目標合適公式 的英文怎麼說

中文拼音 [biāoshìgōngshì]
目標合適公式 英文
goal well-formed formula
  • : Ⅰ名詞1 (眼睛) eye 2 (大項中再分的小項) item 3 [生物學] (把同一綱的生物按彼此相似的特徵分為幾...
  • : Ⅰ名詞1 [書面語] (樹梢) treetop; the tip of a tree2 (枝節或表面) symptom; outside appearance; ...
  • : 合量詞(容量單位) ge, a unit of dry measure for grain (=1 decilitre)
  • : 形容詞1 (適合) fit; suitable; proper 2 (恰好) right; opportune 3 (舒服) comfortable; well Ⅱ...
  • : Ⅰ形容詞1 (屬于國家或集體的) state owned; collective; public 2 (共同的;大家承認的) common; gen...
  • : 名詞1 (樣式) type; style 2 (格式) pattern; form 3 (儀式; 典禮) ceremony; ritual 4 (自然科...
  • 目標 : 1. (對象) target; objective 2. (目的) goal; aim; destination
  1. This thesis attempts to have an analysis and study of the interior audit ' s functions in the basic point of fact, which also attempts to search after the hypostasis, the introversion of the service and structure of the auidt. it must be designed to the enterprise ' s flow to settle the matters of the interior audit in the luhua corporations and other corporations which have the same matters in our country. for improving interior control and risk management, this thesis makes research and design to the means and process to the system guiding and risk guiding audit using viewpoint of cybernetics and systemics into the enterprise ' s basic system and key flows ' design. for the sake of adapting new position of the audit, the auther bring forward many advices and plans to improve it. it may have helpful for the corporation to enhance and improve their management, perfect their structure too. in this thesis, the auther point out that it is not a perfect structure without interior audit. do more things about audit to the management of corporations and do less to financial affairs

    本文作者以內部審計的實務為基點,對內部審計的職能作了進一步的分析和研究,針對魯化企業內部審計中存在的主要問題,並結國內大中型企業內部審計中揭露出的普遍問題,進行了分析、研究和流程設計;對內部審計的本質、服務上的「內向性」以及組織形進行了探索;從企業基礎制度重建和關鍵流程設計的角度,以完善內部控制和改善風險管理為,運用控制論與系統論的觀點,對系統導向、風險導向內部審計、經濟責任審計等的方法和程序進行了研究與設計;並為應內部審計新形勢、完善內部審計建設提出了自己的政策建議,以期對改善企業管理、加強內部控制、完善司治理結構有所借鑒。
  2. In this article, firstly the background of the textile trade conflicts within sino - us or sino - euro are introduced, thus learn that how to discern and dodge the foreign trade risks, how to choose the appropriate investment projects have already become one of the most important questions for exporting companies on foreign trade affairs well - known as high investment and high risk. so the main text makes a risk analysis qualitatively and quantitatively on a textile - exporting trading company from three angles of statistic 、 game theory and portfolio theory, which is the main content that we studied. firstly, the statistic article adopts data of the transaction closing price of the textile clothing index in shenzhen stock exchange at the end of each quarter as well as several other kinds of data reflecting the macro - economic changes, performs an empirical analysis of these data according to the theory of co - integration test 、 granger cause test and impulse response function of time series in economitric, and learn that the impact to ti is more obvious by the economic index reflecting local commodity price level and economic prosperity degree home and abroad, as well as the impact degree and the time lag degree, and knows the macro - economic risks faced by textile business enterprises ; after that by the game theory angle we analyze exactly the managing risks faced by one textile export corporation named beauty. from the game expansion chart the system arrangement between censor ways by exportation goal countries and exporting strategies by the exporting enterprises has been analyzed. involving the benefit assignment between them both the limited rounds and infinite rounds negotiations of cooperation games have been studied, and then country responsibility and the enterprise managing risks on foreign trade affairs and so on have been analyzed exactly ; in order to realize the investment multiplication in the certain degree to disperse the risk, the

