統計經濟學 的英文怎麼說

中文拼音 [tǒngjīngxué]
統計經濟學 英文
demographic economics
  • : Ⅰ名詞1 (事物間連續的關系) interconnected system 2 (衣服等的筒狀部分) any tube shaped part of ...
  • : Ⅰ動詞1 (計算) count; compute; calculate; number 2 (設想; 打算) plan; plot Ⅱ名詞1 (測量或計算...
  • : 經動詞[紡織] (把紡好的紗或線梳整成經紗或經線) warp
  • : 濟名詞1. (古水名) the ji river2. (姓氏) a surname
  • : Ⅰ動詞1 (學習) study; learn 2 (模仿) imitate; mimic Ⅱ名詞1 (學問) learning; knowledge 2 (學...
  • 統計 : 1 (對有關數據的搜集、整理、計算和分析) statistics; census; numerical statement; vital statistic...
  • 經濟學 : ba economics
  • 經濟 : 1 [經] (社會物質生產和再生產的活動) economy 2 (對國民經濟有利或有害的) economic; of industria...
  1. To research the status of the use of shell resource in china securities market, in this paper, firstly, i interpret the shell resource from the economic point of view, and point out the important significance of the study on the shell resource ; secondly, i analyze the status of the use of shell resource in our country at present including the motivation, means, benefits and cost of buying a shell ; thirdly, the status of the use of shell resource in the securities market is positive studied in the way of statistics by taking the civil listed companies as examples, this part is the emphasis of the paper ; at last, i analyze the cause that the shell resource was not used well in our securities market, and bring forward some advice at five aspects, such as perfecting the law condition of buying a shell, building up the measures of resisting risk etc

    我們有必要對我國證券市場的殼資源利用狀況進行研究,以期對投資者的投資決策、證券市場監管的制定及殼資源利用績效的提高有所裨益。為了考察我國證券市場殼資源利用的狀況,本文首先從的角度對殼資源進行了解釋,並指出研究殼資源利用的重要意義;其次,分析了我國現階段殼資源利用的現狀,包括買殼的動機、方式、收益和成本;再次,以國內買殼上市企業為研究對象,用的方法對我國證券市場殼資源利用狀況進行了實證分析,這部分是本文的重點;最後根據實證的結果,分析了我國證券市場殼資源利用不佳的原因,並從完善買殼的法律環境、增強風險防範措施等5方面提出了一些相應的建議。
  2. This dissertation can be divided into three parts as following : focusing on institutional risk control, this dissertation demonstrated the effect of institutional risk on dis " objects by analyzing the relationship between deposit insurance and financial development, financial stability and market discipline, in light of foreign or native primary theory and empirical results of dis. in virtue of statistical method and with the theory of game, this dissertation explored the cause the institutional risk such as moral risk and adverse selection, on the basis of which discussed the approach of controlling institutional risk and proper deposit insurance pattern. because deposit insurance assessment is the core of institutional risk control, this dissertation introduced and discussed deeply the passive casualty - insurance model, the option - pricing model, the game - theory - based pricing model, and reasonable pricing interval, and put forward the hierarchical pricing strategy of dis on the balance of information confiscatory and risk - based - assessment necessity

    本文以存款保險制度風險控制為中心,在借鑒國內外關于存款保險制度的基本理論和實證的基礎上,通過分析存款保險與金融發展、金融穩定和市場懲戒等方面的關系,論證了存款保險制度風險對存款保險制度目標的影響;並藉助的方法,運用信息博弈論的觀點,從主要制度參與者? ?投保機構和存款保險機構? ?的效用函數出發,對存款保險所引發的道德風險和逆向選擇等制度風險的成因進行深入的剖析,探討有效控制制度風險的途徑和制度參數的安排模式;由於存款保險定價是制度風險管理的核心問題,本文還專門對意外存款保險消極模型、存款保險的期權定價模型、基於信息的存款保險定價模型以及合理定價區間等定價模式進行深入分析和詳細評述,闡述各種定價思路的局限性和可能運用的空間,通過權衡信息的充分性和風險定價的必要性,提出存款保險制度的層次性定價策略。
  3. Considering that the enterprise cannot research the " customer - enterprise " value deeply, on the basis of that, the paper puts forward evaluating system of customer value in the enterprise according to value contribution, applies ahp to analyze weight of the indexes in consultation with marketing management and selling personnel of the enterprise and relevant experts and then exert clustering analysis and sas software to classify the customers according to the current value and potential value, provide the strategies of the customer classification management. in addition, any resource is exiguity, including economical resource. this paper defines economical resource, puts forward the model of optimum distributing resource and utilizes the method of linear regress equation to get result, which to grope for a new method about calculating marketing expenditure

