流動性調整 的英文怎麼說

中文拼音 [liúdòngxìngdiàozhěng]
流動性調整 英文
liquidity ustment
  • : Ⅰ動1 (液體移動; 流動) flow 2 (移動不定) drift; move; wander 3 (流傳; 傳播) spread 4 (向壞...
  • : Ⅰ名詞1 (性格) nature; character; disposition 2 (性能; 性質) property; quality 3 (性別) sex ...
  • 調 : Ⅰ動詞1 (配合得均勻合適) harmonize; suit well; fit in perfectly 2 (使配合得均勻合適) mix; adju...
  • : Ⅰ形容詞1 (全部在內; 完整) whole; all; complete 2 (整齊) neat; tidy; orderly Ⅱ動詞1 (整理; 整...
  • 流動性 : flowability; fluxility; fluidity; mobility; liquidity; flow property流動性不足 liquidity shortage...
  • 流動 : 1. (液體或氣體移動) flow; run; circulate 2. (經常變換位置) going from place to place; on the move; mobile
  • 調整 : adjust; tune up; trim; trimming; variation; modulation; arrangement; debug; rectification; redres...
  1. A kind of stainless steel flux - cored wire has been successfully developed, based on acid slag type system, by adding a bit of oxides and trace of deoxidizer, adjusting the fluidity of melting slag to increase shielding of the back weld

    在酸渣系的基礎上,通過添加少量氧化物,調熔渣的,並加入微量的強脫氧劑,以增強背面焊縫的保護,研製成功一種背面不充氬的不銹鋼打底單面焊雙面成形專用藥芯焊絲。
  2. The basic thought of the csapfba algorithm is : the edge routers perform the state management per flow, and the edge routers differentiate between the marked flows and the non - marked flows, and the edge routers insert the relevant information into the packet header by using dynamic packet state ; the core routers divide the output link bandwidth into two parts in the light of the state information of the packet header by using class - based queueing, and the core routers allocate proportionally the bandwidth to the marked flows according to their service profiles and the current network load, and the core routers allocate the bandwidth to the non - marked flows according to the principle of max - min fairness, and the csapfba algorithm can adaptively dynamically adjust the bandwidth allocation between the marked flows and the non - marked flows

    本文在csfq演算法的基礎上,提出了一種核心無狀態的自適應的成比例公平帶寬分配csapfba ( core - statelessadaptiveproportionalfairbandwidthallocation )演算法。 csapfba演算法的基本思想是:在邊界路由器完成基於每個的狀態處理,將所有的分成標記和非標記兩種類型,採用dps技術將有關信息編碼進分組頭;在核心路由器根據分組頭中攜帶的狀態信息採用cbq策略,將輸出鏈路帶寬分成兩部分,對標記根據當前的網路負荷按照服務規格成比例地分配帶寬,對非標記按照最大最小公平原則分配帶寬,並且能自適應地調帶寬分配的比例。
  3. Synthetic cryolites is mainly used as the flux in the aluminium electrolysing and the fillers of rubber, grinding wheel, the milk whiter agent of enamel glass - shaded and the flux of the non - iron metal, etc. its merits are adjustable molecular ratio, lower cost and good fluidity

    人造冰晶石可作電解氧化鋁的助熔劑,橡膠,砂輪的填充劑,搪瓷玻璃罩的增白劑及非鐵金屬的助溶劑等,它具有可調的克分子傳導率,成本低,好等優點
  4. In appraisal items choosing, we divide the items into three categories : profits, risk adjustment, and fluidness. detailed appraisal items are also set up to mirror the funds achievement comprehensively. in appraisal method choosing, we adopt universality analysis and the common used data envelopment analysis ( dea ) together, i. e., analyze the score of the numbered items first, then use dea and the analyzing software ems to calculate the funds " relative validity and get a rank of fund comprehensive achievement, trying to reflect the funds items and performance objectively

    在基金的評價指標選擇方面:將基金的評價指標主要分為三大類:收益類、風險調類和類,並設定了細分評價指標,力求全面地反映基金的業績水平;在評價方法選擇方面:採用了一般分析和基金評價中目前較為行的數據包絡分析( dea )相結合的方法,即通過對指標的量化評分進行比較分析,通過數據包絡分析法,利用ems分析軟體計算基金的相對有效,從而進行綜合業績排名,力求客觀地評價基金的各項指標和綜合績效。
  5. This centrifugal granulated diffuser is the extremely fundamental central part of drying machines. it can granulate materials into better ball - bike products ( 100 mesh to 350 mesh ) with good fluidity by means of arbitrarily adjustment. it has advantages of reasonable design, convenient operation and maintenance

