擇時檢驗 的英文怎麼說

中文拼音 [zháishíjiǎnyàn]
擇時檢驗 英文
chronopsy
  • : 擇動詞(挑選) select; pick; choose
  • : shí]Ⅰ名1 (比較長的一段時間)time; times; days:當時at that time; in those days; 古時 ancient tim...
  • : Ⅰ動詞1 (查) check up; inspect; examine 2 (約束; 檢點) restrain oneself; be careful in one s c...
  • : 動詞1. (察看; 查考) examine; check; test 2. (產生預期的效果) prove effective; produce the expected result
  • 檢驗 : checkout; test; examine; inspect; verify; survey; check;checking;testing;[英國]jerque(指檢查船舶...
  1. The second passage of the article is the essential section, composed with macrocosm design, organization implement and feedback collection, designing and outlining the systemic model of certificate of leadership qualification, the whole assessment system pays attention not only to the macrocosm structure, proper and scientific frame, extensive applicability, but also to concrete steps, exiguous and intuitionistic programming, simple and convenient operation. the macrocosm design exerts modern examination theory and systemic project method to describe thoroughly the basic principles, applicable range, certificate categories, the setting of organization system, assessment target of leadership qualification, the choice of content and technology ; organization implement gives exiguous and concrete designs on the period of qualification examination, choosing time, confirmation of the certificate scale and qualification censor, written examination, interview, pub

    總體設計中運用現代考試理論和系統工程的方法,適應形勢,結合實際,對認證制的基本原則、適用范圍(正副廳、正副處、正副科等三等六級) 、認證的分類、組織體系的設置、任職資格認證評價目標、內容和技術的選進行了宏觀全面地闡述;組織實施中對任職資格考試周期、間的選、認證規模的確定以及資格審查、筆試、面試、考察、公示的操作等進行了微觀具體地設計;反饋迴流中對認證工作的和評估、任職資格的跟蹤動態管理和認證制保障機制的建立進行了詳細說明。
  2. One is the evt - based var model ( including gev model and gpd model ), the other is the quantile regression var model. secondly, i evaluate predictive performance of a selection of var models for chinese stock market data. these var models include riskmetrics method, historical simulation, monte carlo method, and the three recent models based on quantile regression and extreme value theory

    本文首先重點探討了極值分佈var模型(包括廣義極值分佈和廣義帕雷托分佈兩個模型)和分位數回歸var模型;然後在此基礎上將六個var模型(包括上述三種模型、歷史模擬法、 riskmetrics方法以及蒙特卡洛法)實證應用於估計上證指數、上證180 、深證成指、深證綜指95 var和99 var ;同採用區間預測法、損失函數法和符號法對這些var模型進行了選評估。
  3. In this article, firstly the background of the textile trade conflicts within sino - us or sino - euro are introduced, thus learn that how to discern and dodge the foreign trade risks, how to choose the appropriate investment projects have already become one of the most important questions for exporting companies on foreign trade affairs well - known as high investment and high risk. so the main text makes a risk analysis qualitatively and quantitatively on a textile - exporting trading company from three angles of statistic 、 game theory and portfolio theory, which is the main content that we studied. firstly, the statistic article adopts data of the transaction closing price of the textile clothing index in shenzhen stock exchange at the end of each quarter as well as several other kinds of data reflecting the macro - economic changes, performs an empirical analysis of these data according to the theory of co - integration test 、 granger cause test and impulse response function of time series in economitric, and learn that the impact to ti is more obvious by the economic index reflecting local commodity price level and economic prosperity degree home and abroad, as well as the impact degree and the time lag degree, and knows the macro - economic risks faced by textile business enterprises ; after that by the game theory angle we analyze exactly the managing risks faced by one textile export corporation named beauty. from the game expansion chart the system arrangement between censor ways by exportation goal countries and exporting strategies by the exporting enterprises has been analyzed. involving the benefit assignment between them both the limited rounds and infinite rounds negotiations of cooperation games have been studied, and then country responsibility and the enterprise managing risks on foreign trade affairs and so on have been analyzed exactly ; in order to realize the investment multiplication in the certain degree to disperse the risk, the

