綜合收益 的英文怎麼說

中文拼音 [zōngshōu]
綜合收益 英文
composite income
  • : 綜名詞[紡織] (織布機上使 經線交錯著上下分開以便梭子通過的裝置; 綜片) heddle; heald
  • : 合量詞(容量單位) ge, a unit of dry measure for grain (=1 decilitre)
  • : Ⅰ動詞1 (把攤開的或分散的事物聚集、合攏) put away; take in 2 (收取) collect 3 (收割) harvest...
  • : Ⅰ名詞1 (好處) benefit; profit; advantage 2 (姓氏) a surname Ⅱ形容詞(有益的) beneficialⅢ動詞...
  • 綜合 : 1 (歸在一起; 聯合成一個統一的整體) synthesize 2 (不同種類、不同性質的事物組合在一起) syntheti...
  • 收益 : income; proceeds; profit; earnings; gains; avails; gainings
  1. In addition, this paper gives the rethingking on classical theories and tries to synthesize classical theories with neoclassical ones as the foundation to definite some modern economic analytic tool such as value, transaction cost, property, specialization returns and transaction efficiency, with which the paper gives a brief partial equilibrium analysis to the problem of firm growth and gives some describable elucidation to firm and firm - growth with the organization theories

    再次,本文在對新古典理論進行批評性再述的基礎上,重新思考了古典理論,並試圖在古典理論與新古典理論的基礎上,重新界定價值、交易費用、產權、專業化、交易效率等現代經濟分析的工具。利用這些工具,對企業的成長作以簡單的局部均衡分析。
  2. Under the principal of making foreign things serve china and the status in quo of large gap between agriculture and industry, the following advices should be practiced : re - recognizing the meaning of nursing the agriculture ; constructing formal institutions for promising the predicable benefits ; utilizing the adjustment and disposition function of public finance policies ; establishing the organization to improving agriculture, farmer, rural ; accelerating the construction of compositive system of agriculture information ; consummating the mechanism of innovation and appliance of agriculture technology and constructing morals and cultural system during nursing the agriculture

    本著洋為中用的思想,針對目前我國工與農、城與鄉差距過大的現狀,提出為了降低交易費用,對重新認識以工哺農觀念、建立能保證可預期的以工哺農的正式規則體系、發揮以政府為主導的財稅政策的調節和配置作用、建立改善「三農」的組織系統、完善農業信息體系、農業科技創新與成果推廣機制和建設道德文化體系等方面提出了相應的政策建議。
  3. This paper explores improving the relativity of accountancy information from two aspects : the first is upgrading the current financial report system, for which the author proposes that part of items in the current financial statements should be improved and relevant statements such as overall income statememt should be included ; the second is upgrading the current financial analysis method, including development of du pont analysis method and revisal of wale proportion analysis method, for which the author proposes that attention should be paid to the financial analysis, meanwhile enhance analysis of unfinancial index, establish banlance marl record and a set of efficient evaluation system by applying synthetic grade - point method

    本論文從兩個方面探索提高會計信息的相關性,一是對現行財務報告體系的改進,提出應改進現有報表的部分項目,並增加全面表等相關的報表;二是對現行財務分析方法的改進,包括對杜邦分析方法的衍展及沃爾比重分析法的修正,提出應在重視財務分析的同時加強非財務指標的分析,建立平衡記分卡,運用評分法建立一套高效的績效評價體系。
  4. Second, the dissertation analyzes and summarizes the theory of changes of government regulational institutions from the angle of microstructure, using three theories of institutional changes, which include the new institutional economics, evolutionary economics and thoery of evolutionary game. at the basis of the three theories, it lays emphasis on the following aspects : the beginning of the institutional changes. under the great pressure of public finance, the government becomes the elementary action group of the changes of regulational institutions in order to obtain the large benefit of building expressway

    運用諾斯的制度變遷理論、演進觀的制度變遷理論和進化博弈觀的制度變遷理論的基礎之上,對高速公路管制制度變遷進行了理論分析,分析的主要內容側重於以下幾個方面:制度變遷的發動? ?在巨大的財政壓力之下,為獲取修建高速公路的巨大,政府成為管制制度變遷的初級行動團體,變遷首先是從放鬆投資管制開始的。
  5. 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:類、風險調整類和流動性類,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:採用了一般性分析和基金評價中目前較為流行的數據包絡分析( dea )相結的方法,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性,從而進行業績排名,力求客觀地評價基金的各項指標和績效。
  6. With consideration of the damage to forest soil, production costs, damage to residual stands, the model of optimal selective cutting was set up to find the harvesting policy which would maximize the expected net financial returns and minimize damage to forest soil

    以最大凈與對林地破壞最小為目標,考慮了採伐作業對林地破壞、林木損傷、生產成本等因素,建立常綠闊葉林最優擇伐模型。
  7. Firstly, the concept of cultivated land quality was defined as the integrative character of cultivated land biological capacity and the benefit of plant under the condition of using as plant cash crops, and of cultivated land potential benefit under the condition of use as construction land. cultivated land basic function was defined as subsistence function when used to plant food crops, as benefit function when used to plant cash crops, and as bearing function when used as construction land

    本文首先明確了耕地質量是耕地在現實用途條件下的生物生產能力和農業能力與未來用途條件下的潛在能力的屬性特徵,並且將耕地的基本功能確定為種植糧食作物的生存功能,種植經濟作物的功能和用作建設用地這一潛在用途的承載功能。
  8. The last part demonstrates the scientific and feasibility of the sharing mechanism model of education cost and construction and execution blue print of the tuition policy by analyzing real data with the rules of payment capability and profit capability and combining the suggestions and opinions of graduates at school, teachers and the outside people. the real data are got from questionnaire, visiting and analyzing individual case in x x university

