彌合差距 的英文怎麼說

中文拼音 [chā]
彌合差距 英文
close up the gap
  • : Ⅰ動詞1. (遍布; 充滿) overflow; fill 2. (填滿; 填補) fill Ⅱ形容詞(滿) full; whole Ⅲ副詞(更加) more Ⅳ名詞(姓氏) a surname
  • : 合量詞(容量單位) ge, a unit of dry measure for grain (=1 decilitre)
  • : 差Ⅰ名詞1 (不相同; 不相合) difference; dissimilarity 2 (差錯) mistake 3 [數學] (差數) differ...
  • : Ⅰ名詞1 (距離) distance 2 (雄雞、雉等的腿的後面突出像腳趾的部分) spur (of a cock etc )Ⅱ動詞...
  1. We hope that you ' ll take the initiative and bridge the gap

    希望你方採取主動來彌合差距
  2. Political stability could be restored by closing the gap between expectation and economic reality.

    只有願望和經濟現實間的,才能恢復政治穩定。
  3. On management auditing to compensate investors ' expectation gap

    基於管理審計的投資者期望研究
  4. This text make use of the system on the domestic and international risk of understanding which lead to audit practicing to study the present condition ' s foundation with are theories, deduces, and research methods, such as, attestations and analysis etc., factors of right audit risk down audit risk that theories of construction in the problem proceeds analysis research look for the theories fulcrum to lead to the audit theories and possibility towards risk lead to audit risk model that problem proceed analysis research. this paper brings up the fourth main factor project, and also is distinction of audit report risk with audit occupation risk, announcing to public audit risk actuality conversion, pointing study to operate the influence of the risk factor. to the model that risk of perfect audit risk of function, here the foundation study have the maneuverability to lead to the audit procedure and method problems with the period of the right fulfillment which have the leading meaning

    20世紀80年代中期,審計風險成為審計理論界和實務界研究的熱點和難點問題,為審計期望,降低審計職業風險,在實踐中產生了一種以風險評價為中心的審計模式,即風險導向審計模式,該模式的出現對審計理論與實務影響都是深遠的,但目前還未形成統一的認識,尚有許多問題需要研究和解決,本文在了解國內外風險導向審計實踐和理論研究現狀的基礎上,利用系統,演繹,實證,分析等研究方法,對審計風險因素下審計理論結構的問題進行分析研究,以尋求風險導向審計的理論支點,以及對風險導向審計風險模型問題進行分析研究,提出四要素方案,也就是區分審計報告風險和審計職業風險,揭示審計風險現實轉化的可能性,重點探討經營風險因素的影響,對完善審計風險模型的作用,在此基礎探討具有可操作性的風險導向審計程序與方法問題,以期對實踐具有指導意義。
  5. ( 4 ) according to the 2 - d advective - dispersive equation of pore medium and combining the result of experiment, the difference between experiment and calculation was located by macroscopical analysis. a new mathematical model suiting to fractured medium was deduced from revised pore medium model. the correction and practicability were verified by the result of experiment

    ( 4 )依照孔隙介質二維溶質對流散方程,結實驗所取得的成果,進行宏觀比較分析,找出實驗與計算的,然後對孔隙介質模型作進一步的修正,推導出了適單裂隙巖體二維溶質運移的數學方程,並通過具體的實驗結果驗證了模型的正確性和實用性。
  6. The price gap is too wide to bridge

    價格太大,無法
  7. Swt attempts to bridge the gap between these two gui toolkits

    Swt試圖這兩個gui工具箱之間的
  8. We hope you will do your best to bridge the price gap

    我方希望你們能盡力價格方面的
  9. How about meeting each other halfway to fill the price gap

    我們雙方都作些讓步以價格怎麼樣?
  10. The tested path analysis model showed direct positive effects for preparation, joining in service design and standard building up, interaction with the employees of the enterprise, and “ word of mouth ” delivery on the “ gap ”, indicating that the more participation of customer in the service process, the shorter the gap between customer expectation and perception, namely the more participation of customer will lead to higher service quality

    此外,還對顧客參與的四個維度與服務質量的關系進行了獨立樣本t檢驗、相關分析以及路徑分析。經過統計分析得出以下主要研究結論:顧客參與的四個維度均與「」之間存在直接相關關系,說明顧客參與程度越高對服務質量程度就越高,即顧客參與程度越高其所感受到的服務質量越高。
  11. Ae is also present in the rider who is capable of single - handedly bridging a gap

    無氧耐力還體現在有單槍匹馬彌合差距能力的車手身上。
  12. It is difference for us to close such a wide difference in price

    我們很難如此大的價格
  13. In this paper, based on finance appraisal of list company and commercial bank, introducing the value - at - risk to fetch up the traditional financial index system, and further creating secondly - relative appraisal model based on the analysis of principal components and dea takes the non - finance factor into account ; and then, through the proving study of eight listed bank, it shows that the listed bank in shanghai and shenzhen is not as strong as in hongkong

    本文在評述有關上市公司財務評價和商業銀行財務評價的基礎上,引入測量金融市場風險的指標var以補傳統上市公司或商業銀行財務評價指標體系的不足,並構建將主成分分析和數據包絡分析相結的二次相對評價模型以補對非財務性指標考慮的不足;然後以滬、深、港8家上市銀行為樣本進行實證研究,研究結果表明,內地上市銀行與香港上市銀行在財務績效和經營管理者主觀有效努力程度上存在一定
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