軟體風險管理 的英文怎麼說
中文拼音 [ruǎntǐfēngxiǎnguǎnlǐ]
軟體風險管理
英文
software risk management- 軟 : Ⅰ形容詞1 (質地不硬) soft; flexible; supple; pliable 2 (柔和) soft; mild; gentle 3 (軟弱) we...
- 體 : 體構詞成分。
- 風 : Ⅰ名詞1 (空氣流動) wind 2 (風氣; 風俗) practice; atmosphere; custom 3 (景象) scene; view 4 ...
- 險 : Ⅰ名詞1 (險惡不容易通過的地方) a place difficult of access; narrow pass; defile 2 (危險) dange...
- 管 : Ⅰ名詞1 (管子) pipe; tube 2 (吹奏的樂器) wind musical instrument 3 (形狀似管的電器件) valve;...
- 理 : Ⅰ名詞1 (物質組織的條紋) texture; grain (in wood skin etc ) 2 (道理;事理) reason; logic; tru...
- 軟體 : [計算機] software軟體包 (程序包) software package; 軟體程序 software program; 軟體跟蹤方式 soft...
- 風險 : risk; hazard; danger
- 管理 : manage; run; administer; supervise; rule; administration; management; regulation
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The same time, the writer deeply researches and analyzes the software risk management model, software risk management tools and methods, risk management implementation, the attribute of different phases in the software development life - cycle and combines with successful experience of managing the risk met in the work
與此同時,筆者對軟體風險管理研究領域中的代表人物bohem等有關軟體風險管理模式、軟體風險管理工具和方法、軟體風險管理實施、以及軟體開發生命周期各個階段的特徵等文獻進行了深入研究,並且結合了實際工作中的成功經驗。Base on those researches, the thesis applies a madm ( multi attribute decision making ) model. the model embarks from socio - technical viewpoint, analyzes technical issues, economic issues, procedural issues and organizational issues that affect software reengineering, selects economic factors, managemental factors, organizational factors, risk factors and expectational factors as main decision matrix, establishes hierarchy structure of decision matrix
該模型從社會技術系統的觀點出發,分析了技術的、經濟的、程序的和組織政治等因素對軟體再造的影響,提出了用經濟因素、管理因素、組織政治因素、風險因素以及人們對再造后系統的期望等五大類因素作為本決策問題的基本決策因素,並對各類決策因素進行了細分,確立了決策因素的層次結構。Many new methods are introduced into the credit risk evaluation area and a lot of quantitative techniques have put into the market
信用風險評估方法也不斷推陳出新,管理技術正日臻完善,許多定量技術、支持工具和軟體己付諸商業應用。Firstly, to state that the study of scm optimization calls, i present the main problems when our home enterprises put scm in practice and the lack of present theoretics. then i divided all of the means of scm optimization into two classes - enterprise management methods and information technology methods, and i discussed every information technology method in detail : enterprise management methods i discussed cover mapping out manipulable plans, strengthening core ability and improving scale economic benefit, controlling sc ' s risk, and making use of the third party ' s logistics. in chapter 4 i discuss information technique methods in detail, which cover optimizing r & d of erp and scp, edi techniques, internet information technology, the other logistics techniques, advance planning system, and network technology
最後詳細論述了優化供應鏈管理的各種企業管理方式,主要包括有:制定可行的優化實施計劃、加強企業核心能力提高企業規模經濟效益、控制供應鏈風險的措施、合理利用第三方物流等幾種方式,第四章主要論述了優化供應鏈管理的信息技術手段,有: erp和scp軟體開發的優化、使用edi技術優化供應籩管理、基於internet的供應鏈管理信息技術支撐體系、其它物流技術手段、高級計劃排程系統以及網路技術方案等。In a word, this thesis not only expounds the whole structure of stability control of power system based on the theory of control decisions, but also designs software and hardware of sub - control - station, which are different from others. there are several advantages as listed below : 1 ) distributed hardware architecture function modularization realization of communication between modules by high - speed network communication technology ( can ) ( interconnecting 256 modules or mainframes ) flexible, convenient, reliable expansibility of hardware and decreasing system risk. any broken cell only affects local cell
