經濟策略目標 的英文怎麼說

中文拼音 [jīnglüèbiāo]
經濟策略目標 英文
countervalue target
  • : 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名詞1 (通「冊」 古代寫字用的竹片或木片) bamboo or wooden slips used for writing on in ancient ...
  • : Ⅰ名詞1 (簡單扼要的敘述) summary; outline; brief account; résumé: 節略 memorandum; aide mémoire;...
  • : 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; ...
  • 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...
  • 策略 : 1 (制定的行動方針和斗爭方式) tactics 2 (講究斗爭藝術) tactful 3 [數學] (對策) policy; strat...
  • 目標 : 1. (對象) target; objective 2. (目的) goal; aim; destination
  1. 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的影響;並藉助統計學的方法,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、基於信息學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
  2. 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因子賦以合理的權重,然後運用聚類分析法和sas統計軟體對客戶群進行了科學地細分,在此基礎上幫助企業制定出不同細分客戶群組的營銷;除此之外,考慮到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,本著企業營的根本的是盈利的原則,論文結合學原理以及計量學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。
  3. The thesis is based on income question, forest coverage rate and grop production. to beging with, date envelopment analysis is proved that it can be applicated into grain for green in shan - bei district, and then in view of the fact, seven esential factors which have influence on the project are found out : expense of dam, expense of crop, expense of cash tree, expense of defense tree, other economic crop, expense of grass and graziery ; and the output factors include : income of gdp, pure income per captia, the area of decreasing land loss, graziery income, crop production, income of tree, the totle income of economic crop. after the date of each facts are puted into dea model, unefficiencial decision making units ( dmu ) found. the data that are got through adjusting unefficiencial dmus dy dea can offer guide in shanbei district upgrading of an industrial structure. at the same time, taking into account some possible problems in or after grain for green in shan - bei district, the thesis bring out some propesal to improve the circ umstance, enhance the life level and put the relation of population, resource and circumstance into a healthy orbit

    因此,加快退耕還林還草,調整土地利用結構和產業結構,已成為實現山川秀美工程和可持續發展戰的必之路。論文以解決陜北地區的收入問題,植被問題以及糧食產量問題為出發點,首先從理論上分析了包絡分析方法在陜北地區退耕還林(草)中運用的可行性,然後結合陜北地區前的實際情況,綜合分析出影響陜北地區退耕還林(草)的關鍵的七個因素作為輸入指:水利水保設施投入,農作物投入,林種支出,防護林支出,其它作物,草類支出,畜牧業投入;以退耕還林所要解決的最終問題作為輸出指: gdp收入、農民人均純收入、水土流失減少量、牧業總產值、糧食產量、林業總產值、其他作物總產值。將各指所對應的數據代入模型后,通過分析求解得出非有效的決單元,再運用包絡分析方法的一些基本原理對非有效的決單元進行調整,由此所得的數據對陜北地區的實際投入具有很好的指導意義。
  4. Complying with the national environment - protection industry policies, this dissertation applies the strategy management theories for modern enterprises, gives an overall swot analysis on the outer conditions inclusive of the social and cultural condition, the political and law condition, the economic and technical condition as well as the competitive condition and the inner conditions inclusive of the company " s background and its present situation, the incorporative structure and culture, the nuclear strength and resources confronting the company. based on this, it proposes the development strategy scheme for nte and further discusses its concerning application and control precautions. the study on the development strategy for nte enables it achieve the dynamic balance among the outer and inner conditions it faces and its managerial target even though it is in the sophisticated situations so as to ensure its ever lasting development

    本文圍繞國家環保節能產業政,通過運用現代企業戰管理理論,對企業所面臨的外部環境(包括社會文化、政治法律、和技術環境、行業及其競爭環境)和內部環境(包括企業背景現狀、組織結構、企業文化、企業核心能力及資源)的機會、威脅、優勢、劣勢進行深入分析的基礎上,提出新能公司的發展戰方案,並進一步探討戰方案的實施與控制通過對新能公司發展戰的研究,使企業在復雜多變的內外環境條件下,保證企業外部環境、內部條件和三者之間的動態平衡,從而保證企業可持續發展。
  5. 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,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變化的指,利用計量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景氣程度的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,分析了出口的國審查方式與本企業出口之間的制度安排;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。
  6. Consequently the academic base of strategic management accounting comes from the theory of strategic management, the theory of competitive advantage and farther application of the last word in management accounting including economic idea and the theory of management. basic methods of strategic management accounting not only comprise traditional analyse means, decision making means, control means, but also comprise new methods such as activity - based costing, target cost, value chain anahce, produce life cycle cost, the balanced scorecard ( economic value added ) in field of management accountingo this thesis introduces these new methods in three aspects in detail, those are programming in prophase, contro ] of proc ess and value of achievement