    本文首先介紹了中美、中歐紡織品貿易爭端的來龍去脈,由此可知在涉外貿易這種以高投入、高風險著稱的行業里,如何甄別和規避外貿風險、如何選合適的投資項目已經成為外貿企業的首要問題。因此,正文分別從統計學、博弈論和投資組合三種角度對涉外紡織品貿易公司風險進行了定性和定量的分析,這也是本文的主要研究內容。首先,統計學篇選取了深圳證券交易所行業分類指數?紡織服裝指數( ti )每一季度末的交易收盤價和若干種反映宏觀經濟變化的指標,利用計量經濟學中間序列的協整、 granger因果和脈沖反應函數等理論做實證分析,從而得知反映國內物價水平和國內外經濟景氣程度的經濟指標對紡織板塊上市值的沖擊比較明顯,且可知沖擊程度和滯度,進而分析出涉外紡織企業所面臨的宏觀經濟風險;接著,從博弈論的角度具體分析一家紡織品出口公司( beauty )的外貿活動所面臨的各種經營風險,該篇從博弈擴展圖入手,分析了出口目的國審查方式與本企業出口策略之間的制度安排;並圍繞雙方的利益分配,研究了有限回合和無限回合合作談判博弈,然後具體論述了國家責任和企業涉外經營風險等問題;在一定程度上為了實現投資多元化來分散風險的目的,投資組合篇從經典的markowitz模型著手,在一些特定條件的限制下,給出了一個相應的投資組合模型。
  4. When you use a validator to check an html, xhtml or css document, the validator will return a list of any errors found, according to your chosen standard

    當你使用校器來html 、 xhtml或是css文檔,校器將根據你選的標準返回發現的所有錯誤信息。
  5. Validation micro - organisms used should be complied with requirements of the microbial limits of the product

    ,依各品種項下微生物限度標準中規定查的控制菌選相應證的菌株。
  6. To explore the effect of bamboo stick contacting time with serum sample on serum potassium ion concentration, we have systematically measured serum potassium ion concentration of bamboo stick contacting with serum sample at different times using ion selective electrode method and analyzed their potassium ion concentrations using matching t test

    摘要為探討竹簽接觸血清樣品間對鉀離子濃度影響的程度,採用離子選電極法分別對竹簽在血清中浸泡不同間的樣品鉀離子濃度進行測定,並以配對t對不同浸泡間的血清鉀離子濃度進行對比。
  7. If appropriate helium leak test plan is selected, it will be of benefit to improving detectability and effectively secure titanium vessel safety and reliability

    合理的氦?漏試方案,可做到既能漏又能及發現漏點,有效地保證鈦制容器安全性和可靠性。
  8. This text completely and systematically studies the status and the development of the pyrolysis and the fluidization of biomass, which distill the bio - oil in the domestic and international area, as well as the existing problems. this thesis primarily include following aspects : ( l ), by experimenting and measuring the energy ( heat value ) and the content of c, h, n chemical element of right 20 kinds of common biomass, on the base of the experimental result, and respectively established the biomass energy predict experiment formula with the element of h and c is from change, and passed the ro. os examination, which provides the basis and convenience for flash pyrolysis fluidization device energy to convert the rate to compute with biomass energy utilization calculation ; ( 2 ), proceeded the tg and dtg experimentation equal velocity ( 10 ? / min, 20 ? / min, 40 ? / min, 60 ? / min ) heating and constant temperature heating by studying on eight kinds of biomass samples, according to the experimental data and arrhenius formula, we established the dynamics model of pyrolysis of, then, using the goast - redfern and p function, we also solved the dynamics parameters and analyze out every kind of biomass ' s frequency factor and parameters of activation energy, and established the every kind of dynamics model of pyrolysis of biomass, all of these provide the theories and basis to make sure the reactor ' s flash pyrolysis work temperature scope design and the describing of pyrolysis reactor dynamics ; ( 3 ), in order to study and ascertain the process of heat completely getting to pyrolysis time of varied size biomass particles, we observed and measured the ratio of length and diameter ( l / d ) with the varied biomass through electron microscope, we concluded the l / d ratios usually is from 5. 0 to 6. 0, the average is 5. 3 ; ( 4 ), we studied the process of biomass transiting and the theory of complete pyrolysis time with the theory of complicated heat field, we got the time ( t ) of the varied size biomass particles arriving to complete pyrolysis, and we knew that the complete pyrolysis time and the time which get to the biggest production ratio are identical, all of these studies provide the theory base for design and forecasting the flash pyrolysis reactor solid state resort time ; ( 5 ), according to the above experiment result, synthesize to make use of the engineering the mechanics, engineering the material, machine the design to learn the principle, deduce, establish the theory of rotation cone flash pyrolysis reactor material resort time ( t ) and reasonable rotation velocity ( or frequency ) relation theory ; and ( 6 ), we gave the reactor ' s smallest cone angle certain, reactor cone wall strength design theory, the reactor production ability theory, the power design method and the critical rotation velocity theory