總之,論文不僅在控制策略理論的基礎上,闡釋了穩定控制系統的整體架構,而且研製設計出新穎的區域穩控子站裝置軟硬體,其優點體現在: 1 )分散式硬體結構體系功能模塊化採用高速網路通信技術( can )實現模塊間信息交換(最多支持256個模塊及機箱之間的互聯)硬體擴展靈活方便、可靠,降低系統風險,任一單元損壞隻影響局部2 )實時信息網(控制網)和管理網(監測網)分開。Whereafter, based on the analysis on the flood influence for traffic lines, the research is centered on the following parts : firstly, the destroying modes, reasons and mechanism of flooded lines are discussed, and the frameworks and countermeasures of preventing and controlling hazards system are put forward ; secondly, the ways of region forecasting for the landslide are analyzed and the automation of landslide forecast for certain site through visual programming is realized. furthermore, the function of dynamic segmentation in arc view is made use of to realize the forecast result ' s visualization ; thirdly, the reasons and patterns of roadbed subsidence are discussed and the methods of forecasting subsidence based on the gm ( 1, 1 ) model are put forward. then the applications of the arcview software and its extended module on the study of roadbed subsidence are debates upon ; fourthly, an analysis on the sources of flood for traffic lines, which situate in the reservoir coverage area, is given
接著,論文探討了山區交通線路災害的特點、分類、時間和空間分佈規律以及災害的防治原則和對策等;然後,以洪水災害對交通線路的毀壞為主線,重點研究和分析了以下幾個問題:第一,探討了洪水對交通線路的破壞方式,水毀原因以及水毀機理,並提出了交通線路水毀防禦系統框架和對策;第二,分析了雨季邊坡塌方災害的區段預測方法;通過可視化編程,編制了雨季邊坡塌方災害的工點預報程序,並結合arcview實現了預測結果的可視化;第三,對路基沉陷原因和模式進行了分析,並提出利用gm ( 1 , 1 )模型對路基沉陷區進行分析和預測,最後論述了arcview軟體及其擴展模塊在沉陷區研究分析中的應用;第四,對汛期庫區線路災害的原因進行了分析,並探討了利用數量化理論對路基防護工程抗洪能力進行預測的意義;第五,提出從風險的角度對交通線路的防災減災進行管理,對風險估計的相關問題進行了論述,並探討了交通線路水害危險區段的劃分問題。Is a leading authority on software risk management - check out their site
是軟體風險管理方面的領導權威請查看他們的網站。Commercial cas, on the other hand, are established, and applications expect them to be the source for most internet certificates
請記住,當使用這些原則時,應用好的軟體風險管理技術很重要。Organizations that operate their own cas generally purchase the service and management software, rather than re - create ca functionality from scratch
提供徹底防禦,這意味著您應該通過提供冗餘的安全性解決方案來管理軟體風險。Based on the above effort, the writer advanced the unique opinion how to manage the risk from software developing life - cycle aspect
在這些努力的基礎上,筆者提出了如何從軟體開發生命周期的角度來進行軟體風險管理的問題提出了獨特的觀點。I illuminate the practical value of implementing software development dynamic risk management based on life - cycle and verifies the necessity and the practice of the risk management enforced by the chinese software enterprises with analysis of two opposite cases
在對正反兩個案例的深入分析,闡明了基於生命周期軟體開發動態風險管理的實際價值,以及中國軟體企業實施軟體風險管理的必要性和實施方案。After analyzing the drive factor to these risks, we can adopt the demand for defining enterprises rationally, carry on the correct assessment measure to the software system and system supplier through certain standard, to reduce the software risks of enterprises ; through trying attention and support, perfect business procedure of enterprise work, and perfect basic management of enterprise of leader, to make the change risk of the project reduce ; through taking and making effective implementation plan, strengthen control over project change, enhancement the control of cost and lead into project manage the measures, to reduce the project change risk that enterprises implement erp project ; through introducing management consulting, strengthens the project training and strengthens construct of the group, to reduce the human resources risk that enterprises implement erp project