    正因為如此,戰管理會計的理論基礎不僅直接源於戰管理理論,尤其是競爭優勢論,還體現了思想、管理理論的最新成果在管理會計中的應用,其基本方法既包括傳統的分析方法、決方法、控制方法,又包括了作業成本計算、成本計算、企業價值鏈分析、產品壽命周期成本計算、平衡計分卡(包括增加值的計算)等管理會計新方法。
  7. " globe fits perfectly with copenhagen business school s strategic vision to train graduates who are competitive in the international job market and develop new research - based knowledge in partnership with companies and other institutions, " said ole stenvinkel nilsson, dean of the cbs economics faculty

    哥本哈根學院院長olestenvinkelnilsson表示:環球商業學課程正好配合哥本哈根商學院的。我們致力提升畢業生在國際就業市場的競爭力,並和其他公司及機構建立伴關系,研究新的知識。
  8. First, we have the resource of web cluster allocated among the classes with pareto optimal method in microeconomic1 model, and have the resource load of each class controlled not to be overused. then a policy for supporting service level agreement ( sla ) is proposed to optimize the resource utility among the web hosting users who may have idle resources or lack resources

    通過採用微觀模型中的pareto最優資源分配方法實現了web集群中業務類的資源分配,然後基於資源利用率來控制業務類服務質量;我們進一步提出sla,用來對webhosting客戶資源過剩和不足的情況進行管理,是使服務商和客戶的利益最大化。
  9. To realize this purpose, government should establish strategic aims and develop programs, constitute related policies, make out overall arrangement, and explore for operational mechanism, to form such an industry chain composed of excellent breed, livestock diseases prevention, feedstuff processing, storage and distribution, together with control of ecological environment and comprehensive service for livestock raising

    通過制定渝西走廊畜牧產業化營發展戰和戰規劃,配套畜牧業產業化營政,規劃區域布局,探索運行機制,建立良種繁育,動物保健,飼料加工、貯運、銷售,生態環境控制以及綜合服務等畜牧業產業化環節,形成產業鏈條。
  10. From the analysis of xiamen ' s position in the district economy as well as international economy, and the present situation and developing tendency of xiamen and shipping, i analyze the restricted problem and study how to develop xiamen as an area international logistic center. the construction of area logistical center as the foundation not only benefits the optimized distribution of social resources, stimulates the reasonable allocation of national economy, helps join the national market up with international market

    本文通過分析廈門在區域和世界范圍內的地位,分析廈門市和航運的現狀與發展趨勢,通過分析廈門發展物流業的瓶頸問題,對如何發揮廈門市的優勢,建設區域性國際物流中心問題進行了系統研究,提出建設現代物流中心城市的政措施,推進實現廈門市建設現代區域物流中心城市的戰
  11. The experts who agree with tax incentive to reorganizations believe, asset reorganizations are beneficial in their role as restructures of the industry, a tax subsidy to reorganizations may be socially optimal. implicit in this reasoning would then be that the private market system fails to produce the optimal amount of reorganizations, especially in the country which has a lot of small and middle - sized enterprises. as auerbach and reishus said that asset reorganizations could improve the efficiency by eliminating tax loss

    贊同給予稅收激勵政的學者認為,資產重組在產業結構中發揮著有益作用,對資產重組行為的稅收補貼是社會性優化,私人市場體制無法產生最優的資產重組數量,尤其是在中小型企業比例重的國家,中小企業在生產、銷售、人力資源、財務及研製開發上往往無法發揮規模的效益,公司籍由資產重組擴大規模營與提高競爭能力,則是企業立足於國際舞臺的重要之一,也是政府提供稅收激勵措施所欲達成的政
  12. At first, it is the analysis of the basic condition which including the key factors in the inner and outer circumstances, which were the basic conditions of the enterprise to constitute the developmental strategy. then the enterprise " developmental strategy were constituted on the basis of catching hold of reasonable chances, making full use of all kind of advantaged conditions and conforming outer resources as its unique resources. the enterprise " developmental strategy were strong extension real estate exploitation, deepening coast fathering, improving the third industry, entering into tour industry and stockbreeding, deepening the enterprise " inner administration

