查询词典 long-term forward contract
- 与 long-term forward contract 相关的网络例句 [注:此内容来源于网络,仅供参考]
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By comparison of long-term exposure with long-term immersion, the release amount of ammonium, nitrite, nitrate and dissolved phosphorus into the overlying waters from the sediments were increased during the reflooding after long-term dessication, reflecting that long-term exposure stimulated sediments as a releasing source of nutrient and accelerated the biogeochemical cycle of nutrient in the tidal flat ecosystem.
通过对比分析发现,长期暴露之后能够增加沉积物向上覆水体释放NH〓-N、NO〓-N、NO〓-N和TDP,显示了长期暴露加剧了沉积物作为营养盐的源效应,并且加速了潮滩生态系统内营养盐的生物地球化学循环过程。
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Article 8 Where, due to a major change in the objective situation on which the labor contract is concluded, the original labor contract is unable to be preformed, and the parties fail to agree upon the modification of the labor contract, thus the employer rescinds the labor contract, the employer shall, on the basis of the term of his work in the entity, pay economic compensations equal to 1 month's wages for every full year.
第八条 劳动合同订立时所依据的客观情况发生重大变化,致使原劳动合同无法履行,经当事人协商不能就变更劳动合同达成协议,由用人单位解除劳动合同的,用人单位按劳动者在本单位工作的年限,工作时间每满一年发给相当于一个月工资的经济补偿金。
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The Parties shall strictly abide by this Contract and shall not unilaterally terminate this Contract before the expiring date of this Contract; otherwise the defaulting party shall pay the non-defaulting party a penalty which is equal to the proportion of retaining fee for the remaining term of this Contract.
合同双方应严格遵守该合同,不应在合同失效期前单方中止该合同,否则,过错方须向非过错方支付相当于本合同聘用条款下聘用定金比例的赔偿金。
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Part three mainly explores therelationship between risk bearing and concerning systems,putting forward opinions such as that iffault guarantee liability of goods is not the obstacle of the transference of risk bearing,transference of risk bearing is not the obstacle of fault guarantee liability of goods;if the sellerdelivers the object to the delivery place according to the contract or the legal provisions while thebuyer does't accept the goods according to the agreement,or the goal of contract can't beachieved because that the object's quanlity can meet the requirement of the contract,the buyerrefuses to accept the object or rescinds the contract,the occupant has the obligation to keep it ingood condition and prevent the enlargement of damage or ease the damage according to theprinciple of good faith.
第二节,主要探讨了风险负担与相关制度的关系。如认为物的瑕疵担保责任不阻碍风险负担的移转,风险负担的移转亦不排斥物的瑕疵担保责任;在出卖人按照约定或依照法律的规定将标的物置于交货地点而买受人违反约定没有收取时,或者因标的物质量不符合质量要求,致使不能实现合同目的的,买受人拒绝接受标的物或解除合同的,货物的占有者或代为保管者基于诚实信用的原则应尽妥善保管的义务,防止损害的扩大或减轻损害。
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So as to understand deeply the supply contract in theory; Fouth, based on the research above, the author, discusses the application of supply contract management, with providing some contract models and exampling the supply contract management in some intricate contracts models, for instance, Quanlify, Fix-quantified, Time flexible, and Forward contracts etc..
如,应用委托代理模型,多任务代理模型,团队理论模型等,研究供应链合同管理中企业的合同管理,并应用二层代理模型深入探讨合同决策的理论分析方法。另外,作者还应用报童模型,结合具体供应链合同管理的合同模型,分析合同决策,与供应链结构和效率之间的联系,探讨报童模型在供应链合同管理研究中的重要价值。
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Firstly, all the terms concerned are split up into basic term elements-termels, then eight aspects of quantificational indexes are given: errors-in-printing ratio,'inconsistent/uncanonical spelling' ratio,'unnecessary one-many/many-one correspondence' ratio,'inequivalent term' ratio,'discrepant interdisciplinary term' ratio,'unconformable-to-GB term' ratio,'incomplete/redundant term' ratio, and overall 'term worthy of revision/discussion' ratio.
其基本方法,一是从名词集中拆分出基础要素-名词元;二是提出八项量化指标:印误率,英语拼写不一致与不规范率,非必要的一多与多一对应率,英汉名词不对等率,与交叉学科名词有异率,与国标定名不符率,收词欠完备与冗余率及总体值得修榷率。
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It is quite different from the post-term refusal of carrying out a contract, for it is expective right, instead of actual obligatory right, that has been infringed. Moreover, anticipatory repudiation may be avoided: as the contract term has not expired, on the occasion that the party concerned completes all his obligations under the contract in due time.