    論文最後一部分,採用問卷調查、深入訪談和個案分析等實證研究方法,對大學的在校研究生進行抽樣調查,採用網路調查數據,用支付能力原則和能力原則對獲得的數據加以分析,並在讀研究生、高校教師和社會人士的意見和建議,對研究生教育成本分擔機制模型和學費政策方案的理性、科學性和可行性進行論證。
  9. In response to comments received through the consultation process the revised standard gives preparers of financial statements the option of presenting items of income and expense and components of other comprehensive income either in a single statement of comprehensive income with subtotals, or in two separate statements ( a separate income statement followed by a statement of comprehensive income )

    作為對徵求意見期間到的反饋信息的回應,修訂后的準則允許報表編制者選擇將所有的入、費用項目以及其他綜合收益的組成部分放入同一張帶小計的綜合收益表,或者是放入兩張單獨的報表(損表和全面表) 。
  10. The paper brings to light the value of the different sub - objectives contributing in the function of financial synthetic objective in a financial synthetic profit model through analyzing the volumes and slopes of the two - dimensional vector. the theoretical basis of the synthetic profits of enterprises participating inte rnational securities market financing has been brought out

    同時構建了融資綜合收益理論模型,並對該模型進行二維向量分析,通過對二維向量的模和斜率的分析,揭示了企業融資綜合收益模型的融資目標函數中各子目標函數權重對其貢獻的大小。
  11. There are a lot of work been done to the yield curve up to date, but the research can not keep up with the development of bond market. under such circumstances, this dissertation wants to do some researches focusing on the yield curve. first, the study observes the figures of yield curves of china bond during different periods and qualitatively analyzes how they have developed to such figures

    研究思路:本研究首先定性考察了不同時期我國國債率曲線的形狀和成因,接著通過以前的研究並結率曲線的散點圖對不同時期率曲線分別建模,利用模型定量研判市場利率走勢,並對遠期利率作出預測,最後根據實證研究結果對國債投資和管理提供了一些結論和建議。
  12. On the basis of enterprise original currency capital financing, the paper creatively raises out non - currency profit concepts in financing, builds up a financing synthetic profit model and analyzes this model with two - dimensional vector

    從企業原來意義上的貨幣化資本融資的基礎上,創新地提出了融資具有的非貨幣化概念。即國際證券市場融資的綜合收益理論。
  13. The unaudited consolidated income statement includes the results of the company and its subsidiaries for the nine months ended 30 september, 2002 2

    未經審核的綜合收益表包括本公司及其附屬公司截至2002年9月30日九個月之業績。
  14. The changes made are to require information in financial statements to be aggregated on the basis of shared characteristics and to introduce a statement of comprehensive income

    本次修訂要求將財務報表信息以共同的特徵為基礎進行併,並引入綜合收益表。
  15. The total revenue and total cost were taken as the input parameters, and the methods to calculate the them were proposed for every stage of the cooperation process

    計算模型中考慮了綜合收益成本兩個參數,並分別針對整個作過程提出了具體的計算方法。
  16. Remarks : 1. basis of presentation of income statement the unaudited consolidated income statement includes the results of the company and its subsidiaries for the six months ended 30 june 2003

    備注: 1 .表的呈報基準未經審核的綜合收益表包括本公司及其附屬公司截至2003年6月30日六個月之業績。
  17. Remarks : 1. basis of presentation of income statement @ the unaudited consolidated income statement includes the results of the company and its subsidiaries for the three months ended 31 march 2003

    備注: 1 .表的呈報基準未經審核的綜合收益表包括本公司及其附屬公司截至2003年3月31日三個月之業績。
  18. In the process, it is necessary to establish a comprehensive system of income calculations and consider the profits brought about by customers, the customers ' credit, the length of the loan period and interest rate risk, as well as the cost sharing of capital funding and operating in commercial banks

    在這個過程中,要建立有效的綜合收益測算體系,考慮客戶對商業銀行帶來的綜合收益,客戶的信用風險大小,貸款期限的長短即利率風險大小,以及商業銀行的籌集資金成本和運營成本的分攤等方面的問題。
  19. The second chapter of the dissedehon analyses the economic impetus of non - governmental invesboent in higher educahon. research shows that the overall benefits of higher education have given a sound explanation of the keen needs for higher education in china, though the private profit of higher education is quite low. the “ production ” of higher education must be socialized and marketoriented

    第二章對民間高等教育投資的經濟動力進行了分析,研究認為,雖然私人率很低,但高等教育的綜合收益足以解釋我國當前強烈的高等教育需求:高等教育「生產」必須社會化、市場化,這是民間高等教育投資的主要渠道;民辦高校大規模投資需要公共資助或政策扶持。
  20. Secondly, the study develops different mathematical models according to different periods by synthesizing previous research and observing the track of scatter plots of yield curves. thirdly, it quantitatively predicts the trend of interest rate and forward interest rate by these models. last but not the least, this study come to some conclusions and present some suggestions according to the empirical research

    本研究首先定性考察了不同時期我國國債率曲線的形狀和成因,接著通過以前的研究並結率曲線的散點圖對不同時期率曲線分別建模,利用模型定量研判市場利率走勢,並對遠期利率作出預測,最後根據實證研究結果對國債投資和國債管理提供了一些結論和建議。
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