exordium 中文意思是什麼

exordium 解釋
n. 名詞 (pl. exordiums, -dia )1. (事物的)發端;開端。
2. (論文的)緒言。

  1. A glance at the king after this discreet and subtle exordium, assured villefort of the benignity of his august auditor, and he went on : -

    講完了這一段謹慎而又巧妙的開場白之後,維爾福向國王瞥了一眼,看到了他那威嚴的聽者面露慈祥,這才放下心來。
  2. This paper consists of fine chapters : chapter 1 : exordium

    全文共分五章。第1章:緒論。
  3. The thesis has four main parts : exordium, text, epilogue and supplement

    本文分為緒論、正文、結語、附錄四大部分。
  4. The whole article consists of eight parts : exordium, five chapters of text, conclusion and appendix

    全文由緒論、五章正文、結論和附錄共八部分組成。
  5. Exordium summarizes the data on guo dingxiang. the text is divided into the following parts : part one

    緒論主要對《郭丁香》研究作了資料方面的概述。
  6. The first part is exordium. it mainly introduces the gist and signification of the topic, main content, purpose and methods of research

    第一部分為緒論,主要介紹了論文的選題依據與意義、論文研究的主要內容與目標及其研究思路與方法。
  7. Firstly, the exordium of this paper briefly accounts for the background, aim and signif - icance of the research on several issues on network accounting

    本文首先簡述網路會計存在問題研究的背景、目的和意義。其次,說明網路會計的產生、歷史、現狀及未來。
  8. The exordium introduces the circumstance that is connected with the theme parks researches both outside and inside, and introduce the main content of this article

    緒論部分包括主題公園建設問題提出的背景與意義、國內外研究現狀和本文的研究方法與基本內容。
  9. The first chapter is the exordium. it mainly narrates the status about current researches on features construction of cities and towns in our country and aboard

    第一章是緒論,主要介紹目前國內外對城鎮風貌研究的狀況及本論文寫作的目的、內容、方法和意義。
  10. This thesis consists of five parts : the exordium introduces occurrence and behavior about brand in m & a ; part one discusses the different types of the enterprise m & a and the connection to brand combination strategy ; part two introduces the brand problem, especially how the evaluation of the brand assets influences brand strategy, the brand stretch, the brand alternation and cooperation, the brand reorientation of the enterprise, etc. ; part three concludes the process and the problem of brand strategy choice after m & a ; part four discusses and analyses some cases, then summarizes the experience and shortage of the brand decision after enterprise m & a

    本文一共分為五個部分:緒論部分主要討論了企業並購中的品牌問題的產生和具體表現;第一部分主要討論企業並購的不同類型及其與品牌組合策略之間的關系;第二部分介紹了企業並購中遇到的品牌問題,並著重介紹了品牌資產的評估對並購后品牌策略的影響、品牌延伸、品牌區隔與協同、品牌再定位等;第三部分歸納了並購后的企業進行品牌戰略抉擇的步驟及其要注意的問題;第四部分進行了案例的討論與分析,總結出企業並購后進行品牌決策時的經驗和不足。
  11. In order to control risks effectively, the author design the purchasing & selling cycle internal control system in delphi packard electric system co., ltd. this article was written in four major portions : section one is exordium, briefly introduce the background of research, methodology of research, content of research

    現實表明,我國企業風險和內部控制制度的不完善緊密相關。為了有效的控制風險,必須建立健全企業內部控制制度,加強企業自律。內部控制己成為企業管理科學化的重要標志,也是維護市場經濟秩序的必要手段。
  12. So how to select threshold effectively to avoid lose useful signal is problem worth to research. some research is processed here on the problems above as follow : ( 1 ). in exordium the research purpose and means is introduced

    因此,在去噪的過程中如何更有效地進行閾值選取,使得噪聲被去除的同時盡可能的避免有用信號的丟失,也是一個值得研究的問題。
  13. Eecept for exordium this paper is divided into four parts : firstly, this thesis introduces the basic concept and connotation of risk and market risk. it illustrates the basic process of market risk management over all which consists of the discrimination of market risk, the measurement of market risk, the sensitivity analysis of market risk, extreme value analysis of market risk, the treatment and the inspection of market risk. afterwards it analyzes the necessity that the asset management department of security company carries out market risk management and it also analyzes the current situation of market risk management of management department of security company

