既濟與未濟 的英文怎麼說

中文拼音 [wèi]
既濟與未濟 英文
already but not yet
  • : Ⅰ副詞(已經) already Ⅱ連詞1 (既然) since; as; now that 2 (跟「且、又、也」等副詞連用 表示兩種...
  • : 濟名詞1. (古水名) the ji river2. (姓氏) a surname
  • : Ⅰ副詞1 (沒) did not; have not 2 (不) not Ⅱ名詞1 (地支的第八位) the eighth of the twelve ear...
  1. Facing with the adjustment blemish of the market and the government, knowledge problem and market growth degree etc, the article analyzes and arguments tmsm, the investment theory of the gapsm and two - mechanism forming reason and specialty of our country, and tries to explain and answer the question of breadth fluctuation, high risk, price decision, proceeds and investment strategy etc in the gapsm. since 80 ages, a series of the important development has all taken place in the world and the economy of our country, and it produced the deep influence on the growth of the security market, and particularly the information revolution, all markets forming one body and the quick development of the derivable security product brought the unprecedented macroscopic opportunity and power to the security market ; but at the same time our security market with the structure absurdity of participators, higher risk, irregular law, closed market, the validity of supervise and no science of market regulation does not accommodate to the macroscopic environment and so our country security market needs a new set of security theory with environment. according to the macroscopic and microcosmic environment, this article defines that our country security market is both a gapsm and the initial stage of the gapsm

    上世紀80年代以來,世界和我國經都發生了一系列重大的變化,對證券市場的發展產生了深刻的影響,尤其是信息革命、市場一體化和證券衍生產品的迅速發展,給證券市場的發展帶來了前所有的宏觀機遇和動力,而同時我國證券市場參者結構的不合理、較高的風險、不規范的法律、市場的不開放、監管的不完全以及不科學的市場調控等微觀市場環境條件此宏觀環境並不適應,從而我國證券市場需要一套適應環境變化的股票理論;本文就是以這一宏觀環境和微觀條件為依據,把我國證券市場定義為是政府主導型證券市場又是市場初期;並對我國證券市場二元制產生的原因、特點及特殊性進行了分析,並通過我國政府調節的實例進行了論證,並對投資理論和投資策略進行了研究,這對控制我國證券市場的高風險以及獲取收益都具有重大意義。
  2. By analyzing and studying the theory and practice difficulties of implementing eso motivation in domestic enterprise, and referring the essential character of the enterprise, especially the state - owned ones, the study suggest that the key point of theory and practice of designing motivation mechanism is property right system which need to establish modern enterprise system based on perspicuity of property right, that the key joint of designing and implementing eso is setting up the reasonable examination system for solving both the lack of incentive and restrict, recommending eva method as the performance examination system, and that the considerable relation of present and further for operating eso is connecting the short term incentive coming from the enterprise with the long term motivation from stock market

    分析和研究了中國企業實施期權激勵的理論實施難點,結合我國企業特別是國有企業的本質特徵,提出了我國企業激勵機制設計的理論實踐的結合點是產權制度,必須深化和加快建立以產權明晰為基礎的現代企業制度;指出了建立解決激勵不足又完善約束機制的科學合理的考核制度是我國企業實行期權激勵的設計和實施的結合點,推薦採用經增加值法作為我國企業實行股票期權激勵的企業價值或業績考核體系;論述了改變公司經營者報酬結構,將以會計盈餘為基礎的短期激勵以市場價值為基礎的長期激勵相結合是我國企業實行期權激勵的現實和來的結合點。
  3. Being a liquid containing high organic pollutants, brewery wastewater may not only lead to environmental pollution, but also decreas e the utilization ratio of raw material used in beer production. therefore, many sc holars and breweries have paid much attention to developing new techniques for t reating and making use of brewery wastewater. this paper makes a comparison among various new techniques on the basis of analyzing the sources and characteristic s of brewery wastewater. it is concluded that a single technique can not effectiv ely remove the contamination from brewery wastewater, and only the combination of various techniques can achieve great benefits both in economy and in environment. thus, several proposals are put forward for future research

    啤酒廢水中有機物的含量較高,如直接排放,污染環境,又降低啤酒工業的原料利用率.為此,許多學者和廠家對啤酒廢水的處理利用技術進行了研究.本文在闡述啤酒廢水的來源及特點的基礎上,對幾種常見的處理利用技術進行了比較,結論是:單一的處理和利用技術不能從根本上解決啤酒廢水的污染問題,只有將多種技術結合使用,才能達到經效益和環境效益的統一.最後,對來的研究方向提出了幾點建議
  4. As for the measures in phase of legislation, it includes determining the limitation of rights, perfecting searching system of object of rights, confirming the legal principle of resolving conflicts etc. as for the measures in phase of remedy, it includes confirmed rights by relevant authorities, opposition procedure, interested person ' s application to relevant authorities for protection, as well as lawsuit arbitration etc. the thesis will analyze and study such conflicts by means of analyzing case and legal reasoning, in order to find out the ways by which the conflicts and contradictions will be resolved

