財務模擬模型 的英文怎麼說

中文拼音 [cáixíng]
財務模擬模型 英文
financial simulation model
  • : 名詞(金錢和物資的總稱) wealth; property; valuables
  • : Ⅰ名詞1 (事情) affair; business 2 (姓氏) a surname Ⅱ動詞1 (從事; 致力) be engaged in; devote...
  • : 模名詞1. (模子) mould; pattern; matrix 2. (姓氏) a surname
  • : 動詞1. (設計; 起草) draw up; draft 2. (打算; 想要) intend; plan 3. (模仿) imitate
  • 財務 : finance; financial affairs
  • 模擬 : imitate; simulate; analog; analogy; imitation; simulation模擬艙 boilerplate; 模擬電路 [電學] circ...
  • 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. Using methods mixed with quantity analysis and quality analysis, such as professional estimation, analytical hierarchy process ( ahp ) and gray correlatively comprehensive appraisal. analyzed factors of the lu - mei group real property for example : politics, economy, financial affairs, infrastructure, technology, legal system, culture, and competition condition. provided the appraisal model and judgments result, which is the basis on the decision of the investor

    本文總結了近年來我國房地產開發投資環境分析的一些方法,運用專家評分法和層次分析法、灰色關聯分析法等定性和定量分析相結合的方法,對魯煤房地產開發公司開發的三個房地產地塊的政治、經濟、、市場、基礎設施、技術、法制、文化、競爭等條件進行了分析,給出了評價和論證結果,為解決類似的問題提供了評判式,為投資者決策提供了科學的依據。
  2. At the part of empirical study, this paper chooses 124 a - stock listed companies from stock exchange of shanghai and shenzhen as research samples, makes use of the step method to filter the 13 possible variables ( including 3 debt - paying ability indexes, 3 operating ability indexes, 4 profitability indexes and 3 cash flow indexes ) in analysis and finally sets up discrimimant models by fisher discrimimant rules with the samples " financial data. then this paper validates the stability of these models using the self - validation and cross - validation before analyzing the prediction ability of these models with outside - validation

    實證研究部分主要以我國深、滬兩市124家上市公司為研究樣本,採用上市公司1998年至2001年的實際數據,運用逐步判別分析方法對進入的13個變量(包括3個償債能力指標、 3個經營能力指標、 4個獲利能力指標及3個現金流量指標)進行篩選,並根據fisher判別準則建立判別,在運用自身驗證法與互動式驗證法對的穩定性加以驗證后,運用外部數據驗證法對的預測能力進行了分析。
  3. One is to study the relationship between the share - holding structures of senior supervisor, stock structure etc, and the finance performance of the corporate ; the other is to study the relationship between correlative factors of the corporate governance. in this article, based on the analysis of the relationship between corporate governance and financing performance, the author divide performance into two aspects : roe and tobin ' s q ratio, tries to establish the correlation and regression analysis mathematics model of corporate value and developing ability of the corporate, using statistical software spss10. 0, carry through the correlation and regression analysis, then analyzes the model to study the relationship between corporate governance, corporate value and developing ability of the corporate. this is a beneficial experiment to the research of the relationship between corporate governance and performance

    本文試圖在分析公司治理結構各方面與公司經營業績相關關系的基礎上,將公司績效分解為凈資產收益率代表的公司價值和托賓q值代表的公司價值成長能力兩個指標,分別建立公司價值與公司治理結構各影響因素以及公司價值成長能力與公司治理結構各影響因素關系的多元線性數學,利用spss10 . 0統計軟體,對之進行多元線性回歸分析,考察它們之間的相關性和回歸系數,並通過和出的回歸方程考察公司短期與長期發展能力與公司治理結構的關系,是對公司治理結構與公司績效關系進行研究的一次有益嘗試。
  4. First, thinking about all kinds of security. research internet security and financial affairs control. through the analyze of the internet financial affairs information system ' s risk, talk about the inter - control on the base of internet financial affairs information system ( operating system control, database control ) and outer - control on the base of internet financial affairs system ( surrounding control, visiting controk e - commerce controk remove disposal control ) second, on the e - currency and financial affairs balance, design different kinds of e - currency balance programmes. ( credit card. saving. case ) simplify the enterprise ' s balance and saving the last of balance ) widen the range of e - commerce activity

    首先,出於各個方面的安全考慮,就網路安全與控制方面作了研究。通過對網際網路會計信息系統的風險分析,提出了基於網際網路信息系統的內部控制(操作系統控制、數據庫控制)和基於網際網路信息系統的外部控制(周界控制、大眾訪問控制、電子商控制、遠程處理控制)的方法。其次,就電子貨幣與結算方面,設計了不同類電子貨幣的結算程序(信用卡電子貨幣結算程序、存款利用電子貨幣結算程序、現金電子貨幣結算程序)使企業簡化結算手續和節省結算費用的開支,擴展了電子商活動的范圍。
  5. With the swot analysis method, the article deeply analyzed the foundation of strategy capability of the company by associating with the analyses of outer environments and inner conditions to provide the ideas and evidences for the establishment of strategy planning program on the basis of analyses in both theory and practice, in accordance with the established strategy factors and selected general strategy methods, the article made out the strategy planning program and strategy target of the company and pointed out various subsystems of strategy planning programs such as the products strategy plan, market strategy plan, finance strategy plan, manpower resource plan, organization & administration development plan, technology development plan and technology transformation plan etc finally the article applied life cycle method and economic evaluation method to evaluate and analyze the strategy planning program stated in this article so as to guarantee that the research conclusions are scientific and practicable

    再次,對株航公司的戰略資源和能力進行了系統的分析和閘述,綜合了中、小發基地建設已有的基礎,結合行業現狀明確了株航公司的核心能力,並運用swot分析方法,綜合企業外部環境分析和內部條件分析,深入分析了株航公司的戰略能力基礎,為制定戰略規劃方案提供了思路和依據。在對理論和實際進行研究分析的基礎上,運用戰略聚類分析方法,按照戰略制定要素並結合總體戰略選擇方法,定了株航公司的戰略規劃方案和戰略目標,並提出了產品開發戰略規劃、市場戰略規劃、戰略規劃、人類資源規劃、組織與管理發展規劃、技術發展規劃、技術改造發展規劃、等各子系統的戰略規劃方案。最後,綜合運用生命周期法和經濟效果評價等研究方法對本戰略規劃進行了評估分析,保證了研究結論的科學性和實用性。
  6. The third chapter is the study of dfa modeling, which probes into such research fields as modeling components in dfa model, applicability of scenario analysis and stochastic simulation, building structure of dfa model, and how to use the dynamo 3. 0 dfa software, etc. the fourth chapter discusses the application of dfa in financial management fields, especially in financial forecasting, of our country ' s insurance companies

    該部分內容對保險公司「動態分析」的要素;情景分析、隨機方法的適用性;保險公司動態分析的構建;以及dynamo3 0動態分析軟體的使用等問題,做了深入的分析和思考。第四章著力探討動態分析在保險公司管理中的應用問題。
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