macroscopic measurement 中文意思是什麼

macroscopic measurement 解釋
宏觀量度
  • macroscopic : adj. 【物理學】肉眼可見的;宏觀的,粗視的,粗顯的。
  • measurement : n. 1. 測量,計量,量度。2. 份量,尺寸,大小,寬度,厚度,深度(等)。3. 測量法。 measurement goods (按體積、容積計算的)體積貨物。
  1. Facing the fact that there are significant differences between the tribological performances of the material surface under microscopic and macroscopic conditions and little research has been made in this respect, a measurement method for the micro - tribological performances of the material surface was suggested and a special apparatus was developed

    摘要針對微觀條件下材料表面的摩擦學特性與宏觀條件下材料表面的摩擦學特性具有很大差別而國內外在該方面研究較少的現狀,提出了一種對微觀條件下材料摩擦學性能測試的方法並研製出專用儀器微摩擦測試儀。
  2. The thesis takes finance risk as research object which studies up on the theory system, statistic measurement models and policy of china macroscopic finance risk. the author applies lots of data in analyzing and evaluating china macroscopic finance risk from the establishment of market economic system, and tries to explore the discipline and characteristic, then bring forward theoretical source and policy suggestion for the strategic management of national macroscopic finance risk. the main contents is as follows : the first chapter defines risk, finance risk and macroscopic finance risk, then concludes the basic characteristic of macroscopic finance risk, involving the complexity and multiplicity of forming reasons generated latency, accompanying of finance development and severity of educing crisis. finally, it discusses forming mechanism of macroscopic finance risk from three aspects, such as general source, informational source and international background represents following action and gearing utility in the process from risk to crises

    本文以宏觀金融風險為研究對象,研究我國宏觀金融風險的理論體系、統計度量模型和政策,運用大量的統計數據對市場經濟體制建立以來我國宏觀金融風險狀況進行了分析和評價,試圖探索我國宏觀金融風險的變化規律和形成原因的特殊性,為國家宏觀金融風險的戰略管理提出理論依據和政策建議。其主要研究內容如下:首先,從風險、金融風險和宏觀金融風險等定義出發,總結了宏觀金融風險形成原因的復雜性和多重性、生成的潛伏性、與金融發展的相隨性和引發危機的嚴重性等基本特徵,從金融風險產生的一般根源、信息根源和國際背景三方面論述了宏觀金融風險形成的機理,最後闡釋了從金融風險到金融危機的傳導機制。
  3. The second chapter builds up indicator system of macroscopic finance risk according to standard, objectivity, sensitivity and operability, which includes macroscopic finance environment risk, bank default risk, foam economic risk, national debt risk and foreign capital impacting risk. next, it standardize indicator by adopting mapping, and applies hierarchy analytical process in determining weight. at last, it draws statistic measurement models by weighted average method

    其次,根據指標體系構建的規范性、客觀性、靈敏性和可操作性等原則,構建了由宏觀經濟環境風險、銀行壞賬風險、泡沫經濟風險、國債風險和外資沖擊型風險構成的宏觀金融風險評價指標體系;然後按照映射法對指標進行標準化處理,採用層次分析法確定各大類因素的權重,並用加權平均法得出宏觀金融風險的統計度量模型。
  4. Through macroscopic examination, wall - thickness measurement, and metallographic examination of tube specimen taken from the bursted platen superheater of boiler no. 1, the causes leading to tube - burst have been analysed

    摘要通過對1號爐屏式過熱器爆管管樣的宏觀檢驗、壁厚測量和金相檢驗,對爆管原因進行了分析。
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