    本文首先介紹了中美、中歐紡織品貿易爭端的來龍去脈,由此可知在涉外貿易這種以高投入、高風險著稱的行業里,如何甄別和規避外貿風險、如何選擇的投資項已經成為外貿企業的首要問題。因此,正文分別從統計學、博弈論和投資組三種角度對涉外紡織品貿易司風險進行了定性和定量的分析,這也是本文的主要研究內容。首先,統計學篇選取了深圳證券交易所行業分類指數?紡織服裝指數( ti )每一季度末的交易收盤價和若干種反映宏觀經濟變化的指,利用計量經濟學中時間序列的協整檢驗、 granger因果檢驗和脈沖反應函數等理論做實證分析,從而得知反映國內物價水平和國內外經濟景氣程度的經濟指對紡織板塊上市值的沖擊比較明顯,且可知沖擊程度和時滯度,進而分析出涉外紡織企業所面臨的宏觀經濟風險;接著,從博弈論的角度具體分析一家紡織品出口司( beauty )的外貿活動所面臨的各種經營風險,該篇從博弈擴展圖入手,分析了出口的國審查方與本企業出口策略之間的制度安排;並圍繞雙方的利益分配,研究了有限回和無限回作談判博弈,然後具體論述了國家責任和企業涉外經營風險等問題;在一定程度上為了實現投資多元化來分散風險的的,投資組篇從經典的markowitz模型著手,在一些特定條件的限制下,給出了一個相應的投資組模型。
  3. Guangzhou fenghua bioengineering co., ltd. is a medium - sized civilian hi - tech enterprise. since its establishment, it has been specializing in the r & d, manufacturing and sale of the medical diagnosis products by aiming the public health institutions as its targeted customers, and making efforts to explore a suitable commercial way to develop from the cooperation with hospitals

    廣州市豐華生物工程有限司是一間中小型的民營高新技術企業,自成立時起,該企業就將醫院等衛生機構確定為自己的客戶,專業從事醫用臨床診斷產品的研發、生產與銷售,並試圖通過與醫院作等方探索自身發展的商業模
  4. The risk management has great significance to china security company. when china security company expand themselves, they should focus on enhancing the idea of risk management, improving asset quality, and also should import advanced risk management technique, develop their own technique. from this point, we can say it ' s realistic for the study on the business risk management of china security company

    我國證券司在擴大規模的同時,應有超前意識,在全面開放市場前就注重加強風險管理意識,提高資產質量,加強經營業務風險研究,積極引進、掌握國外先進、成熟的風險管理技術,並在此基礎上投入一定人力、物力開發出司經營特色的風險管理技術,使經營風險管理盡旱擺脫粗放、隨意性強的管理模,而以規范、科學的風險管理技術全面衡量市場風險,從而達到精細化管理的
  5. Following according as the actual thing of our enterprise group, the paper selects the most suitable pattern of financial control - - - - relative concentrated pattern. afterwards in the research of capital control pattern the paper put forward a new pattern that use the management of value chain as core thought to control the capital. lastly the paper establishes outstanding achievement evaluating index system and on the base of it, the paper designs the reward ways to inspirit the manager of subsidiary company to spur them to do something that is identical with the target of parent company

    該文從分析內部控制的理論基礎出發,指出財務控制是源於委託代理關系和出資者財務關系的存在;接著在分析了三種財務控制模的基礎上,根據我國的現實情況選擇了我國企業集團的財務控制模? ?相對集中的財務控制模;論文的后兩部分是財務控制的具體研究內容,根據控制論的重點控制原理,該文選擇了資金控制和經營者的激勵作為財務控制最為有效的方,並在資金控制部分提出了以價值鏈管理為核心思想的新型資金控制模;最後該文針對企業集團的特殊情況建立了子司經營者的業績評價指體系,並以此作為依據設計了經營者的報酬結構來激勵子司的經營者,促使其與母司的利益保持一致
  6. According to the facts of chemical spill accidents in waterway transport, systematic analysis is made on the suitable dispersion models and source strength calculation models of multiple spilled substance, resource and environment respectively, so as to decide the poison and fire & explosion danger area of an accident through the way of dispersion simulation. to resolve the problem to the calculation of spill amount from tanks, calculation formulas on various types of tanks were worked out ; at the same time, research is carried out on the source strength calculation of mixtures with regard to the possible spillage of chemical mixture in waterway transport. for the sake of convenient application, a computer software for the simulation of dangerous area is developed which can provide great assistance to the decision - making of emergency response and reach the target of reducing the damage of the life, property and environment to the smallest degree