    本文首先界定了客戶和客戶價值的含義,同時闡述了關系營銷中客戶價值的理論以及客戶價值的影響因素,針對目前「客戶?企業」價值的研究還不成熟的研究現狀,以及現實中還沒有定量分析客戶價值大小的方法,本文提出了一套具有可操作性的客戶價值評價的指標體系,對客戶可以進行比較全面的、多角度的評價,同時採用ahp法對這個評價體系中的各指標因子賦以合理的權重,然後運用聚類分析法和sas軟體對客戶群進行了科地細分,在此基礎上幫助企業制定出不同細分客戶群組的營銷策略;除此之外,考慮到目前企業對于營銷資源的合理分配問題還沒有進行過深入地討論,本著企業營的根本目的是盈利的原則,論文結合原理以及中的多元線性回歸分析提出了實現利潤最大化的營銷資源配置的優化模型,旨在探索一種銷售費用最優配置的方法。
  4. This unevenly location of fdi and it ' s fluctuate trend affected the balanceable development of regional economy profoundly. based on the international capital flows and the economic facts of fdi flowing into china, this paper establishes an analytic framework with international economics and regional economics, then analyzes the effect of fdi on regional economic growth and in the end put forward the regional policy advice which would stimulate foreign investments inflowing into china

    本文以全球化趨勢下的國際資本流動和改革開放的現實為背景,借鑒新制度和新古典分析方法,建立了國際、區域和發展的分析框架,理論分析與實證研究相結合,重點運用數理方法和模型,利用時間序列和橫斷面數據對fdi對我國區域增長的影響進行了全面分析,並提出了引進外資的區域政策建議。
  5. With the rapid development of the security stock market especially the stock market in chian , issuing stock and circulating on market became the first choice of financing for more and more enterprise at the same time , more and more investors are attracted by the relately high initial return of stock however , the problem of ipos underpricing always exists in the stock market according to the data of more than one thousand chinese stocks , most new issues had great raise in the first trade day , and investors could acquire higher initial return than the average return of the stock market or the same industry we find that initial returns on a - share ipos average reached 132. 24 percent the main body of this paper is made up of six sections : in the first part , we introduced the method of the estimate of pricing decision ; in the second part , we analyzed the method of the pricing decision and issuing system in china , discussed the advantage and weakness of the various issuing methods , and compared the economic efficiency between the examine and approve system and authorization system ; in the third part , we analyzed the reason of ipo ' s underpricing in detail from information economics and other factors and combined with the environment of the chinese stock markets , we analyzed the special characteristics in china and how they effect the ipo ' s underpricing in the fourth part , we analyzed the data of chinese stock market with spss , made a analysis of the administrative pricing decision and market pricing decision , studied the underpricing phenomena of chinese stock market , and analyzed it ' s causes ; in the fifth part , we made a analysis of the examine approve system and authorization system ; and in the last part , we drew some conclusions and put forth some policy advices the follow are the conclusions and policy advices in this dissertation : ( 1 ) from the results of this empirical study , we found that the issuing price - earning ratio and the market situation before ipos are strongly and positively associated with the underpricing of shares , the issuing scale of ipo and the hit rate are strongly and negatively associated with the underpricing ; ( 2 ) we found that after the abolishing of ipo ' s p / e ratio and the using of authorization system , there is no significant difference among the underpricing of shares , but considered with the market entironment , we think that the ipo ' s underpricing has been correspondingly reduced ( 3 ) to reduce difference between the primary market and the second market , we suggested that we shall bring the " over - allotment option ( oao ) " to bear and resume the state - owned share and corporate - owned share to circulate on market as soon possible

