數量指標 的英文怎麼說
中文拼音 [shǔliángzhǐbiāo]
數量指標
英文
quantitative index- 數 : 數副詞(屢次) frequently; repeatedly
- 量 : 量動1. (度量) measure 2. (估量) estimate; size up
- 指 : 指構詞成分。
- 標 : Ⅰ名詞1 [書面語] (樹梢) treetop; the tip of a tree2 (枝節或表面) symptom; outside appearance; ...
- 數量 : quantity; quantum; amount; magnitude; number
- 指標 : target; quota; norm; index; merit; subscript; index arm; indicatrix
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Estimates of risk aversion vary widely, and no quantitative guidelines are available.
對于風險的躲避的估算具有很大的差異,而且也沒有適用的數量指標。The paper aimed at researching the index systems, methodology, and modes of sustainable road transport development evaluation, and established the mathematic modes with several practical indexes such as transport concinnity, road transport resource saving, road environmental and bionomical protection indexes, with which the sustainable development statuses of road development in china are able to individually or comprehensively evaluated
本文重點研究提出了定量評價公路交通可持續發展能力的指標體系、理論方法和具體模型,提出了實用的交通適應能力分指數、公路交通資源節約能力分指數、公路交通環境生態保護能力分指數、公路交通經濟財務發展能力分指數、公路交通安全控制能力分指數等指標計算模型,從這幾個角度能夠逐項和綜合評價我國交通可持續發展狀況。Then fuzzy maths is used here to get dimensionless form of the results, thus the quantitative index subjection model is build. by method of fuzzy statistic, the qualititive index subjection is model is build, too
運用模糊數學方法,對有無對比值無量綱化,建立定量指標隸屬度模型;對定性指標分級量化,得到定性指標的隸屬度。The article compares bediw economy development factors with those of bedis such as economy gross and gross increase guideline, average and average increase guideline, industry structure and distribution, magistral industry establishment, developed district situation, especially science and technology. the article summarizes bediw advantages and disadvantages, constructs bediw economy development model mainly includes increase apices model, apices & axes model, city circularity model. the article also establishes bediw industry structure and industry distribution, sets up science and technology support for bedis so that all the conditions can promote bediw to make great jump economy development to be a realization
本文在經濟發展模式、區域經濟發展模式基本理論的基礎上,對「大上海經濟區」的經濟發展模式進行了分析,總結其成功經驗和借鑒意義;通過大量的數據對大上海經濟區和大武漢經濟區的增長極城市上海、武漢以及其他核心城市的經濟總量指標、總量增長指標、人均指標、人均增長指標、產業結構、產業布局、所有制結構、主導產業、開發區情況以及科技投入等經濟發展因素進行了比較和分析,總結出大武漢經濟區在經濟發展中的優勢和不足,確立經濟區內各城市定位。Sampling procedures and tables for product quality audit apply to inspection by attributes for nonconformities per hundred units
適用於每百單位產品不合格數為質量指標The content of this thesis, through the deformation destruction process of th e typical nanlidu landslide along the national highway 318, uses the finite unit a nalysis of computation, revealing the elastic, plastic stress and displacement of each joint inside the slide area pointing out the distribution range of the tension stress and the plastic deformation range, computering the stability safety factor of the slide area, gaining the fixed quantity, quota that evaluates the stability of the slide area, revealing the position of the slide area which is most likely to los e its stability, thus, it can provide theoretic proof for the programs which renova te landslides
本文的研究內容是通過318國道南里渡典型滑坡的變形破壞過程,採用有限元計算分析,揭示滑體內部每個節點上的彈、塑性應力及位移,找出拉應力分佈區和塑性變形區,計算滑體穩定安全系數,得出衡量滑體穩定的定量指標,揭示滑體最可能失穩的部位,從而為滑坡整治方案提供理論依據。It is not enough for " trow theory " to use only quantity ? ? gross enrollment ratio of higher education to measure development ; what ' s more, it is misleading
「特羅理論」僅用高等教育毛入學率一個數量指標來衡量發展,是不充分的,甚至是「誤導的」 。Research on asset - liability quantity indexes based on cvmo1 - optimum
基於約束變尺度法的資產負債數量指標優化研究Specially, based on risk - metric and factor variables, the author discusses multi - factor asset pricing model. in theoretical analysis, the author attempts to release the assumption of index ' s random walk, proves a portfolio selection model suitable for the linear index level moreover, based on assets un - exchangeable, the author brings forward asset pricing models for b - shares, h - shares and non - circulated - shares. the author also brings forward multi - factor asset pricing model based on risk - metric indices, such as coefficient of beta, standard variance, standard semi - variance, average absolute deviation, value at risk, and factor variables, such as circulated market equity, exchange ratio, short - term historical return
