波動程度 的英文怎麼說

中文拼音 [dòngchéng]
波動程度 英文
waviness
  • : Ⅰ名詞1 (波浪) wave 2 [物理學] (振動傳播的過程) wave 3 (意外變化) an unexpected turn of even...
  • : 名詞1 (規章; 法式) rule; regulation 2 (進度; 程序) order; procedure 3 (路途; 一段路) journe...
  • : 度動詞[書面語] (推測; 估計) surmise; estimate
  • 波動 : 1 (不穩定) undulate; fluctuate; unsettle; surge; rise and fall 2 [物理學] wave (motion); wave...
  • 程度 : 1. (知識、能力的水平) level; degree 2. (事物變化達到的狀況) extent; degree
  1. Stability analysis of genetic parameter estimation for agronomic characters of adzuki bean

    小豆農藝性狀遺傳參數估計值的波動程度分析
  2. Though it is less well known, a woman ' s menstrual cycle can also affect her susceptibility to addictive drugs

    兩者之間的聯系也許不是一眼就能看出來的,但是很可能與兩種性激素(雌激素和黃體酮)波動程度有關。
  3. The result shows that the period cost and the interest yield similar results in the business income wave

    結果表明:在企業收益波動程度方面,期間成本和債息的使用產生了類似的結果。
  4. As the volume of sales is greater than the boundary point, the utilization of the period coat and the interest will increase the wavy degrees of business income

    當銷售量大於分界點時,期間成本、債息的應用將增加企業收益的波動程度
  5. But as the volume of sales is less than the boundary point, the utilization of the period cost and the interest will reduce the wavy degrees of business income

    但是當銷售量小於分界點時,期間成本、債息的應用將會降低企業收益的波動程度
  6. The main conclusions are as follows : the hco3 - ion content of zhujiang river changes notably in one hydrological year, especially in wet season and dry season. as for the content of inorganic carbon, that of the xijiang river is the highest, then the beijiang river, and then the dongjiang river. the xijiang river ' s inorganic carbon source was major from karst process in the drainage basin

    得出如下的結論:珠江水體hco _ 3 ~ -離子含量在一個水文年中發生顯著變化,特別是豐水期與枯水期之間較大;無機碳含量西江含量最高,其次是北江,東江最低;西江無機碳主要來源於巖溶作用,由於受河流沖刷效應影響,豐水期hco _ 3 ~ -離子含量升高;東江流域無機碳主要來源於硅酸鹽巖的碳酸鹽風化過,豐水期hco _ 3 ~ -離子含量無顯著變化;北江無機碳來源於巖溶作用和硅酸鹽巖的碳酸鹽風化過,受稀釋效應影響,無機碳含量隨水量增加而降低。
  7. The result shows that both shanghai stock exchange and shenzhen stock exchange have multi - fractal structure, small - scope fluctuation has long - range correlation, large - scope fluctuation has anti - durative, and the fluctuation extent of yield in shanghai stock exchange comprehensive index is more intense than the fluctuation extent of yield in shenzhen stock exchange component index

    結果表明我國滬深股市均具有多重分形結構,小幅具有長相關性,大幅具有反持續性,且上證綜指的波動程度比深成指數收益率的波動程度強烈。
  8. Every stock has its own volatility and different interest rates shall apply to different deposit tenors and different strike prices for eld purpose

    每隻股票的波動程度並不一樣,而股票掛?存款的息率會因應不同存款期及行使價而有所不同。
  9. Measure of the amount of fluctuation in price of the underlying security calculated using the standard deviation of average daily price change

    對基礎證券價格波動程度的測量,利用每日價格變化的標準偏差來計算。
  10. The ore blending is a technique and method with planning and managing the quantity of the ore. it can increase the stability of the ore, and adequately make use of the ore resources. it can still lower the wave of the quantity of the ore and the production cost

    配礦是規劃和管理礦石質量的技術方法,它能提高礦石的均勻性、穩定性,充分利用礦產資源,同時,還可降低礦石質量的波動程度,從而提高選礦勞生產率,提高產品質量、降低生產成本。
  11. Indeed, one feature of the recent explosion of international finance is market volatility that has been much higher than had been thought possible in the light of historical experience