    本文的主體由六個部分組成:第一部分介紹新股發行定價的估值方法;第二部分對我國的發行定價方式和發行制度進行分析,探討不同發行定價方式的優缺點,以及審批制和核準制效率分析;第三部分從信息角度和其他因素的角度詳細分析造成新股發行抑價的原因,並結合我國股票市場實際情況,分析了我國市場的特有因素是否及如何影響一級市場的發行抑價程度的;第四部分利用分析軟體spss對我國新股行政化和市場化定價進行實證分析,主要包括新股發行行政化和市場化定價方式的實施情況和效果分析、新股發行行政化定價方式的實證分析,以及新股發行行政化和市場化定價方式的比較實證分析;第五部分利用分析軟體spss對我國新股發行審批制和核準制進行實證分析;第六部分是本論文的主要結論。本文的主要結論和建議有: ( 1 )從實證分析結果看,我國新股發行抑價與市場環境、發行市盈率呈顯著正向關系,與發行規模、申購中簽率等呈顯著反向關系。 ( 2 )取消發行市盈率限制和實施核準制等市場化改革措施並沒有降低發行抑價的絕對水平,只是由於市場環境的因素,發行抑價的相對水平才有所降低。
  6. The mathematical theory of economics is thus preoccupied with statistical techniques.

    的數理論注意力集中在方法上。
  7. Some problems with regard to the development of urban public transportation are taken apart seriatim in the base of many internal and international research productions analysis, combining some actual employments in xi ' an urban public transportation, according to the basic idea of system engineering, using system analysis, system design and system decision - making technical method, cooperating theories and methods of some basic subjects such as economics, mathematics and operational research. favorable research productions are acquired and it can coach practice production

    本文在分析大量國內外關于城市公共交通方面研究成果的基礎上,結合我們對西安城市公共交通做的許多實際工作,依據系工程的基本思想,運用系分析、系和系決策的技術方法,配合、數、運籌等基礎科的理論和方法,對城市公共交通系發展所涉及的問題進行了逐一剖析,取得了良好的研究成果,能真正指導實際生產。
  8. Therefore, based on the statistics of sericultural production and production cost of cocoon, this dissertation analyzed on production cost of cocoon and competition of different industry and sustain development of sericulture. this dissertation includes 12 parts. part 1 introduced briefly on the significance and method of the research, current research situation and the structure of this dissertation

    為此,本論文以我國各主產省蠶業生產和蠶繭生產成本的數據為依據,圍繞我國蠶繭生產成本與產業間競爭力與蠶業可持續發展問題,從應用的角度進行了系的實證研究,本論文共由12部分組成。
  9. The finance balance concept of chen yun is a sinitic outcome of marx ' s financial and economic thought, characterized by such points as steadily developing economy, developing economy according to the situation of a country and national power, improving the people ' s livelihood, taking people as the final goal of service, unifying the plan regulation and market regulation, disposing correctly the relationship between infrastructure construction and the macro - economy development

    摘要陳雲的財政平衡思想是馬克思財政思想的中國化,其所表現出的穩中求進、適應國情國力,改善民生、以民為本,將劃調節與市場調節相一,正確處理基本建設與發展全局的關系等思想,豐富和發展了馬克思主義
  10. Second, by applying econometrics and statistics to the study of signal assimilation efficiency and allocation efficiency of capital factors, this thesis discloses the unequilibrium features of stock market in china

    第二,分別用方法和分析方法研究中國股票市場價格的信息吸收效率和資本要素配置效率,揭示了我國股票市場非競爭均衡特性。
  11. 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、如何選擇合適的投資項目已成為外貿企業的首要問題。因此,正文分別從、博弈論和投資組合三種角度對涉外紡織品貿易公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,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變化的指標,利用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景氣程度的指標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風險;接著,從博弈論的角度具體分析一家紡織品出口公司( beauty )的外貿活動所面臨的各種營風險,該篇從博弈擴展圖入手,分析了出口目的國審查方式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,研究了有限回合和無限回合合作談判博弈,然後具體論述了國家責任和企業涉外營風險等問題;在一定程度上為了實現投資多元化來分散風險的目的,投資組合篇從典的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合模型。
  12. Economists have been particularly surprised by favorable inflation figures in britain and the united states, since conentional measures suggest that both economies, and especially america ' s, have little productive slack

    家們對英國和美國的有利的通貨膨脹數據尤其感到驚訝,因為傳量方法顯示兩國的,特別是美國的,幾乎沒有生產蕭條的時候。
  13. Hence, they are frequently failed to deal with some realistic problems. this dissertation introduces a different data mining tool, self - organising data mining ( sodm )

    作為股票市場數據分析的常用方法,傳在模型的設定和假設條件上存在著局限。
  14. Based on the economics, the management science and the statistics, the author researched the pattern of shareholding system transformation and the enterprise reforming of the china chem group which is one of large - scale state - owned material distribution corporation

