略方式;二是其它企業,在本行業中還存在著發展潛力,應集中力量在本行業中作強,應施行差異化戰略,名牌戰略,將自己的產品作強,進而在整個行業中作強,這些企業暫時不要去搞多元化戰略; (四)兵團企業能否做大還取決于能否持之以恆的戰略。
  16. Present methods generally based on the statistics of earthquake damage, expert experiences, theory analysis and experimental researches have obvious advantages, disadvantages and certain scopes of application ; ( 2 ) different prediction methods should be adopted against different building conditions, sites, intensity and experiences etc to predict earthquake damage of buildings for prospective accuracy, dependability and availability ; ( 3 ) earthquake damage matrix, which is the foundation of earthquake damage prediction, of 7 kinds of building in the urban areas of zhangzhou city under intensity 6 to 9 has been set up. the damage conditions of different buildings under different intensity are as followings : all kinds of structures are basically intact under intensity 6 ; the reinforced concrete structures are basically intact under intensity 7, but other kinds of structures are destroyed slightly ; the reinforced concrete structures are still basically intact while other kinds of structures are destroyed intermediately under intensity 8 ; the reinforced concrete structures are destroyed slightly, single - story factories and open houses are destroyed intermediately and other kinds of structures are destroyed seriously under intensity 9 ; ( 4 ) the results of earthquake damage predicting of buildings embody the damage when earthquake happens in the future. thus, further identifications and reinforcements should be considered to buildings that will be destroyed intermediately or more under the earthquake with 10 % exceeding probability in future 50 years ; ( 5 ) the direct economic losses caused by damage of buildings resting with the area, structural type, intensity and damage of all kinds of buildings are the main part of the losses of the city in an earthquake ; ( 6 ) the direct economic losses increased progressively toward high intensity by 2 or 3 times

    基於上述研究,得出的主要結論有:建築物震害預測是一個模糊的、系統的、復雜的,現有的方法很多一般都是以震害統計規律、專家經驗、理論分析和試驗研究為依據,有其自身的優缺點和一定的適用范圍;應針對不同的建築物條件、地條件、地震強度和已有經驗等,採用不同的預測方法進行建築物震害預測,以使預測結果達到預期的精確性、可靠性和可操作性;建立了漳州區7建築物在6度9度地震作用下的震害矩陣,成為指導抗震防災的重要依據,各結構的震害情況表現為: 6度地震作用下各建築物基本完好; 7度地震作用下除鋼筋混凝土結構基本完好外其餘以建築輕微破壞為主; 8度地震作用下鋼筋混凝土結構仍以基本完好為主而其餘建築以中等破壞為主; 9度地震作用下鋼筋混凝土結構以輕微破壞為主,單層工業廠房和空曠房屋以中等破壞為主,其餘建築以嚴重破壞為主;建築物的震害預測結果體現了未來地震來臨時的震害程度,在編制漳州區抗震防災規劃時,對于遭遇50年超越概率10的地震影響發生中等以上破壞的建築物應考慮進行抗震鑒定和加固;由建築物的破壞所造成的直接經濟損失是城地震經濟損失的主要部分,重慶大學碩士學位論文中文摘要其主要與建築物總面積、結構型、地震烈度和各建築物的震害程度有關;不同烈度造成的直接經濟損失按2一3倍向高烈度方向遞增,漳州區直接經濟損失由6度至9度的比例關系為1 : 2 . 8 : 8 . 6 : 22 . 8 ;遭遇基本地震設防烈度( 7度)時,漳州區直接經濟損失約4 . 5億元,無家可歸人員約40000人,且以磚木結構和多層磚混結構的震害損失最大;地震造成的人員傷亡主要與建築物倒塌及嚴重破壞的程度和總面積以及震時的建築物室內人數密切相關,地震時無家可歸人員主要與住宅倒塌、嚴重破壞及中等破壞的程度和總面積以及城人均居住面積密切相關。
  17. But during the changing period from the planned economy to the market economy, this kind of crime displays some new traits. and the supreme people ' s court and the supreme people ' s procuratorate ( the " supreme two " ) have formulated several judicial interpretions to counter with them. but the conflict between the fast - changing life and the back - ward legislation is still critical

    但是,在社會主義計劃經濟向經濟過渡的特殊時期,該犯罪會常常出現一些新和新情況,針對這些新,雖然,最高人民法院和最高人民檢察院(以下簡稱「兩高」 )在近年來先後作出了近十個司法解釋,為司法實踐解決了一些疑難
  18. The main body, which includes 5 parts : in the conception section, first, it reknew the conception of both culture tourism and marketing position, in order to clear the concept and made it a guide of the whole article ; in the marketing section, next, it has studied on the world tourism market for its developing tendency and distinctive feature. it analyzed the present conditions of chongqing cultural market and also made prediction about it ; third, in the resources section, in the light of diversity, this part made a clear classification on chongqing cultural resources according to their characteristics ; the fourth part, in the product section, it give a position analysis about two things : the overall image, and the products of chongqing cultural tourism, and also made correlative strategies of them ; in the communicating section, fmally, it is mainly about how to communicate with tourism consumers, how to build up a good image of cq cultural tourism in their minds, and let them have a good understanding

    正文部分分為五個進行論述:首先對文化旅遊與定位的定義進行了重新認識,以求清晰概念,指導研究;第二,對世界旅遊發展的趨勢、特點和重慶地區文化旅遊發育現狀及開發前景進行分析和預測;第三,以差異化為劃分依據,對重慶地區的人文旅遊資源按其資源特色進行歸簡括梳理:第四,對重慶文化旅遊的總體形象與重慶文化旅遊產品進行定位分析,提出了形象概念和產品定位的相關策略;最後,對如何利用有效溝通手段,在旅遊消費者心目中建立對重慶文化旅遊形象與重慶文化旅遊產品的良好認知,進行具體分析。
  19. This article composes of seven chapters : chapter 1, theories and trends of m & a, introduces different definitions, the types of m & a and different western m & a theories, such as efficiency theory, information and signal theory, principle - agent issues and managerialism theory, market power theory, tax consideration theory, government interference theory and market failure theory etc. some revelations are put forward after introducing the trend of m & a of the foreign companies

    第一章在闡述並購的各種解釋,總結並購的型基礎上,對于西方學者提出的各種並購理論進行了歸納,如效率理論、信息與信號理論、代理與管理主義理論、勢力理論、賦稅考慮理論、政府干預理論、缺陷論等。在第一章中,筆者還總結了國外企業並購的動向,針對國外企業並購發展提出了幾點啟示。
  20. In general, there are two perspectives explain the deficiency of china ' s financial system : " the perspective of government failure " argues that the deficiency was caused by government intervention and the " the perspective of market failure " contends that the deficiency was a result of the absence of government supervision after rapid marketization

    說本文整理分的結果發現,當前對于中國大陸金融體系資金配置效率低落的解釋可概括地分為兩:一是政府失敗說,認為金融體系的效率低落是政府干預過多所致;一是失敗說,認為中國當前金融化速度過快,政府監管不夠所致。
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