在理論分析時,作者嘗試放鬆指數水平滿足隨機遊走過程的假設,推導出指數水平呈線性趨勢的資產組合選擇模型;此外,作者基於資產不可交易這一假設,提出了b股、 h股和非流通股等情形的資產定價模型,並基於系數、標準差、標準半方差、平均絕對離差和風險價值等風險度量指標以及流通市值、換手率、短期歷史收益率等因素變量提出了四因素資產定價模型。Therefore, a model of three sectors, respectively referring to domestic sector, manufacturing export sector and primary product export sector, has been established here to measure the technology spillover effects of export on domestic sector. finally, based on a broader framework, this dissertation went on to investigate the relationship between openness and china ' s economic growth, while the result shows that though there exists a notable dispute about how to measure the degree of china ' s openness, the index of trade dependence still maintains the better one to reflect china ' s economic openness. in the meanwhile, impulse response function ( irf ) method and forecasting errors variance decomposition ( fevd ) method, both of which are based on the vector auto - regression ( var ) system, are used here to investigate the dynamic relationship between openness and china ' s economic growth
與傳統理論不同,新增長理論和新貿易理論都強調技術進步的作用,因此本文構建了一個三部門的技術外溢效應模型(國內部門、工業製成品出口部門以及初級產品出口部門) ,考察了工業製成品出口和初級產品出口對國內非出口部門不同的技術外溢效應;第四,從更加廣闊的視野就貿易開放度與中國經濟增長問題進行研究,有關貿易開放度如何度量一直是存在較大爭議的問題,本文首先對該類研究文獻進行了較為詳盡的述評,然後運用生產函數方法對所選取的5個貿易開放度度量指標進行了檢驗,結果發現盡管一些已有研究認為外貿依存度無法真實度量一國經濟開放水平,但是本文研究結果表明外貿依存度仍是度量我國貿易開放度的較好指標,進一步採用基於var系統的脈沖響應函數法以及預測誤差方法分解法對貿易開放促進經濟增長的作用進行了動態刻畫。On the one hand, the author discusses markowitz ' s mean - variance portfolio selection model, single - index portfolio selection model, and simplified model of optimal portfolio selection. at the same time, based on the rules of optimal portfolio selection and other risk - metric indices, the author also discusses mean - absolute deviation model, mean - semivariance model and mean - value at risk model. on the other hand, the author discusses the asset pricing model, including the capital asset pricing model ( capm ), the multi - factor asset pricing model, and the arbitrage pricing model ( apt )
一方面,作者討論了馬科維茲的均值-方差資產組合選擇模型、單指數資產組合選擇模型、最優資產組合選擇的簡化模型,同時根據最優資產組合選擇原則和其他風險度量指標,討論了均值-絕對離差、均值-半方差和均值-風險價值資產組合選擇模型;另一方面,作者討論了資產定價模型,包括多因素資產定價模型和套利定價模型,特別是在四種因素變量的基礎上,探討多因素資產定價模型。The empirical results show : it is weak to explain the portfolios " return for 6 risk - metric indices, however, the two factor variables, the natural logarithm of average circulated market equity and the average of short - term ( one year ) historical return, are able to expla
實證研究結果發現: 6種風險度量指標對股票組合收益率的解釋能力十分微弱,而平均流通市值的自然對數和平均短期( 1年)歷史收益率2個因素變量對股票組合收益率的解釋能力達到76 . 2 % 。At the part of empirical study, this paper chooses 124 a - stock listed companies from stock exchange of shanghai and shenzhen as research samples, makes use of the step method to filter the 13 possible variables ( including 3 debt - paying ability indexes, 3 operating ability indexes, 4 profitability indexes and 3 cash flow indexes ) in analysis and finally sets up discrimimant models by fisher discrimimant rules with the samples " financial data. then this paper validates the stability of these models using the self - validation and cross - validation before analyzing the prediction ability of these models with outside - validation
實證研究部分主要以我國深、滬兩市124家上市公司為研究樣本,採用上市公司1998年至2001年的實際財務數據,運用逐步判別分析方法對擬進入模型的13個變量(包括3個償債能力指標、 3個經營能力指標、 4個獲利能力指標及3個現金流量指標)進行篩選,並根據fisher判別準則建立判別模型,在運用自身驗證法與互動式驗證法對模型的穩定性加以驗證后,運用外部數據驗證法對模型的預測能力進行了分析。Calculation of indices of generalized n - functions
函數的生成及其數量指標的計算Coverage is an important quantitative index for plant community structure
摘要蓋度或者覆蓋度是植物群落結構的一個重要數量指標。Moreover, the injury rates of the nutrient organs ( the height of the plants, the lengthen and the width of the leaves ) were different when the dose was changed
另外, m1代營養器官(株高、葉長、葉寬)的數量指標損傷度隨著劑量的變化而不同,最顯著地表現為株高明顯降低。So the evaluation of bank ' s competence includes assessment of visible competence by quantity index and assessment of potential competence mainly by quality analysis
因此,對銀行競爭力的評價,一是運用相關數量指標對顯在競爭力的評價,二是以定性分析為主對潛在競爭力的評價。Among data related to enterprises, one kind called time series, which reflects long term evolution of certain quantitative indexes of enterprise and tendency of macro economy
企業經營中存在一類時序性經濟數據,它們反映了企業經營的某些數量指標長期演化或與企業相關的宏觀經濟的發展趨勢。Chapter 3 carrys through the quantitative analysis of the comparison of main index among china, japan and korea, the status in world trade separately, the situation of trade cooperation among them
第三章通過對口三韓三國相關數量指標、在世界貿易中所處地位以及相互間合作的情況進行實證分析,得出了中日韓貿易合作的現實基礎。Additionally, the aba content of hyperaccumulators had risen dramatically with the growth of lead concentration, and the increase of aba content was sig the results showed that the lead contamination had negative ef fect even on the hyperaccumulators. 3. lead uptake " " nd tolerance of hyperaccumulators
3富集植物對pb的吸收與耐性提出了表徵富集植物pb吸收量與耐性的數量指標重金屬遷移總量、根系耐性指數和耐性臨界值的概念及其計算方法。分享友人