    然後,論文在客觀分析了興茂集團的人力資源管理狀況、科學決管理狀況、核心競爭能力、企業獨特資源優勢等內部環境之後,運用波士頓矩陣對企業現有產業進行分析,再運用ie矩陣著重對企業房地產業進行分析,最後運用swot矩陣對企業具體發展戰進行分析,制定了企業的發展戰及戰:進一步加強房地產業的發展,深化滑坡治理業,提高第三產業,退出軋鋼、壓鋼業,逐漸退出廢品回收業,進入環保業、旅遊業和畜牧業,培育企業新的增長點;同時,完善企業內部基礎管理,培育企業的核心競爭能力,實現企業的可持續發展。
  13. This article, regarding m & a as a kind of enterprise ' s investment behavior in property right, systematic analyze and identify of the strategy risk at preparing stage, the information risk at trade stage, and the conformity risk after m & a ; establishes the multi - factors assessing model of m & a risk of enterprise and multi - goals risk deciding model of m & a risk of enterprise based on grey systematic theory, and proposes the related treating view from the angle of analysis and management of investment project risk by adopting basic principles of investment, risk economics, project risk management, strategic management and system engineering

    本文將並購視為一種企業產權投資行為,運用投資學、風險學、項風險管理學、戰管理學和系統工程理論的基本原理,從投資項風險分析及管理的角度,對企業並購準備階段的戰風險、並購交易階段的信息風險和並購之後的文化整合風險等三個主要風險因素進行理論與實證分析;構建企業並購風險多因素評價模型和基於灰色系統理論的企業並購多風險決模型;提出企業並購風險的分類防範建議與處理意見。
  14. On the basis of profound research of the changing, feature and main contradiction of the ecologic system and the fine analyzing of the environment management and construction, utilizing the theory of economics, ecological economics and the concept of sustainable development, " the study on ecologic environment integrated engineering of shijiazhuang " establishes the ecological indicator system and makes the mid - term and long term integrative construction target. it also formulates the regulative ecological system engineering, ecologic environment integrated engineering, eco - system restoration engineering and ecological demonstrated engineer, and explains how to realize the engineer through the case of soa controlling. at the same time it will help shijiazhuang to realize the optimum cycle in eco - system and build our city it into an ecological and sustainable development city

    《石家莊市生態環境綜合整治工程研究》運用生態學、生態學、可持續發展的理論,在深入研究和分析了石家莊城市生態系統的演變、特徵及主要矛盾和生態環境整治建設的背景的基礎上,建立了石家莊城市生態系統指體系,確定了中長期城市生態綜合整治,提出了實施生態系統調節工程、生態環境綜合整治工程、生態系統恢復建設工程和生態示範工程的城市生態工程體系,並以石家莊市so _ 2污染控制工程為例,說明如何實現生態環境綜合整治工程,為解決石家莊城市生態系統的生態環境問題,逐步實現石家莊市生態環境良性循環和社會可持續發展,將其建設成為生態型發展示範城市的戰的實現,提供了決的科學依據。
  15. But affected buy plan economy way, hunan electric power line equipment & materials factory haven ’ t research on iron tower product marketing : research on electric power build environment and policy ; forecast of iron tower product market capacity and market prospect in coming 5 - 10 years or far. thereby is lack of integration think about iron tower product marketing strategy. in this thesis, the author coalition strategy, management, marketing and finance knowledge, on the base of economy, policy, technology macro … environment and produce, technology, manpower, finance ability, corporation culture, marketing manage way micro environment assay, exert swot way, discovery the strengths 、 weaknesses 、 opportunities and threats on hunan electric power line equipment & materials factory iron tower product

