概念性風格 的英文怎麼說

中文拼音 [gàiniànxìngfēng]
概念性風格 英文
conceptual style
  • : Ⅰ名詞1 (大略) general outline 2 (神氣) manner of carrying and conducting oneself; deportment ...
  • : Ⅰ動詞1 (看著文字發出聲音; 讀) read aloud 2 (上學) study; attend school 3 (想念; 考慮) think...
  • : Ⅰ名詞1 (性格) nature; character; disposition 2 (性能; 性質) property; quality 3 (性別) sex ...
  • : Ⅰ名詞1 (空氣流動) wind 2 (風氣; 風俗) practice; atmosphere; custom 3 (景象) scene; view 4 ...
  • : 格象聲詞rattle; gurgle
  • 概念 : concept; conception; notion; idea
  • 風格 : style; form; manner; touch
  1. In chapter one, the author states the evolution course of aircraft financial leasing, its definition, its reasonableness and legal nature, its features, and the main types of this transaction. chapter two is a statement on the parties of the aircraft financial leasing, their rights and obligations, and the series of documents coming into being during the aircraft financial leasing. chapter three is a part in which the author analyses the attached legal profits of the aircraft acquired through financial leasing

    第一部分簡述航空器融資租賃的發展歷史,,合理屬和法律質,航空器融資租賃的特點和航空器融資租賃的三種主要形式;第二部分闡釋航空器融資租賃當事人主體資、當事人構成及其權利義務、合同文件體系;第三部分分析作為租賃物件的航空器所承載的典型法律權益;第四部分探討航空器融資租賃中的特殊法律問題;第五部分研究航空器融資租賃險及其防範;第六部分闡釋對全面發展航空器融資租賃的看法,提出對包括航空器在內的融資租賃立法目的和立法重點的幾個觀點。
  2. Study work mainly is : part one, look back and look ahead the financial development history and present situation that derives market and the futuristic tendency, summarize domestic and international theory and method about venture capital investment, discuss establishment and develop the financial necessariness and important meaning of our country that derives market ; part two, establishthe relation between investment risk and the radom expectation effectiveness of investor ? verage stochastic dominance of asset profit ; part three, covari - ance matrix in mean - variance model is analysed with sensitivity analysis and fuzzy analysis ; part four, have looked back the concept of option, the price relation of option and black - scholes option price formula, have put forward option price formula of the discounted value of option present value ; part five, have looked back the financial concept and its classfication that financial derivatives risk, have summarized financial risk management theory, measured and assessed methods of financial derivatives risk

    主要研究工作為:第一章,回顧和展望金融衍生市場的發展歷史、現狀和未來,綜述國內外關于險投資的理論與方法,論述建立和發展我國金融衍生市場的必要及重要意義;第二章,建立投資者的隨機期望效用與投資險之間的關系? ?平均隨機占優;第三章,均值方差模型協方差矩陣的靈敏度分析與模糊分析;第四章,回顧了期權的、期權的價關系和black - scholes期權定價公式,提出了歐式看漲期權價的折現值所滿足的微分方程;第五章,回顧了金融衍生品險的及其分類,總結了金融衍生品的險管理理論和金融衍生品險計量和評估方法。
  3. The paper compared it through the respect of sense and sensibility language. the former refers to sum up the inner rule and property of thing through logic reasoning

    的語言是指用邏輯推理的方法括出事物的內在屬和規律,運用抽象的進行排斷推理,得出結論。
  4. The second part is the research of public order and good social custom ' s difference, but which element causes the difference ? the author considers that the public order and good social custom belong to different category, public order belongs to the category of states while civil society domains good social custom, we must find out the relationship between states and civil society in order to research public order and good social custom deeply. by the way, the author introduces two great men ' s idea, the one is georg wilhelm friedrich hegel, another is rock, in the end, the author gives his own comment on the two ideas, and gives his advice that we should create a mutually complementary relationship between states and civil society