它与合同履行期届至后明确拒绝履行合同的情况有较大的差别,因为它侵害的是一种期待债权,而非现实债权,且由于尚未到合同履行期限,因而明示预期违约也有可能会因当事人最终实际按约履行而消除。
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Subsequently, through the dynamic mechanisms of investment, the endogenesis of price, consideration of the resource constraints and the alternativity between productive factors, this paper completed the historic simulation to update key data, then built the closure criteria for baseline simulation, combined the dynamic recursive methord, finally assessed the long-term impact for member states in terms of policy changes under 4 scenarios. Different to the analysis from perspective of comparative static, the assessment of long-term economic impact was started from the macroeconomic point of view and import and export trade to reflect the relationship between short-term influence and long-term impact under 4 kinds of possible policy changes.
首先从CGE模型传统的比较静态的框架下,就GDP、贸易规模、双边贸易、贸易结构及产出水平、国民福利等方面来阐释各政策情景产生的冲击效果;然后通过投资动态机制与价格的内生化,考虑资源限制及生产要素间的替代性,以逐年递归动态求解方式,分国别从宏观经济、进出口贸易角度出发,对于成员国在政策变动后可能产生的远期影响进一步做出评估,以此来反映各种可能的政策变动对成员国经济的短期影响与长期影响之间的关系。
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That being the case, we propose to look forward to long-term access to high-yield long-term investors can try to investment-fund shares, which closed-end fund discount factor is more suitable for high long-term investment.
在这种情况下,我们建议期待长期获得高收益的长期投资者可尝试投资基金,股票,封闭式基金的折扣因素,更适合高长期投资。
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This paper presents the portfolio selection problem of two-attribute money and creates a model of portfolio selection based on two-attribute money, which can both contain the existing portfolio models and overcome the above-mentioned deficiencies. A series of new concepts is put forward, such as, holding wealth, obtainable wealth, short-term utility function, short-term expectation-variance utility function, state-expectation-variance utility function, short-term expectation-variance utility curve, long-term expectation-variance utility curve, margin utility contribution force, additional contribution force, profit-risk exchange rate and optimal portfolio expansion curve; The state-expectation-variance analytical method is developed from the expectation-variance analytical method; A set of systematic theories concerning two-attribute portfolio selection is thus established.
本文提出了两属性货币的证券组合选择问题;创建了既能包含现有证券组合选择模型又能克服上述两点不足的两属性证券组合选择模型;提出了持有财富、可获财富,短期效用函数,短期期望—方差效用函数、状态—期望—方差效用函数,短期期望—方差效用曲线、长期期望—方差效用曲线,边际效用贡献力,附加贡献力,收益—风险替换率,最优证券组合扩展线等一系列新概念;把期望—方差分析方法发展成状态—期望—方差分析方法;建立了两属性证券组合选择模型的一套系统的理论。
- 相关中文对照歌词
- Forward
- Short Term Memory
- #LTM
- Contract On Love
- Forward Motion
- Moving Forward
- Amnesia
- Forward To Love
- Moving Forward
- A Short Term Effect
- 推荐网络例句
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You can snipe the second and third union leaders from this position.
您可以鹬第二和第三工会领袖从这一立场出发。
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Aiming at the currently shortage of XML streams quality detecting, this paper proposes a new forecasting method of XML streams quality by least squares support vector machines, which is used the method of XML keys' vector matrix as windows, and vector product wavelet transform to multilevel decompose and refactor the XML streams series, that can fulfill real-time checking demand of XML quality, and ensure constraint, consist- ency and integrality. For even more adapting net load, it proposes a control strategy by weight and adaptive adjustment to ensure XML streams quality.
针对当前XML数据流质量检测存在的不足,提出构建XML键的矢量矩阵作为窗口,利用矢量积小波变换多级分解与重构XML数据流,再结合最小二乘支持向量机对XML数据流质量进行预测的一种方法,满足XML数据流质量重构时实时检测的要求,保证XML数据的约束性、一致性与完整性;为了更好的适应网络负载,采取加权与自适应窗口调整等调度策略充分保证XML数据流的质量检测。
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This is a very big challenge to developers especially that Ajax is constantly changing.
这对开发者来说是一个非常大的挑战,尤其是需要不断变化的Ajax。