    本文較全面、系統地綜述了國內外生物質熱解液化制取生物燃油技術研究發展現狀及存在的問題,主要研究內容有: ( 1 )實、測定了20種常見生物質的能量(發熱量)和c 、 h 、 n元素含量,根據實結果分別建立了以h和c為自變量的生物質能量預測經公式,並通過r _ ( 0 . 05 );為閃速熱解液化裝置能量轉化率計算和生物質能量利用率計算提供了依據和方便; ( 2 )選了8種生物質試樣作了等加熱速率( 10 min 、 20 min 、 40 min 、 60 min )和恆溫加熱的tg和dtg實,根據實數據和阿倫尼烏斯公式建立了生物質熱解反應動力學微分方程,並採用goast - redfem積分法和p函數對其動力學參數進行了求解,解析出各種生物質的頻率因子和活化能參數,進而建立了各種生物質的熱解動力學模型,為科學確定反應器的閃速熱解工作溫度范圍及熱解反應動力學描述,提供了理論和依據; ( 3 )為研究和確定不同尺度的生物質顆粒中心達到全熱解的間,在體視顯微鏡下對不同粒度的生物質顆粒的長徑比進行了實觀察和測定,得出生物質的長徑比( l d )一般在5 . 0 6 . 0之間,平均為5 . 3的結果; ( 4 )採用復雜溫度場傳熱學理論對生物質傳熱過程及充分熱解間理論進行了研究,解析推導出了不同尺寸生物質顆粒中心溫度達到充分熱解溫度的間( t ) ,得出了理論推導的充分熱解間與最大產油率的熱解間相一致的結果,為閃速熱解反應器固相滯留間設計和預測提供了理論依據; ( 5 )根據上述實結果,綜合運用工程力學、工程材料、機械設計學原理,推導、建立了轉錐式閃速熱解反應器物料滯留間( )與轉速(或頻率)合理匹配理論; ( 6 )提出了轉錐式閃速熱解反應器的最小錐角設計、錐壁強度設計、生產能力設計理論和功率計算方法及臨界轉速理論等。
  9. If the solidity of bank finances is to be tested, the markets have chosen a good time to do so

    倘若銀行金融狀況的穩健性需經考,那麼市場已選了一個良好的機進行
  10. Prediction efficacies for increase of seismicity with m 5 ~ 6 before an earthquake with m 7 and increase of seismicity with m 4 ~ 5 before and earthquake with m = 5 ~ 6 were also statistically examined and were passed, respectively

    文中分別對7級強震前5級、 6級地震活動增強,和6級地震前4級、 5級地震活動增強,選空閾值和預報規則,進行了預報評分,得到了肯定的結論。
  11. First of all, this paper review the research of behavioral corporate finance theory on company ’ s investment and financial policy, summarize the market timing theory of capital structure under the frame of behavioral corporate finance theory, afterwards use the model of baker and wurgler ( 2002 ), design appropriate variable based on our country ’ s fact to test empirically formation of our listed company ’ s capital structure. the research results document that capital structure is not the cumulative outcome of past attempts to time the equity market

    本文在回顧了行為公司金融理論關于投融資研究的基礎上,對行為公司金融理論框架下資本結構的市場機選理論進行了總結,然後借鑒baker 、 wurgler ( 2002 )的模型,結合我國實際構造合適的指標對我國上市公司資本結構的形成進行實證,研究發現:資本結構不是公司過去進行市場機選努力累積的結果。
  12. Pmv is the optimal choice of ci control, as it successfully related all the environmental variables with a person ' s thermal sense. furthermore it has received comprehensive application in thermal environment engineering. for this reason this paper chooses the pmv index as the research object in the comfort control, and analysis of the influence to pmv index as the environmental variables change

    由於pmv指標不僅包含了與人體熱舒適相關的六大因素,而且有較成熟的理論基礎並經過了實踐的,因此本文選pmv指標作為舒適控制中的研究對象,並分析了各環境變量變化對pmv的影響。
  13. Through analyzing capital asserts etc, establish the model. the model can reflect the actuality, predict the future condition very well and provide reference for the government and investor. the purpose of the thesis is to establish a new index that can impersonally and across - the - board reflect the present condition and predict the future truly

