盈虧平衡模型 的英文怎麼說

中文拼音 [yíngkuīpínghéngxíng]
盈虧平衡模型 英文
break-even model
  • : Ⅰ動詞1. (充滿) be full of; be filled with 2. (多出來;多餘) have a surplus ofⅡ名詞(姓氏) a surname
  • : Ⅰ動詞1 (受損失; 虧折) lose (money etc ); have a deficit 2 (欠缺; 短少) be short of; be defi...
  • : Ⅰ形容詞1 (沒有高低凹凸 不頃斜) flat; level; even; smooth 2 (高度相同; 不相上下) on the same l...
  • : Ⅰ名詞1 (秤桿) the graduated arm of a steelyard2 (稱重量的器具) weighing apparatus3 (姓氏) a...
  • : 模名詞1. (模子) mould; pattern; matrix 2. (姓氏) a surname
  • 盈虧 : 1. (月亮的圓和缺) the waxing and waning of the moon2. (賺錢和賠本) profit and loss
  • 模型 : 1 (仿製實物) model; pattern 2 (制砂型的工具) mould; pattern3 (模子) model set; mould patter...
  1. This text firstly wields theories and ploys as strategical administration matrix, balance - point of profit and loss, five competitory models and burgeoning strategical administr ation, which is to make a comparatively embedded analysis on broadband inside - and - out side condition including technical level, consumer characters, competitive status and mark eting status, etc, to bring forward available correspondence hypothesis of consumere and to put forward two ways - out for small - and - medium sized providers by swot matrix and big strategy matrix. one is gradualism retreat tactic. considering the particularity of broadband network industry, this text gives the design of gradualism retreat pattern. the other is incorporate strategy of scale domino and much more effective negotiationchip. especially, this text puts emphasis on discussion of incorporate implement methods, proposing to adopt the way of demanding contrast prise - fixing and output pluralism of products so as to induce the consumers to cut down marketing breeding periodicity, use crm to establish core competity for small - and - medium sized providers and simultaneously lay a foundation of next commingle dealing in this field

    本文運用戰略管理理論中戰略管理、價值鏈、點、五種競爭力、新興產業戰略管理、市場營銷學等思想理論和方法,對寬帶網產業內外環境(包括技術、競爭狀況、市場狀況等)進行詳細分析,總結了中小寬帶網運營商在市場營銷、資源配置、經營成本、產品結構、政策管制等幾個方面的優劣勢,並析出其中的關鍵因素,運用大戰略矩陣、 swot分析矩陣,提出中小寬帶網運營商一進一退兩種截然不同的發展戰略,即「漸進式退出」策略和「一體化」策略。
  2. Break - even model

    盈虧平衡模型
  3. Finally, after the essential factors that effect the ticket price of chongqing light rail transit are analyzed theoretically, this paper conclude that the optimal price level, which is between the marginal cost and the average cost, can be determined by ramsey pricing model and the idea of “ peak - load pricing ”

    從理論上分析了影響重慶輕軌2號線票價的主要因素,提出了這個介於邊際成本和之間的最優票價水可以由拉姆齊( ramsey )定價和「高峰負荷定價法」確定。
  4. Based on the data of petrochemical and refining industries in 2004 and 2005, an econometrics model is set up to work out the price level by which the synthetic materials industry could reach the maximum of profit ' s increment, and the price by which the refining industry could reach the zero profit

    本文以2004年和2005年石油化工和石油精煉行業的利潤和國際油價數據為基礎,建立計量經濟,測算出與合成材料產業利潤增量最大化相對應的油價水以及與石油精煉產業點相對應的油價水
  5. The paper analyses the necessity of the investment risk analysis of chinese petroleum enterprises in dint of the development about the same business in home and overseas and gives a new method - monte carlo simulation method through connecting with general theories of investment risk analysis and basing on analyzing the problems which lie in the investment risk analysis and management and by grounding on original evaluation guideline system of investment risk analysis and decision - making model. the merits are that the method not only embodies uncertainty of risk elements but also makes up the limitation rooted in underestimating influence extent about all of risk elements by com bining original break even analysis and sensitivity analysis. the method perfects deeply investment risk analysis system and improved the accurateness of investment risk analysis

    本文結合石油企業投資風險分析在國內外的發展狀況,分析了我國石油企業進行投資風險分析研究的必要性,結合投資風險分析的一般理論,在分析我國石油企業目前投資風險分析與管理方面所存在的問題和我國石油企業原有的投資風險分析評價指標體系與決策的基礎上,根據我國石油企業實際情況,引入蒙特卡羅擬方法,充分體現各風險因素的不確定性,使之與原有的分析、敏感性分析相結合,以彌補原有石油企業投資風險分析決策對各風險因素的影響程度考慮不足的缺陷,進一步完善投資風險分析系統,增強石油企業投資風險分析的準確性,並將其應用於遼河油田冷家西部開發方案中。
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