標的假設 的英文怎麼說

中文拼音 [biāodejiǎshè]
標的假設 英文
hit hypothesis
  • : Ⅰ名詞1 [書面語] (樹梢) treetop; the tip of a tree2 (枝節或表面) symptom; outside appearance; ...
  • : 4次方是 The fourth power of 2 is direction
  • : 假名詞1. (按照規定不工作或不學習的時間; 假期) holiday; vacation 2. (經過批準暫時不工作或不學習的時間; 休假) leave of absence; furlough
  • : Ⅰ動詞1 (設立; 布置) set up; establish; found 2 (籌劃) work out : 設計陷害 plot a frame up; fr...
  • 標的 : aim
  1. It is a useful assumption to describe the goals of entrepreneurs in the artificial world of pure competition.

    非現實市場中企業經營者,是非常有用
  2. Nevertheless, in the financial economics field, opm can be adopted to make a correct valuation on the uncertainty opportunity value of the financial investment since m & a has the feature of option, it is nature that opm can be adopted to valuate the target enterprise during m & a under some hypotheses

    而在金融經濟學領域,期權定價理論和模型對金融投資中不確定性機會價值能作出相當準確評估。分析表明,並購具有期權特性,因此在一定前提下,能夠將期權定價模型應用於並購中目企業價值評估。
  3. 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,推導出指數水平呈線性趨勢資產組合選擇模型;此外,作者基於資產不可交易這一,提出了b股、 h股和非流通股等情形資產定價模型,並基於系數、準差、準半方差、平均絕對離差和風險價值等風險度量指以及流通市值、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。
  4. Base on reviewing relevant literatures, the author finds that there are some problems existing in studying the determinants of capital structures decision of chinese listed companies. first most researchers hold the hypothesis of information symmetry and don not consider the information asymmetry affecting capital structure choice of chinese listed companies

    綜觀相關文獻,國內學者對中國上市公司資本結構決策影響因素實證研究存在以下局限( 1 )研究保留了mm定理中信息充分,沒有考慮信息不對稱對中國上市公司資本結構決策影響; ( 2 )沒有把信息不對稱作為量化指引入中國上市公司資本結構決策理論模型中。
  5. It is a science because it aims to explain the greatest number of facts with the fewest number of assumptions, its hypotheses are supposed to be falsifiable by empirical tests, and its theories are lawfully connected to other sciences, particularly biology

    它是一門科學,因為心理學在以最少解釋最多事實,心理學容許被實征檢驗推翻,心理學理論合理地銜接其他科學,特別是生物學。
  6. Part of releasing a program under the gpl is writing a copyright notice in your own name ( assuming you are the copyright holder )

    以gpl發布程序(所要做)一部分就是以你名字寫一份版權記(你是版權持有者) 。
  7. The study lies in following aspects : 1 ) a great number of experiments on sfrc are carried out to obtain the basic data of sfrc energy properties, which are the fundamental parts of further study. 2 ) a probability analysis based on statistical theory is done to all the experiment data. in the end, energy criterion for sfrc associated with security criterion are calculated and listed for future use

    本文主要針對鋼纖維噴射混凝土在單層隧道襯砌中應用進行了研究,內容包括以下幾個方面: 1 )進行了大量鋼纖維混凝土準試件試驗,試驗成果和數據為研究鋼纖維混凝土能量特徵提供了事實依據和參考; 2 )運用概率統計方法對鋼纖維混凝土進行了可靠性分析,得出了實際可以接受保證率下鋼纖維混凝土能量指; 3 )通過合理和簡化,研究了鋼纖維混凝土構件在破壞過程中能量耗散機理。
  8. After analyzing the drive factor to these risks, we can adopt the demand for defining enterprises rationally, carry on the correct assessment measure to the software system and system supplier through certain standard, to reduce the software risks of enterprises ; through trying attention and support, perfect business procedure of enterprise work, and perfect basic management of enterprise of leader, to make the change risk of the project reduce ; through taking and making effective implementation plan, strengthen control over project change, enhancement the control of cost and lead into project manage the measures, to reduce the project change risk that enterprises implement erp project ; through introducing management consulting, strengthens the project training and strengthens construct of the group, to reduce the human resources risk that enterprises implement erp project