    根據水運化學品泄漏事故的具體實際,針對各種泄漏物質、泄漏源和環境條件研究了各自用的擴散模和源強計算模型,以便通過擴散模擬確定事故的毒害和火災爆炸危險區域;為解決儲罐泄漏量計算困難的實際問題,推導了用各型儲罐、液艙的泄漏量計算;針對化學品水路儲運泄漏事故中泄漏物質可能會以混物形存在的情況,探討了混物的蒸氣釋放源強計算;為方便實用,開發了蒸氣擴散危險區域模擬計算機軟體,從而為事故應急決策提供了有力的輔助支持,以達到盡可能減少人員傷亡和財產損失,減輕環境污染的
  7. To solve the defects of the existing enterprise management system of dengfeng electric power bureau, the information management and decision making support system suitable for the unit was designed, by which the data integration for all subsystems and decision - making support are realized

    摘要針對登封電業局現有的企業管理系統存在的不足,設計了司運營模的信息管理及決策支持系統,以實現各子系統的數據整及決策支持,達到決策支持的
  8. The affect of transaction costs on the benefits of stakeholders are accepted within the range of 10. 00 % - 50. 00 %. at present, public finance is used as compensation way to environmental benefits of forest resources, but from the long - term view, market creation of environmental benefits of forest resources is a better solution, government agencies will play important roles in institutional arrangements of environmental benefits of forest resources. outstanding of the paper are the following : firstly, time factor has been included in faustmann forest resource model ; secondly, more data are used to estimate tree growth models ; thirdly, time series models of environmental benefits of watershed forest resources are estimated to show time changes of environmental benefits of forest resources ; finally, transaction costs are included with regard to compensation fee institutional arrangements

    分析結果表明:水源涵養林的環境效益顯著,與傳統的僅考慮木材效益的林業經營方相比,考慮環境效益后將使林業生產實踐和社會福利發生變化;對水源涵養林環境效益給予小幅度的補償如2 . 00 10 . 00即能達到改善環境、提高經營者收益和社會福利的,補償水平提高到一定程度以後其作用效果減弱,在經濟水平較低的階段或地區可以選擇較低的補償準,當經濟水平發展到較高程度以後,可以當提高補償準,逐步過渡到完全補償;考慮交易成本以後,使利益相關者的福利有所減少,交易成本幅度在補償準的10 . 00 50 . 00的范圍內時影響相對較小;於採用共支付體系的經濟補償方,但從長遠來看,創建水源涵養林環境服務市場是一種比較好的補償方,且政府在水源涵養林環境服務市場制度安排方面仍將發揮重要作用。
  9. About system of supervision organizations, on the basis of dialectical law of regulation - - - innovation - - - regulation, function - based financial supervision system should be built up and the national financial supervision bureau should be set up to regulate financial trade uniformly and solve the problem of supervising financial innovations. what " more, we should build up such a cubical financial supervision organization system that integrate the financial authority " supervision with financial trade self - discipline, social supervision and discipline of inner financial institutions. at the same time, we should organically integrate stability and flexibility of financial supervision law, change legal system of financial supervision in line with provisions of wto