    論文運用、管理等方法,以中化供銷集團為研究對象,以該企業股份制改造為研究內容,對企業股份制改造的模式和企業重組問題進行研究。
  15. In chapter 4, based on the analysis of denotation and functions of index system and the elaboration of connotation, goals, basic principles and its factors of asd, we inquire 25 scholars in the fields of asd and construct the index system of easd including population, economic, social, resources, environmental system that add up to 32 indicators considering from the statistic data in hand. then we calculate the weight of each indicator with the analytic hierarchy process ( ahp ) according to the advices given by the scholars. next, a comprehensive evaluation model is built for evaluating the level of asd, the ability of the resources and environmental systems to the population, economic, social development systems, the level of coordination development situation of population, economic, society, resources, environment with the methods of econometrics regress models and fuzzy mathematics

    論文第四章,在把握一般指標體系內涵、功能的前提下,結合對農業可持續發展的涵義、目標與影響因素分析的基礎上,通過對25位國內農業可持續發展研究者的咨詢,構建包含人口、、社會、資源與環境五大系共32個指標的浙江大碩上位論文衣業友展可持續性的評估指標體系及其應用研究農業可持續發展評估指標體系,採用層次分析法( ahp )確定各指標權重,進而從農業可持續發展水平、農業中資源與環境系對人口、、社會系的支持能力及各大系之間的協調發展狀況三個方面運用分析方法(和模糊數)建立綜合評估模型。
  16. Henry l. moore and statistical economics ", 1962, econometrica.

    亨利l穆爾和統計經濟學" , 1962年
  17. It also studies the causes of the checkout and the flexibility of employment result. it concludes that the increase of the economy is not the granger cause of nominal employment growth, that is to say, the increase of economy in china doesn ’ t promote of the nominal employment. the decline of the nominal employment elasticity from 1999 is not only because of the improvement of technology, the imbalance of the industry structure, transformation of system and the policy of interest rate, but also because of the inexact statistic data which makes the real employment underestimated

    本文首先利用1978年至2003年的有關數據對我國增長與名義就業的關系作了分析:根據有關理論,對數據作了平穩性檢驗、協整檢驗和格蘭傑因果檢驗,用建立回歸模型的方法測算出名義就業彈性,並對檢驗結果和就業彈性測算結果作了原因解析,認為我國的增長不是名義就業增長的格蘭傑原因,即我國的增長沒有促進名義就業的增長,我國的名義就業彈性自1990年以來呈下降趨勢,其原因除了技術進步、產業結構失衡、體制轉軌和利率政策外,還有由於的原因使得真實的就業增長被低估。
  18. This study run through the basic idea of ecoregional approach methodology and systematic design by integrating agronomy, ecology, environmental economics, resource economics and maths. the study methods included macro - and micro - analysis, qualitative and quantitative analysis, theoretical and case study, statistical analysis and model simulation and so on. resources shortage and environmental pollution casued by intensive agriculture were examined for a specific suburban area shunyi district beijingissues were systematically analyzed including landuse changes, landuse driving force, water - limited yield simulation with wofost model, ecological, environmental and economical analysis of landuse, as well as optimizing pattern of landuse with rcsadss model

    本研究立足於生態區域法的基本思路,採用系的思想,通過農、生態、環境、資源、數等多科的交叉與融合,宏觀與微觀、定性與定量、理論與實證研究等相結合的方法,運用分析、模型模擬等技術手段,在大量調研基礎上,針對目前大城市郊區農業用地中存在資源短缺、環境污染等問題,以北京市順義區為典例,從土地利用現狀與動態、驅動力、 wofost模型產量模擬、生態環境分析及種植業結構優化模式等方面進行了系研究,獲得如下研究結果: ( 1 ) 2002年順義區的土地利用仍以農業用地為主,耕地、園地、林地和牧草地之和占總土地面積的56 ,農用地中糧食作物仍佔43 。
  19. From the view of engineering economies, this paper get objective function of equipment selection for ice - storage system, and get the optimal equipment selection, in which introduce into uniform annuity and correction coefficient of designing date load

    摘要從工程角度,引進等額年金,設日負荷修正系數,得出冰蓄冷空調系設備選擇的目標函數,對各參數進行賦值,求得最佳的系設備選擇,並用一個工程實例驗證,結果表明此數模型是有效的。
  20. And yet history goes on being studied as of old, side by side with laws of statistics, of geography, of political economy, of comparative philology and geology, that flatly contradict its assumptions

    同時,以前的歷史與完全違反它的原理的地理政治比較語言和地質的法則繼續被人研究著。
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