    筆者認為,公共秩序與善良俗是屬于不同范疇的兩個,公共秩序屬于政治國家的范疇,而善良俗屬於市民社會的范疇,二者的差異正是源於政治國家與市民社會的差異,而對政治國家與市民社會的關系架構,歷史上存在著黑爾的「政治國家高於市民社會的架構」和洛克的「市民社會先於或外于政治國家的架構」兩種模式,筆者描述了這兩種架構,提出無論是「政治國家高於市民社會的架構」還是「市民社會先於或外于政治國家的架構」都存在著明顯的缺陷,毋寧是二者間的平衡,所以構建一種市民社會與政治國家良的互動關系比較合理。
  5. On the basic of analyzing the sizing device of hs20 - sizing machine, through practice of sizing techniques of some product, the paper points the theory of the configuration of the squeezing power and the velocity of sizing and feasibility of the design of the squeezing power primarily. the view of this paper has some direction for the produce practice

    現代主義設計是20世紀前期(主要指一戰與二戰之間)西方社會興起的一場設計運動和思潮,其主要特徵是在造物活動中強調"功能領先"的原則.這個原則往往被人們認為是二戰后(尤其是20世紀50 60年代)缺乏"人"的"國際主義"單調興起的原因.本文正是從這里入手,通過具體分析一部分和史實,力圖揭示現代主義設計本身並不是像以往被認為的那樣缺乏"人"
  6. Then user browses the web pages, selects interested web page as sample page and create conceptual schema based on the understanding of content of the sample page. thirdly, the user marks the interested information blocks in sample page and build up the correspondence between the interested information blocks of sample page and fields of conceptual schema, and at the meanwhile system passes the correspondence to learning module to form extraction rules and stores them into rule database. fourthly, extraction module extracts information from the similar - structured pages by using the extraction ailes and sends the extracted results to classified cache database for users " further query

    該系統首先將web信息按模式和劃分為不同領域,建立領域知識庫,以便對用戶的查詢進行導航並縮小查詢范圍;然後利用現有的搜索引擎實現關鍵詞查詢,利用瀏覽功能尋找感興趣的網頁,對找到的網頁根據其內容建立自定義的用戶模式;利用模式對網頁進行標記,使模式中的欄位與網頁中的信息塊對應起來,建立對應關系並傳給學習模塊以形成抽取規則並存入規則庫;抽取模塊根據規則庫中的抽取規則進行信息抽取並將抽取到的信息按用戶定義的模式形成記錄,按領域分類存儲于cache庫中以備用戶查詢;最後,用戶利用查詢功能實現個化查詢。
  7. The worldwide bestseller thermodynamics : an engineering approach brings further refinement to an approach that emphasizes a physical understanding of the fundamental concepts of thermodynamics

    本教科書使用了便於學生理解的寫作方法和交談式的寫作,講述了熱力學的基本和定理,工質的質及其實際應用。
  8. The paper is composed of five chapters the first chapter first introduces the concept, characteristics and the course of development of the stock index futures, then deduces the pricing formula of stock index futures and further analyses the functions of stock index futures and the impact of its transaction on the fluctuation of the spot transactions. the second chapter demonstrates the need and feasibility of the introduction of the stock index futures in china. through the empirical analysis of the market risk of china ' s stock market, we can see that the risk difference between individual stocks, so a portfolio investment wo n ' t help much in risk aversion

    本論文共分為五章,第一章在介紹股票指數期貨的、特點以及產生與發展的過程的基礎上,對股票指數期貨的定價公式進行了推導,從而引出股票指數期貨的套期保值、指數套利、資產配置、組合保險等作用,進而分析股票指數期貨交易對股票現貨市場波動的影響;第二章主要是對中國推出股票指數期貨的必要和可行進行論證,通過對中國股票市場險測度的實證分析,得出了中國股票價波動齊漲齊落,個股之間的險差異小的特點,因此,投資者進行投資組合的避險效果就很有限,無論是個人投資者還是機構投資者,都必須面臨中國股票市場巨大險的事實。
分享友人