    在經過對這些風險驅動因素分析后,可以採取合理界定企業需求,通過一定準對軟體系統以及系統供應商進行正確評估措施,來降低企業軟體風險;通過爭取領導重視和支持、完善企業業務流程工作、以及完善企業基礎管理工作,使項目變革風險降低;通過採取制定有效實施計劃、加強對項目變更管理、加強對實施成本控制以及引入項目監理制度等措施,降低企業實施erp項目項目變更風險;通過引入管理咨詢、加強項目培訓工作以及加強實施團隊,降低企業實施erp項目人力資源風險。
  9. In synthetic aperture radar ( sar ) and inverse sar ( isar ) imaging, most image algorithms are based on the model of standard scattering centers. but the scattering of targets is complexity, the standard scattering centers model cannot describe all scattering centers of target

    大部分雷達二維成像演算法都是基於理想散射中心模型,而真實目散射復雜性使之無法滿足理想散射中心模型條件,它包含了許多非理想散射中心。
  10. First, description of the change of financial component is provided in the paper, which indicates possible earnings management in the researched years. second, evidence of earnings management of listed company is provided as a whole by time - series models and cross - section models

    首先,通過對st公司與控制公司會計指描述性分析,指出了st公司在被特別處理前後年度以及被特別處理前年度可能存在盈餘管理行為,並得出一些初步性結論。
  11. In the course of moving object tracking introduced the suppose that the speed of moving object is stable in short time, and introduced the method that determining the tracking speed, gained nice control result

    在運動目跟蹤過程中,提出了運動速度短時不變性,提出自動跟蹤控制速度模型,獲得了良好控制性能。
  12. The concept of otn node transmission model is introduced. the requirement of otn node transmission model is discussed. this model uses the frequency domain transmission matrix to express the otn node transport characteristics. the simplified model based on wdm and im - dd systems, the relationship between node characteristics and model parameters and measurement of model parameters are also discussed. at last a briefly discussion on how to develop the otn simulation and cad software based on our model is demonstrated

    在線性時不變下,提出利用頻域傳輸矩陣來表示節點傳輸特性方法給出了oxc和oadm兩類光傳送網節點統一表示根據目前通用波分復用強度調制直接檢波系統特點對復雜頻域傳輸矩陣進行了簡化並對通常所關心節點主要性能指與模型參數關系模型參數測量和計算模型計與計算機模擬輔助計軟體開發銜接問題進行了討論。
  13. This paper analyses the process of new town planning , specially focuses on the evaluation of function of related to their original objectives, and provides the hypothesis that new town planning as a solution to metropolitan problems could not achieve its original objectives because of lacking integrated urban planning and related policy

    本文分析了新城規劃過程,尤其是對規劃最初目功能進行了評價,並且證實了提出,即由於缺乏整體性城市規劃和相關政策新城規劃不可能實現其最初目
  14. We choose our experiment with the objective of proving or disproving some assumption about how the final system will look

    我們根據證明或反對一些關于最終系統樣子選擇我們實驗。
  15. Then, this paper empirically tested the validation and predictive accuracy of different var risk management model in the domestic financial market. finally, with the analysis of modem financial risk management development trend and the current domestic financial risk management situation, this paper made a prospect for the application of this model in the construction of domestic financial risk management system. through the analysis, the main conclusions are as follows : ( l ) the traditional mean - variance model is the special example of the portfolio selection based on the var risk management model for the case that the returns of the portfolio are assumed to be normally distributed ; compared with the mean - variance model, the var risk management model is more comprehensive and accurate in the measurement of the portfolio risk, so based on the var model, the investors can allocate the asset more effectively. ( 2 ) the var risk management model can provide the timely and comprehensive risk information for the top risk manager, so it is very helpful to the improvement of total risk management efficiency. ( 3 ) based on the var model, the raroc performance valuation approach can reflect the real performance of the portfolio manager and provide the coherent standard for the allocation of risk limitation and the construction of the incentive compatibility constraint mechanism in the financial instiutions