    立法方面的任務是確定權利的界限、完善權利客體的檢索審查機制、確認解決沖突的法律原則等,通過建立理想的確權模式來避免來可能產生的權利沖突。法律救措施包括有關部門主動確權、異議程序、當事人向有關部門提出權利保護申請、訴訟或者仲裁等方面,目的在於通過具體的法律實踐,對權利沖突進行調和和整理,使調整各類權利的法律規范體系得以順利實施。從法律運行的角度看,商標權字號權、域名權等相關權利的沖突有立法的原因,又有執法、守法的原因。
  5. The essay has also proposed the combined hedging tactics of preventing credit risks and option with option margin and the method of adopting stock option to address the issue of trustee or agent risks. it has constructed its option model relating to rate and exchange risks to manage interest rate risk through the implementation of interest rate guarantee, caps and floors as well as swaption

    綜上,我們認為在經學中,風險的定義,是指人們由於對來行為的訣策及客觀條件下的不確定性,而導致實際結果預期結果之間的偏差程度,這種不確定性可能帶來正面,也可能帶來負面的影響。
  6. However, there also exist more unsuitable behaviour and thinking : the fitting degree is small and low ; the expectation about future isn " t stable and uncertain, their psychological pressure is great ; contingency comes into being, farmers can " t be sure of the happenings, they have to follow others and think they were living happily in the old days an d now they aren " t ; cultural collision is great, they feel hard to follow the change of time ; the system is changing. their living pressure is large ; the felling of living on the edge is obvious with the emergence of gap of the rich and the poor ; they feel the human feeling is disappearing and become alone in the competing

    但在經體制改革中,農民表現出的不適應性行為心理更多,:對市場經改革的適應程度比較低;預期不確定、不穩定,農民心理負擔加重;偶然性出現,農民難以準確把握來,懷舊、從眾行為心理難以避免;多元文化沖突加劇,農民心理適應難度大;體制轉換,農民生存壓力增大;窮富差距拉大,農民邊緣感增強;競爭加劇,農民人情淡漠感、孤獨失落感加大等。
  7. This paper, guided by the marxism economic theory and combined the relevant knowledge of western economics and modern financial development, by adopting the complicated methods of theoretic and practical analysis, systematic and comparative analysis, quantitative and qualitative analysis, by focusing on the topic " financial development ", on the basis of combined judgement on the extent of the deepening of china " s finance, summarizes the contribution to the china " s economic development made by its financial development and the problems existed, and, according to the characteristics of the expansion in quantity on the china " s financial development in the past, puts up forward some constructive proposals on how to intensify our financial reform and push forward the financial development in the future

    本文以馬克思主義經理論為指導,綜合運用西方經理論、現代金融發展理論的相關知識,採取理論分析實證分析、系統分析比較分析、定性分析定量分析相結合的方法,緊緊圍繞「金融發展」這一主題,在對中國金融深化程度進行綜合判斷的基礎上,總結了改革開放以來中國金融發展對經發展作出的貢獻和存在的問題,並針對中國往金融發展的數量擴張型特點,提出了來我國深化金融改革,推動金融發展的相應政策建議。
  8. To accord its domestic economy with the wto rules, china has manifested strong willingness to undertake responsibility ; it has fulfilled its obligations as always and has never wavered

    為使國內經世貿規則相符,中國表現了承擔義務的強烈意願,並且一如往從動搖。
  9. We need to bereave of and adjust the risk assets, deal with bad assets, bring down the risk assets ratio, and increase the risk mitigating factors. what more important is to build a road adaptable to improve the capital adequacy ratio, according to the development of the risk management of the international banks and the need of basel, we should establish comprehensive risk management and improve risk measure technology. economic capital management has been theoretically and empirically testified for its critical role in managing risk in banking system

    一方面要積極以各種手段剝離調整風險資產,加大處理不良資產,降低風險資產權重,增加風險釋緩作用;另一方面更重要的在來發展中制定適合我國銀行提高資本充足率的路徑,根據國際銀行業風險管理的發展趨勢以及《新資本協議》的要求,盡快建立一套國際銀行業接軌又適合我國銀行業的全面風險管理體系,努力提高風險識別和量化管理的水平;實施經資本預算管理,在各級行建立資本有償使用機制,強化資本對資產業務和風險資產擴張的硬約束,促使各級行大力拓展低風險、高收益的資產業務和中間業務,不斷提高自身資本積累能力。
  10. Moreover, a concept model for the service market, a detailed analysis on the service function on telecom products market and its economic and social benefit have been designed and made in this paper. furthermore, it formulates the developing strategies for the telecom service market in consideration of many aspects such as the developing phase and frame of the service market, service model, market strategy, combination of service and market and future developing direction, etc. the paper also analyzes the example of service system of foreign telecom suppliers. the suppliers should provide low - cost and high - value service for telecom operators, and help the operators to strengthen their core competition ability for the enterprises, at the same time, the suppliers will transfer their service model from present open model to a new value added model gradually

    本文從電信產品服務的現狀出發,深入研究了其存在的問題和採取的相關對策,設計服務市場的概念模型,詳細分析了服務對電信產品市場的作用及其所產生的經、社會效益,並從服務市場的開發階段、電信業的服務市場架構、服務模式、供應商的服務市場戰略、服務市場融合及服務市場來發展方向等方面重點闡述了電信服務市場的開發策略,並進行了相關國外電信供應商的服務體系實例分析,說明供應商應為運營客戶提供低成本、高增值的服務,協助其提升企業核心競爭力,同時供應商的服務模式也將從現有的粗放型逐步轉換成有償增值服務的新模式,通過該新模式運作力求客戶滿意公司效益的平衡,在保證客戶滿意的原則下,增長客戶所需求價值,又能同時增強公司的核心競爭力,力求實現客戶滿意和公司滿意的雙贏目標。
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