在經過對這些風險的驅動因素分析后,可以採取合理界定企業的需求,通過一定的標準對軟體系統以及系統供應商進行正確的評估措施,來降低企業的軟體風險;通過爭取領導的重視和支持、完善企業的業務流程工作、以及完善企業的基礎管理工作,使項目的變革風險降低;通過採取制定有效的實施計劃、加強對項目變更的管理、加強對實施成本的控制以及引入項目監理制度等措施,降低企業實施erp項目的項目變更風險;通過引入管理咨詢、加強項目培訓工作以及加強實施團隊的假設,降低企業實施erp項目的人力資源風險。Hku s portimizer includes advanced data management, robust portfolio optimization, self - explanatory performance charts, a versatile customization framework for effective manipulation of assets and optimization of portfolios, as well as index tracking and performance evaluation of assets and portfolios. it was well recognized by microsoft and was deployed in the first microsoft high performance computing cluster in hong kong. the software was first developed as a teaching tool by the department of statistics and actuarial science with funding support from hku s teaching development grant, which is then jointly developed with and commercialized by versitech ltd. verstitech ltd is the technology transfer and commercialization arm of the university of hong kong
港大投資智庫系統拓展學界尖端科技,是為優化財務投資及風險管理而設計的應用工具,系統軟體包括先進的投資數據分析系統完備的投資組合優化程式簡明的投資表現分析圖及按個人投資需要而設計的多選項的模擬功能,並建立指數基金功能及投資組合表現評估,以達致有效的資產管理及優化投資策略。Firstly, the degree of the development of project management and risk management, the explanation of the importance of project risk management, and the expatiation of the theory and method of project schedule plan, the status of project schedule risk evaluation and the development and application of simulation technique are introduced in this paper. then the advantages and disadvantages of simulation technique and program evaluation and review technique for evaluating the schedule risk of project are apart listed in the paper, and that the theory and method of monte carlo method is discussed emphatically in the paper. finally the method for evaluating the schedule risk of project by creating monte carlo simulation model with the software excel is presented in the paper, which includes modeling, simulating, counting, testing and evaluating, and makes the complex and hard quantitative analysis work - risk evaluation easy and convenient, the result of evaluation more precise and credible
本文首先介紹項目管理和風險管理的發展狀況,說明項目風險管理的重要性,闡述項目進度計劃的理論和方法、項目進度風險評價的現狀以及模擬技術的發展和應用,然後對比分析模擬法和計劃評審技術在評價項目進度風險時的優劣,並著重探討用蒙特卡羅法進行風險評價的理論和方法,最後提出在計算機軟體excel上建立蒙特卡羅模擬模型對項目的進度風險進行評價的思路和模型,並在excel上建立一套完整的進行項目進度風險評價的實現步驟和方法,包括建模、模擬、統計、檢驗和評價,使風險評價這一復雜困難的定量分析工作變得簡單方便,而且使其結果更加準確可靠。To manage software project risk is to deal with software process uncertainty to a certain extent. bayesian network is a favorable tool to model and resolve uncertainty
由於軟體開發過程的需求、設計、編碼和測試等各個環節都存在大量的不確定性和不完整性,因此軟體項目管理的實質就是軟體項目風險管理。( 4 ) using success degree to evaluate the effect of risk management, and introduce some manners which risk evaluation methods can be used in software developing
( 4 )利用成功度評價風險管理的效果,並簡要介紹了如何把風險評估方法運用於軟體開發項目實踐中的幾種模式。Software life cycle processes - risk management
軟體壽命循環程序.風險管理Standard for software life cycle processes - risk management
軟體壽命周期過程標準.風險管理From the substantial evidence, four variable factor of the debt bond market risk have been concluded by use of spssl0. 0 software. ( 2 ) the basic principle of modern risk management is applied. to aim at the present shortcomings of chinese debt bond market risk that the government debt bond price to deviate value, under the interest rate term, the developed vasicek mode is used by use of eviews software
( 2 )應用現代風險管理的基本原理,以防範化解利率期限下的我國國債市場風險,針對我國傳統國債定價弊端,引入擴展型多因子瓦西塞克模型,利用eviews軟體nls估計,推導出了在利率期限下,中國國債市場的擴展型四因子瓦西塞克國債定價模型。Taken the verace technology co., ltd ( vtc ) as an example, the risks of software projects are studied. on the basis of analysis for the status and problems of software project management in vtc, the risks defending management system of software projects has been designed and probed into by integrative using of many relative theories and the latest researches, such as project management, risks management, software engineering etc. four parts are included in the paper
文章在對維萊信公司的風險現狀分析研究的基礎上,綜合利用項目管理、風險管理、軟體工程等相關理論及其最新發展成果,探討並設計了「維萊信公司軟體項目風險防範體系」 ,為該公司的項目風險管理工作提出了一套系統化的解決方案,以期能為該公司的高層管理者的風險管理實踐提供指導,同時也希望能為國內同類企業解決類似問題提供一種參考。分享友人