    通過研究分析,本文主要得出如下結論: ( 1 )傳統markowitz均值? ?方差模型僅僅是在資產組合收益率正態分佈條件下基於var風險管理模型進行資產組合選擇特例,與均值? ?方差模型中方差風險度量方法相比, var風險管理模型能夠更全面、更貼切地衡量資產組合風險,且基於此模型能夠更有效地進行資產配置決策; ( 2 ) var風險管理模型能夠滿足更高層次風險管理者對風險信息需求,有助於整體風險管理效率提高; ( 3 )基於var風險管理模型raroc績效評價能夠反映資產組合管理人真實業績,從而為金融機構風險限額分配和激勵約束機制制定提供統一準; ( 4 )國內證券市場資產組合收益率服從正態分佈明顯不成立,實證檢驗表明基於資產組合收益率正態分佈條件下方差? ?協方差模型對國內資產組合風險預測存在較大偏差,由於文中證明在收益率正態分佈條件下基於方差? ?協方差模型進行資產組合選擇結果等價于markowitz均值? ?方差模型,因此,均值? ?方差模型對國內資產組合風險預測同樣會存在著較大偏差,而半參數var風險管理模型則能夠取得較好預測衡量效果; ( 5 ) var風險管理模型符合未來金融風險管理發展趨勢,基於var風險管理模型建立內容提要風險限額內控體系、風險信息披露體系和業績評價體系,並進行金融監管,將有助於國內金融機構內部風險管理方法和外部監管技術跟上國際金融風險管理發展潮流。
  16. How to choose the modulation parameter is the main concern of chap 4. supposing that channel estimation is complete, a closed form relation between modulation switching levels and target ber is first derived

    首先在通道估計完全正確下,推導出了調制方式切換門限與目誤碼率在即時誤碼率及平均誤碼率約束下關系表達式。
  17. Under assumptions that the total input and initial input quantities do not increase, with the goals of maximizing gdp, maximizing social net income, ensuring the suitable relative sizes of primary, secondary and tertiary industrial sectors and so on, a positive analysis is given by using the input - output data of guangdong province

    在不增加總投入和總初始投入條件下,以極大化國內生產總值、極大化社會純收入以及保證三次產業合適比例等為目,使用廣東省投入產出資料進行實證分析。
  18. The analysis of wideband signals will improve the resolution capability and accuracy of estimation, for more frequency components can be synthetically used. constant beam - width beam - former and direction of arrival of sources for wideband signals are the important parts of wideband array signal processing

    高分辨演算法最初都是在窄帶信號條件下提出,由於寬帶信號含有更豐富信息,有利於目檢測、參量估計和目特徵提取,因此,對于寬帶信號處理研究越來越多。
  19. The traditional accountant of human resource is under the assumption of " wealth employ capital ", use it location is inhuman force capital investor, its goal is the information that offers decision for inhuman force capital investor, think that manpower capital owner is to have been invested in object as fixed assets

    傳統人力資源會計在「財富雇傭資本」下,將其使用者定位為非人力資本投資者,其目是為非人力資本投資者提供決策信息,認為人力資本所有者像固定資產一樣是被投資對象。
  20. First, the standard errors computed under the assumptionthat the error term is independent identical distribution will be biased. second, theassumption of independence is unlikely to satisfied. in the panel data analysis modelwith hierarchical structure, hierarchical effects, nested effects, time effects are seted. then the dissertation deduced parameter estimation and hypothesis test statistic andits probability distribution and analyze the hierarchical panel data set : eastern china, central china and western china are the top level, and the prc ’ s province, cities, and autonomous regions are bottom level

    然後針對目前面板數據分析過程中存在兩方面問題,即一方面在利用面板數據模型進行分析時,準誤差計算是基於誤差項相互獨立並且同分佈,如果誤差項是相關將會造成估計有偏後果;另一方面關于獨立性這一本身就難以滿足;提出多層嵌套面板數據模型,定了層效應、嵌套效應以及時間效應參數,研究了多層嵌套模型參數估計量和檢驗統計量及其分佈。
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