    在立法價值取向上,應當重視金融監管法的效率價值,以維護金融秩序作為基本價值,在具體操作上重點突出促進金融業平競爭、提升金融運行效率兩個價值,並保持各之間的平衡與協調;在監管體制上,根據「監管? ?創新? ?再監管」的辯證規律,建立功能型金融監管體制,成立銀行業監督管理委員會,組建國家金融監管局對金融業實行統一監管,妥善解決混業經營模下金融創新的監管問題,形成國家管理機關監管、行業自律、金融機構自律和社會監督相結的立體的金融監管組織體系;在監管法律體繫上,應有機結金融監管法的穩定性和靈活性,按wto的要求變革金融監管法律制度,修改《商業銀行法》 、 《保險法》 、 《證券法》及其他不應混業經營的法律、法規,建立健全有關金融控股司、網路銀行等方面的法律、法規。
  10. On the other side, through the multi - aspects of research and the experience both from china and abroad on m & a, the article also clarifies its view on the efficiency theory, agency theory, transaction charges theory, value understatement theory, marketing influence theory and wealth reallocation theory. it also gives an explanation on the primitive motive on m & a, i. e. pursuing maximum profit and minimum competitive pressure, which, at the same time, generates the relevant effects : finance synergy, management synergy, market share effect, enterprise development effect, and strategy transit effect. the detail planning of a m & a strategy according to the relevant m & a motive is of critical importance to the success of a m & a operation

    企業並購從橫向並購、縱向並購、發展到混併購,反映了企業並購的發展過程;從多種角度對企業並購加以研究,並結國內外企業並購的實際,闡述了企業並購的效率理論、代理理論、交易費用理論、價值低估理論、市場勢力理論、財富再分配理論;分析了企業並購的原始動因? ?追求高額利潤與減少競爭壓力,並由此產生的效應? ?財務協同效應、管理協同效應、市場份額效應、企業發展效應、戰略轉移效應;根據企業並購的動機,謹慎規劃企業並購戰略,對企業並購成功至關重要,可以採用中心多角化戰略、復多角化戰略、垂直戰略、水平戰略來規劃企業並購;採用一個的方法對企業進行價值評估是企業並購中一個重要環節,正確評估企業的價值,使交易價格相對理,並能提高交易成功率,避免決策失誤;確定企業並購價值后,採用一個理的支付方,就完成了企業並購的最後工作。
  11. Releases will be issued at the right time, to the right target audience, with the right contents by using the most effective and efficient means

    關部的正聲明將以最高效迅速的方的時間發布給正確的受眾。
  12. This paper, regarding the asphalt pavement in the zhoukou region as the study object, according to the prevalent norms ( specifications for design of highway asphalt pavement ), with the beginning of the pavement performance and the transportation investigation, totally and systematically analyzes the traffic parameters and the destroying reason of pavement at the early stage in the point of fatigue property and limit strength, gives the concepts and methods of the growth rate of equivalent axle load action time, seasonal modification factor and overload factor, proposes the method of axle load conversion on the condition of heavy loading. on this basis, it proposes the design method adapting to asphalt pavement construction, explains the steps of thickness computation of construction with the combination of engineering example, finally verifies thedesign method in the paper by test road. theory and practice both prove that the reasonability of pavement structure style and the reliability of design method in the paper can adapt to the present heavy loading and overloading traffic conditions, have highly theoretical and practical value

    本文以周口地區瀝青路面為研究對象,以現行《路瀝青路面設計規范》為依據,從路面使用性能和交通特徵的調查入手,從疲勞特性和極限強度出發分析了路面早期破損的原因,全面系統地進行了交通參數的分析,提出了當量軸次增長率、季節修正系數和超載系數的概念和方法,並提出了重載交通的軸載換算方法。在此基礎上,針對超載、重載交通從結構組設計、結構厚度計算(包括疲勞強度準和極限強度準)等方面提出了宜的瀝青路面結構設計方法,並結工程實測,說明了結構層厚度計算的具體步驟,最後通過試驗路驗證本文提出的設計方法。理論與實踐均表明,本文提出的路面結構型理、設計方法可靠,能前重載、超載交通的狀況,具有較高理論與實用價值。
  13. Expanding capital operation, as an important part in development strategy, is closely related with the long - term development of listed companies, therefore, listed companies should hold strategical view in planning and making - decision in conducting expanding capital operation. based on sustainable development principle, the dissertation analyses the essence of expanding capital operation and its basic models according to the theories of capital operation ; combined with existing situation of china ' s listed companies, analyses internal causes and external factors which lead expanding capital operation falling into dire straits, and advances that using strategy is a breakthrough point to solve the problem. then, with the logical line of strategical management " analysis of strategical environment - settlement of strategical targets - drawing - up and choosing strategical model - implementing and controlling strategy - assessing strategy ", brings strategy into expanding capital operation process, analyses factors effecting expanding capital operation, and constructs decision - making model for choosing strategical styles ; in the implementation stage, focus on fixing exchange price and the whole integration management ; at final, using conglomerate m & a strategy as an example, utilizing entropic measure method, regression - analysis, variance - analysis and spss digital - statistic software, constructs a model to illustrate the relationship between diversified m & a strategy and economic performance of listed companies, puts forward the suitable expanding capital operation style for china ' s listed companies, and gives some suggestions