    從文章結構來看,除緒論以外,本文共分四部分:本文首先介紹了風險和市場風險及市場風險管理的基本概念和內涵,並從總體上給出了市場風險管理的基本過程,其包括市場風險的辨識、市場風險的測量、市場風險的靈敏度分析、市場風險的極值分析、市場風險的處理和市場風險的監管等,然後分析了我,國券商資產管理業務進行市場風險管理的必要性,及目前市場風險管理的現狀。
  14. The content is divided into five parts, separately named as " exordium, important issues about growing companies, strategy making for growing companies, strategy implementation for growing, and peroration "

    全文共分五個部分,即緒論、成長型企業的幾個基本問題、成長型企業的戰略選擇、成長型企業的戰略選擇、成長型企業的戰略實施、結束語。
  15. This article described the exordium, the analysis of management actuality of international power project bid, the management theory of international power project, the management ' s means and skills, and case ' s analysis. characteristic and management method of international power project bid is presented. emphasis is put on some suggestions for the agent selection, the organization setting, price requisition, analysis of bid offer and skill of bid offer, which is hopely to provide some help to the management of international power project bid

    本論文包括緒論、涉外電力工程投標管理現狀分析、涉外電力工程投標管理的理論基礎、涉外電力工程投標管理的方法和技巧、案例分析等幾個部分,全面闡述了涉外電力工程投標的特點和管理,特別對代理人的選擇、管理組織機構的設置、詢價工作、報價組成內容分析及報價技巧等方面提供了一些建設性的建議,為更好地進行涉外電力工程投標工作的管理將帶來一些啟迪和幫助。
  16. It included : 1 exordium, 2 summarize of bulit data warehouse, 3 summarize of data mining, 4 summarize of cluster analysis, 5 least cluster cell ( lcc ), 6 sowntown cluster arithmetic with constraint based on lcc, 7 sowntown cluster arithmetic with constraint based on lcc was carried out in biminer, 8 the design and analysis of sowntown cluster experiment in biminer

    論文分八章,包括: 1 、緒論; 2 、數據倉庫構建概述: 3 、數據挖掘概述; 4 、聚類分析概述; 5 、最小聚類單元( c ) ; 6 、基於c帶有約束條件的商圈聚類演算法: 7 。 bimffoer系統中基於lcc商圈聚類實現; 8 、 bimryer系統的商圈聚類實驗設計和結果分析。
  17. The first part is exordium, and following is the qualifications punishment theory survey and, the development vein, the disputes between save or abolishment, the compare of foreign criminal law with our in variety and our country qualifications punishment perfect tentative plan

    本文分為五個部分,第一部分為緒論,接著主要論述了資格刑的歷史嬗變和基本特徵、存廢爭論、資格刑的種類比較、我國資格刑的發展完善。
  18. This paper studies the ways to comfotmate the models of portfolio investment combi - nation, and demonstration analysis, divided into three parts. the first part : exordium. mainly introduces the risk of portfolio investment. the second part : brings forward several kinds of investment combination model, including the traditional markowitz model, multiobjective programming and fuzzy programming. the third part : goes along with the demonstration analysis of each kind of model basted on the shanghai stock market, at the same time, appraises the superiority and inferiority with the single - parameter measurement of tangible achievement. before then, most papers discussed the static models, this paper extends the static models to the dynamic models by the means of weighted moving average and bayes estimation

    本文研究了證券投資組合模型的構造方法及其實證分析,分三部分進行:第一部分,緒論,主要介紹證券投資的風險;第二部分,提出幾種投資組合模型,在傳統的馬柯維茨模型及線性規劃的基礎上,本文另外提出多目標規劃的其它解法,並把前人模糊規劃的理論應用到具體的建模中;第三部分,根據我國的滬市行情,對各種模型進行實證分析,並利用實績的單參數度量對各種模型的優劣性進行評價。
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