    本文的目的就是提出一個能夠較客觀、全面地反映投資的現狀和準確預測未來走勢的投資景氣指數,通過指標的選、對指標的季節處理等有關的分析,建立相應的景氣指標體系,同對各種預測模型進行,找到最能符合實際情況的預測模型。
  14. Then, based on the summarization and evaluation of the fruits and shortage other scholars made, this paper brings forward the research hypotheses. on the base of fully understanding of various research models of value relevance, this paper chooses the feltham - ohlson model and the balance sheet model as the basic mod els and adjusts the two models to test the value relevance of accounting data of listed a share corporations in china. the research result shows : ( 1 ) in the period from 1996 to 2001 the value relevance of accounting information in china is falling with the implementation and changing of every financial accounting standard ; ( 2 ) when testing listed corporations suffering loss the feltham - ohlson model is invalid ; ( 3 ) compared with 2000, the accounting data of 2001 is n ' t more conservative but more aggressive ; and ( 4 ) this paper ca n ' t judge whether the book value of corporation assets after computing the asset reduction required by " accounting regulation of corporations " is closer to that before computing, and it needs further researching

    在對各種價值相關研究模型充分理解的基礎上,本文有針對性地選feltham - ohlson模型和資產負債表模型作為研究的基本模型,並根據所研究的具體問題對模型進行了修正,用以我國a股上市公司會計數據的價值相關性,研究結論如下: 1 、 1996 2001年我國會計信息的價值相關性沒有隨各項具體會計準則的頒布和變更逐年提高,反而逐年降低; 2 、 feltham - ohlson模型在虧損上市公司失效,這可能是我國資本市場中特有因素造成的; 3 、與2000年相比, 2001年會計數據不但沒有更謹慎,反而更「激進」 ; 4 、本文結果無法判斷計提《企業會計制度》新要求的四項資產減值準備后計算出的企業資產帳面價值是否比未計提資產減值準備計算出的資產帳面價值更接近企業真實的經濟價值,有待今後做進一步的研究。
  15. The results show that, on one hand, tm - ff3 dose not fit with chinese situation. on the other hand, there is no overwhelming evidence that chinese mutual funds have the significant market timing ability when the weekly data are used in empirical investigation. but there is different result when the monthly data are used. we found that open - funds have show market timing ability, though most of the results are not significant in statistical examination

    實證結果表明,一方面,傳統的tm - ff3模型並不適用於我國基金市場,而使用以tm - ff3模型為基礎改進而來的二因素模型能得到很好的擬合度;另一方面,在使用周數據,我國封閉式基金和開放式基金整體上沒有表現出能力,而只有少數基金錶現出顯著的能力,但是在使用月數據,我國開放式基金整體上表現出了能力,即使結果在統計上並不顯著。
  16. As to the other factors, thesis carries on empirical tests. using jensen model, h - m model, t - m model to come back, get corresponding t test and p value

    對于基金的券、及風險貢獻三個因素,論文進行實證分析,運用jensen模型、 h - m模型、 t - m模型進行回歸,得到相應的t及p值。
  17. In the first stage, p coefficient is computed with time serial method ; and in the second stage, as the regressions are cross section by nature, after the linear fitting of stock values on the market to the stock values being assessed, and after the statistical tests, the relations between them are analyzed with the method of gray - related - degree, besides, on the basis of choosing model parameter rationally, the suitability of dcf to chinese capital market is testified as well

    本文實證研究採用了雙程回歸技術和灰色關聯度分析方法,第一程是用間序列求系數;第二程回歸在性質上是橫截面的,通過對股權評估價值與股權市場價值的線性擬合,對其進行統計;最後,通過灰色關聯度分析方法,分析了二者的關聯關系,了在合理選模型參數的基礎上, dcf方法在我國資本市場上的適用性。
  18. Choose " 3 - 5 business days " as your shipping method, and the discount will be automatically applied to your order during checkout

    營業間是3 - 5 ~你們的搬運方法~和折扣是自動地應用你們次序在的期間
  19. The characteristics of frequency and noise are analyzed, and it is presented how the circuit parameters are selected and the stability is checked up

    分析了電路的頻率特性和噪聲特性,給出了電路參數選方法及電路穩定性辦法。
  20. Then in methodology, sample, measurements of variables and methods are defined in order to examine hypothesis above. pror example, several indicators are used to measure a variable, and stepwise regression, cluster analysis and correlation analysis compose empirical methods

    然後,為了上述因素的影響,確定了實證研究的樣本、變量指標和研究方法:選變量指標,採用多指標度量法,盡可能從不同角度全面反映變量;實證研究方法上主要有逐步回歸分析、聚類分析和相關系數分析。
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