    在本文中,作者結合所學習的戰管理、營銷和財務知識,在湖南電力線路器材廠鐵塔產品市場競爭的、政、技術和行業等外部和生產規模、技術能力、人力資源、財務能力、企業文化、營銷管理模式等內部環境進行粗分析基礎上,運用swot方法歸納了湖南電力線路器材廠鐵塔產品營銷的政、歷史悠久、品牌知名度和美譽度高、技術積累、文化等方面的優勢和體制約束、生產規模和生產能力偏小、資金周轉困難、鐵塔加工成本過高、營銷管理模式等方面的劣勢,以及發展和技術革新帶來的機會和體制改革和新的加工工藝帶來的威脅,根據企業的營銷戰,進而提出了相關的鐵塔產品組合、產品包裝和服務、價格、渠道和顧客關系、供應商關系和同行關系等關系營銷和具體實施,並制定其營銷實施方案。
  16. 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

    本文以公司持續發展為原則,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式;並與我國上市公司的實際情況相結合,分析前上市公司外擴型資本運營陷入困境的內在原因和宏觀因素,提出以戰為支撐是我國上市公司外擴型資本運營走出困境的突破點;然後以"戰環境分析-戰定位-戰制定及模式選擇-戰實施與控制-戰評價"的戰管理邏輯主線,將戰引入上市公司外擴型資本運營的各個階段,分析了影響上市公司進行外擴型資本運營的內外部因素、確立戰,構建我國上市公司外擴型資本運營戰模式的決模型;在戰實施階段,重點研究交易價格的確定和全面整合管理;最後,以前我國上市公司外擴型資本運營中常見的混合併購模式為例,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,研究上市公司混合併購戰績效的關系,在分析結果的基礎提出適合我國上市公司發展的外擴型資本運營模式及相關的建議。
  17. Weighting for fuel economy and four emission performance determine an overall impact function, the user can adjust the target of the strategy by adjusting their weightings

    遺傳實時控制函數的屬性有燃油性和四種排放物的排放量,通過對各個屬性權值的調整,實現對控制的調整。
  18. Fdi gains high attention from each government, especially from those transition economies that have foreign capital attraction as one of their strategic targets of foreign economic policies

    國際直接投資受到各國政府的高度重視,尤其是轉軌國家都把吸引外資作為對外的戰之一。
  19. The problem has been studied from two sides, firstly, from the viewpoint of applicability, based on the development strategic objectives of the oil company, with the aim to unify the exploration and extraction decisions of the resources in an integrated framework, and integrate the macro economic and technical objectives with micro economic and technical models of an oil well, an integrated non - linear dynamic optimal control model has been constructed, the objective is the benefit maximum of the exploration and extraction of the resources, and the optimal strategies are obtained by changing the problem into a non - linear mathematical programming problem, on the other hand, from the more macro level, based on the analysis of the characteristics of the exploration and extraction activities of oil and gas resources, a conclusion is easily deduced that the procedure is full of randomicity, then discovering procedure of oil deposit is proved to be a poisson process, and the reserves process is a supermartingale process, so the model of exploration discovery rate and the reserves model could be constructed

    本文從兩個側面對此問題進行了研究,首先從實用性出發,以公司層次的戰性規劃為基礎,將勘探階段與開發階段的工程技術及方面的決整合在一個模型框架內,同時將宏觀層次的技術與單個油氣井生產的微觀技術模型相結合,以油氣資源勘探與開發的營效益最大化為,建立了一個非線性確定型綜合動態優化模型,通過將原非線性最優控制問題轉化為一非線性數學規劃問題進行了求解。其次從相對更宏觀的層次上,通過對油氣資源勘探與開發的特點分析,認為具有很強的隨機性,證明了勘探活動發現油氣藏的過程為一泊松過程,所發現的油氣藏儲量為一上鞅過程,在此基礎上,建立了油氣藏勘探發現率模型及儲量模型,在油氣價格服從幾何布朗運動條件下,以油氣開採收益最大化為,建立了一個油氣資源勘探與開發的隨機最優控制模型,採用動態規劃方法得到了值函數的hjb方程,並針對方程的特點,以及方程及其變量所對應的學意義,對最優的求解進行了一些討論。
  20. Their mature experience mainly is that simplifing the management structure, matrixing management of the organizational structure ; taking the service development system as the central establishment department, paying attention to the assignment of power and responsibility and establishing branch office according to the economic efficiency and so on. finally, this thesis proposes suggestion about optimizing state - owned commercial bank organizational structure of our country

    主要有:組織結構功能定位明晰,以條線為主;以業務拓展系統為中心設置部門,重點突出;按效益設置分支機構;組織結構隨環境、戰的變化而不斷變化。最後,提出了優化我國國有商業銀行組織結構的對建議。
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