    本文以司持續發展為原則,根據資本運營理論,分析外擴型資本運營的內涵及其三種基本模;並與我國上市司的實際情況相結,分析前上市司外擴型資本運營陷入困境的內在原因和宏觀因素,提出以戰略為支撐是我國上市司外擴型資本運營走出困境的突破點;然後以"戰略環境分析-戰略定位-戰略制定及模選擇-戰略實施與控制-戰略評價"的戰略管理邏輯主線,將戰略引入上市司外擴型資本運營的各個階段,分析了影響上市司進行外擴型資本運營的內外部因素、確立戰略性經營,構建我國上市司外擴型資本運營戰略模的決策模型;在戰略實施階段,重點研究交易價格的確定和全面整管理;最後,以前我國上市司外擴型資本運營中常見的混併購模為例,運用熵測量法、回歸分析、方差分析等計量方法及spss大型數據統計軟體,構建模型,研究上市司混併購戰略與經濟績效的關系,在分析結果的基礎提出我國上市司發展的外擴型資本運營模及相關的建議。
  14. According to the basic competitive strategy theory and the characterics of feed industry, basic marketing and competitive strategies of gs feed company ltd., i. e. cost priority strategy and regional objective concentration strategy, have been worked out. in the meanwhile, a managing model adaptive to feed industry, which makes a feature of management concentration and dispersion of manufacture in order to overcome the trade disperse factors and gain scale profits. it is suggested that the trade challenger strategy should be practiced

    據基本競爭戰略理論和行業特點,制定了gs司的基本營銷競爭戰略為成本領先戰略和地理區域的聚集戰略,提出了飼料行業的經營模?管理集中,加工分散,以克服行業離散因素,獲取規模效益,並進一步提出實施行業挑戰者戰略,在行業內率先提出後向一體化戰略以掌握日趨緊缺的蛋白資源,據基本營銷競爭戰略和司的比較優劣勢修改了競爭策略中的品牌策略、產品定位策略、通路策略和銷售促進策略,制定了區域市場開拓策略。
  15. In this paper, several different multitarget tracking algorithms are also compared, and the relationship between the maximum velocity and the concentration under the special image capture frequency is brought out. a novel tracking strategy of referring to the velocity and direction of the sperm head based on the neighbor matching technology is introduced in our algorithm

    論文還分析了不同的多跟蹤演算法,給出了在特定采樣頻率條件下能夠跟蹤的速度和樣本密度之間應該滿足的條件,提出了于不同條件的多因素綜的鄰域匹配跟蹤演算法。
  16. Based on the port and waterway superintendence units, we study and screen the detailed method for the sample survey of whole industry waterway transportation volume, including selecting detailed sampling method, determining the appropriate sampling size, designing the calculation formula of all target estimators and their variance estimation

    包括選定具體的抽樣方法,確定的樣本量,給出需估計量的估計及估計量的精度,制定詳細的樣本調查規定和編制科學理的樣本調查表等。
  17. From the side of supervision engineers and by means of investgation, demonstration and anaylysis, this article presents the same basis of the three targets - the schedule, quality and investment - in order to obtain the most economic effect. from theory, this article also gives the limit points to find the limit points to find the faster progess, the reasonable quality and minimal investment

    本文從監理工程師的角度出發,通過調查、認證和分析,提出工程項監理的進度、質量、投資三大的共同基點是取得最大的投資效益,從理論上提出了如何尋求進度較快、質量、投資最省的極值點,並從業主的角度給出求極值點的量化
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