    近年國際金融事業急速膨脹帶來的一項影響,是市場波動程度遠比想像大。
  12. In addition, comparing with the radical reform, the evolutionary reform help reduce interest rate fluctuate

    另外,漸進式改革方式相對于激進型改革方式更有利於降低利率波動程度
  13. A short list of stocks listed on the hong kong stock exchange are available as an underlying instrument for your selection. you can choose the stock to which your deposit is linked

    備有一系列香港交易所上市股票,以供選擇作為此存款掛?的股票而因應股票的波動程度,提供的回報會有所不同
  14. The period at the end of the trading session. sometimes used to refer to the closing range

    交易過結束的時間。通常指的是那段時間價格的
  15. Some properties of the generalized pareto distribution are discussed. then gp model is used to analyze the returns to shanghai stock index, shenzhen stock index and the stock prices of two specific companies. a quantitative indicator of extreme changes in stock index and stock price is mentioned. the estimation of value - at - risk is also discussed

    討論了gp分佈模型的某些性質,利用此模型對上證指數深證指數和2家公司股票價格的收益率進行分析,給出股票指數和價格極值波動程度的量化指標和風險值var的估計值。 。
  16. Tax assessment is to prevent false tax returns effective means, it must use scientific and the technological means and methods, object to the assessment of the tax - related indicators for comparison and analysis, with abnormal fluctuations, as taxpayers to declare tax assessment is true, accurate reference

    摘要納稅評估是防止虛假納稅申報的有效手段,它必須藉助科學的技術手段和方法,對評估客體的各項涉稅指標進行比較和分析,以其異常波動程度,作為評定納稅人申報稅款是否真實、準確的參照。
  17. In section three of this chapter, the author adopt to the gap analysis, 1995 - 2004, 10 years of 10 commercial bank interest rate sensitivity ratio calculation, give analysis of commercial banks ` irr assessment capabilities in the 10 years of market - oriented reforms, the level of

    這也是本文著力于探討利率風險評估的原因。對于商業銀行而言,利率風險取決於市場利率的波動程度和資產負債表期限不匹配的。重定價風險、基準風險、收益率曲線風險和期權風險
  18. The mexican banking crisis of 1995 - 96 supports the policy implications of the " vulnerability - shocks " paradigm : developing countries should identify the specific causes of their banking systems vulnerability and implement the appropriate financial reforms ; fragile banking systems complicate the management of macroeconomic policy in terms of timing, scope, and effectiveness ; macroeconomic considerations should play an important role in the design of bank regulatory regimes ; effective deposit insurance systems should be established in order to reduce bank runs and moral hazards of both bankers and depositors ; considering the apparent role of lending booms in creating vulnerability of banking systems, the authorities should monitor the rate of credit growth, and take measures when it appears to be growing too rapidly

    墨西哥銀行危機印證了「脆弱與沖擊」銀行危機解釋模式的政策含義:發展中國家應針對銀行體系脆弱性的具體原因,採取相應改革措施;銀行業的脆弱性對經濟改革政策的選擇、實施時機和實施效果均會產生重要影響;應根據宏觀經濟波動程度,確定適當的銀行審慎監管指標水平;建立有效的存款保險制;應監督銀行信貸的擴張速,在必要時通過實施相應的宏觀經濟政策來限制銀行的信貸擴張。從這次銀行危機中我們主要可以得出兩點結論。
  19. To assess risk level, check these three factors : the fund ' s biggest quarterly loss, which will help you brace for the worst ; its beta, which measures a fund ' s volatility against the s & p 500 ; and the standard deviation, which shows how much a fund bounces around its average returns

    關于如何判斷風險水平,請參照以下三個要素:基金每季的最大損失,這能幫助你做好最壞的打算;貝塔系數,它能反映基金相對標準普爾指數的波動程度;標準差,這能夠顯示一個基金圍繞其平均收益上下搖擺的幅
  20. While it would not be wise to attempt to lay down criteria for making these judgements, it would be unreasonable to expect us to stand on the sidelines if credible evidence emerges of mounting instability in the market or conditions that prevent smooth interest rate adjustments

    雖然仔細定下達至有關判斷的準則並非明智之舉,但若有實在證據證明市場的波動程度正在加劇,或出現妨礙利率順利調節的情況,則大家不可能期望我們袖手旁觀。
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