    該離心造粒霧化器是乾燥設備中極其重要的心臟部分,通過任意的調能將物料霧化成( 100目350目)更好的球形產品,具有設計合理、維護裝拆方便。
  6. It is that flexibility, involving sizable and quite swift price adjustments, accompanied by a considerable degree of labour mobility within and between sectors, that has enabled hong kong to cope with economic shocks

    也就是這種靈活使香港能抵禦突如其來的經濟震蕩,其中涉及迅速和大幅度的物價調,以及行業內和行業之間相當高的就業
  7. As the scheme of packet distributed influence the performance of parallelism, in this paper, the hdw ( hash - based dynamic weight ) scheme for allocation packets in network processors is presented. the scheme is building and keeping one mapping relationship between packets ’ identifier and pes in a table of hash. the mapping formula is derived from the hrw ( highest random weight ) scheme, it is complemented by a feedback control mechanism designed to monitor processor ’ s utilization

    由於報文分配策略影響網路處理器并行能,我們提出了hdw ( hash - baseddynamicweight )負載分配演算法,基於報文標識與pe間建立映射關系,並將映射關系保存在哈希表中,映射關系基於hrw ( highestrandomweight )演算法,增加了負載反饋迴路監控pe負載狀況,通過調策略阻止pe間負載偏差。
  8. Based on the analysis of commercial banks " current concept about fund management, this paper brings forward that fund management is the main - string in its operation, and that the concept of fund management, including security and profitability, is extended from current " forrying fund " to the management of the fund cost and fund risk the paper comprehensively discusses the principle of fund management, the management of fund costs, the tactics of management about fund liquidity, the measures of management about fund risks and how to solve the problems on interest risk in the period of frequent interest fluctuation. the paper puts forward ideas on how to improve the fund management. the security, liquidity and profitability of the fund, which are both contradictory and integrated with one another, are internal factors of fund management. fund liquidity is traditional core question. commercial banks face with a number of risks of witch credit risk is the greatest one because our country has adjusted interest rates 8 times since 1996, which covered a period of frequent interest fluctuation

    商業銀行面對許多風險,但最大風險是信用風險。由於我國自1996年以來已連續調了8次利率,近幾年是利率波頻繁時期,研究利率的敏感問題顯得特別重要。要改善資金管理,提高商業銀行的經營水平,就要建立資金管理是商業銀行經營主線的理念,對資金要統一規劃和管理;要改革銀行的體制,建立現代企業制度和法人治理結構,在體制上為資金管理提供有利的運行平臺;增加改善資金管理所需的貨幣政策工具,擴大資金調控手段;打破貨幣市場的僵化局面,為資金管理創造有利的宏觀環境;續續優化負債結構和負債載體設計;增強資金信用風險規避和化解的措施;通過銀行資源合,努力尋找資金的安全投放渠道,最終完成經營模式由傳統型向現代型的轉變。
  9. To avoid the mark, the injection temperature should be increased to improve the viscosity and the injection speed should be adjusted

    為防止紋產生,應提高材料之注塑溫度,改善材料之流動性調整射出速度。
  10. That should be pointed is that due to different accounting standards provided for the listing companies every - year such as " debt restructuring " and " non - monetary transaction ", our test was implemented on different taking - off - regulation period. our results under the deangelo model and the industry model two showed that there existed earnings management hi these 31 listing companies. to our surprise, the means of management were not by the current accruals as expected

    通過對這31家樣本公司每單位資產的主觀應計利潤、應計利潤、掙利潤、經營活現金凈量和主營業務收入平均數和中位數的統計檢驗,我們發現,在deaneelo模型和調的行業模型(二)下,本文提出的假設一和假設二得到了證實,而假設三沒能通過檢驗。
  11. In consideration of the future objectives and the reality through theoretical analysis, this paper puts forward the theoretical framework for the structural readjustment objectives and 5 indicators to assess the land output, productivity, the competitive edge of the produce market, agri - food processing as well as marketing rate, and the grain sufficient rate

    根據理論分析,結合農業結構戰略調的總體目標和主要任務,以及我國農業結構調的實際,提出農業結構戰略調目標體系的理論框架和進行評價的五個主要指標:包括土地產出率、勞生產率、農產品市場競爭力、農產品加工和市場通率、糧食自給率。
  12. This thesis shows : ( 1 ) the liquidity risk of stock assert of the open - end fund shows an obvious tailed risk. ( 2 ) it can efficiently control the liquidity risk of the stock assert of the open - end fund by the cvar optimized model. ( 3 ) the proportion of the stock

    ( 2 )通過cvar調的資產組合優化模型可以有效地控制開放式基金股票資產組合的風險。 ( 3 )股票資產的權重配置影響著股票資產組合的風險的大小。
  13. Then, this paper introduce a new method of measuring the risk ? ? cohesive value at risk ( cvar ), which is more logical than the var on optimizing the portfolio according to the characteristic of the stock bargaining market of our country, it constructs a corresponding index of liquidity risk of the stock assert of the open - end fund, and by constructing a optimized model in cvar, the liquidity risk of stock assert of the open - end fund is efficiently controlled

    接著,本文引入了一種全新測量風險的方法cvar方法,並且根據我國交易市場的特點構造了相應的開放式基金股票組合的風險指標,通過構造cvar調的投資組合風險優化模型有效的控制了股票資產組合的風險。本文的研究表明: ( 1 )開放式基金股票組合的風險具有明顯的尾部風險。
  14. Fourth, the establishment of a unified inter - bank money market in 1996 has facilitated better liquidity adjustment for financial i titutio

    第四, 1996年建立了統一的銀行間拆借市場,為金融機構調創造了更好的條件。
  15. Fourth, the establishment of a unified inter - bank money market in 1996 has facilitated better liquidity adjustment for financial institutions

    第四, 1996年建立了統一的銀行間拆借市場,為金融機構調創造了更好的條件。
  16. Allowing for the effects of the adjustment of tax factor, the change of the capital structure, the liquidity risk and the dynamic variation of fund, the discount rate is calculated on the basis of the wacc model and is finally fixed

    受短期債務長期化、負債成本顯現化趨勢影響,在計算折現率時以wacc模型為基礎,考慮稅收因素調、資本結構變化、風險和資金態變化帶來的影響,進行量化后確定體折現率。
  17. Another question is whether the size and liquidity of the market are large enough to prevent destabilising overshooting in the market price

    還有市場規模及是否足以防止市場價格過度調,造成不穩。
  18. First, the dissertation demonstrates that inflation target should be a reach round zero referring to the research on optimal inflation rate, that is to say, anti - deflation and anti - inflation are both the task of inflation targeting. second, the dissertation distinguishes good and bad deflation by exploring the aggregate demand and supply factors causing the price presentation, meanwhile, inflation targeting can avoid the economy be trapped into bad deflation by setting and implementing inflation target. third, the dissertation analyzes liquidity trap by comparing with deflation and points that depreciating money and adjusting economic structure are respectively short - term and long - term projects dealing with it

    作者將「通貨緊縮」看作一種價格表現的同時,發掘造成這種價格持續下跌的表象背後的供求因素,在總供求分析的基礎上,指出「通貨緊縮」有「好」 「壞」之分,而「通貨膨脹目標制度」通過設定通貨膨脹目標區間,能夠及時阻止出現「壞」的通貨緊縮;作者區分了「通貨緊縮」和「陷阱」 ,指出貨幣貶值和經濟結構調分別是應對「陷阱」的短期和長期方案。
  19. After analyzing the status of office automation system ( oas ), this paper points out that the traditional oas is difficult in developing the information system with the integration of graphic data and text because it ca n ' t manage the huge graphic data required by some fields. at the same time, the traditional software has bad flexibility to adapt the alteration of organization or business process, so a lot of work has to be done to adapt these alterations

    本文首先分析了目前辦公自化系統的現狀,根據傳統的辦公自化系統不能管理海量的圖形信息,難于實現圖文一體化的計算機信息系統的弱點;而且組織機構的改變、業務程的調,通常也需要對軟體作出大量的修改,軟體的靈活差。
  20. Based on it, the paper built 3 hypotheses : ( 1 ) the companies treated special are likely to make income increasing accruals ; ( 2 ) they use discretionary accruals items to manage earnings ; ( 3 ) they are like to utilize current accruals to arrive at the goals. it is knew that the accounting standard of cash flow statement began at 1998 and we only can got the data from 1998, so the paper tested 31 companies as statistical samples by three different models, which are the deangelo model, industry model one and industry model two

    為此,論文僅以其中的31家摘帽st公司為樣本,按照實證研究的方法,首先建立了三點假設| : 1 、摘帽st公司在摘帽當期會作出調高利潤的應計會計處理; 2 、摘帽st公司主要通過調主觀應計利潤項目達到盈餘管理的目的; 3 、摘帽st公司會利用應計項目進行盈餘管理。
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