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This text is from the profession of five dints analyze" and the business strategy analysis of the outside and inside, absorb the latest marketing theories and market practice ,The text is from the market subdivide , the target market chooses, the"4 P""4 C""4 S trinity marketing strategy combines, the marketing results tests , marketing expenses and marketing risk control etc. several aspects establishe the market plans of one paper industry, I try to make the project has the stronger maneuverability, and try to make it has the value to direct the inside small business expansion.

本文从行业的&五力分析&和企业的内外分析战略角度出发,吸取了当今最新的营销理论和营销实践,从市场细分与目标市场选择、&4P&&4C&&4S&三位一体营销策略组合、营销绩效考评、营销费用以及营销风险控制等多个方面制定某纸业公司的营销策划方案,力求方案具有较强的可操作性,并具有向中小型造纸企业推广的价值。

After analyzing and comparing, the method in reference (1) is improved. The whole boom, including jibs, is simplified as a combined structure and the rigid jibs and flexible ropes used on boom frame are analyzed and treated. Influences of adopting overlapping principle in force equation on calculation results of last inner forces in rigid jibs and flexible ropes are described.

经分析对比,对文献[1]的方法进行了改进,将整个吊臂简化为一组合结构,并对臂架使用的刚性拉杆或柔性拉索进行了分析处理,阐述了在力法方程中使用叠加原理对吊臂刚性拉杆或柔性拉索的最终内力计算结果的影响。

After analyzing and comparing, the method in reference (1) is improved. The whole boom, including jibs, is simplified as a combined structure and the rigid jibs and flexible ropes used on boom frame are analyzed and treated. Influences of adopting overlapping principle in force equation on calculation results of last inner forces in rigid jibs and flexible ropes are described.

经分析对比,对文献[1]的方法进行了改进,将整个吊臂简化为一组合结构,并对臂架使用的刚性拉杆或柔性拉索进行了分析处理,阐述了在力法方程中使用迭加原理对吊臂刚性拉杆或柔性拉索的最终内力计算结果的影响。

With hydrologic statistic data of the selected typical years, the dynamic simulation of water system is carried out. Under this process, the paper analyses how Yancheng is confronted with water shortage under the various projects, contrasts the effects of these projects , thus proffers a project tooptimal allocation of water resources which is in accordance with water conservancy planning of Yancheng and lays a foundation for research in this respect for Yancheng.

根据选用的典型年的水文资料,对盐城市水资源系统进行了动态模拟,分析了改变种植结构、加大节水力度、提高河网调蓄能力、增加供水水源等多种方案组合情况下的盐城市缺水状况,并进行比较分析,提出了与盐城市水利发展规划目标相吻合的水资源优化配置方案,为今后进一步进行盐城市水资源优化配置研究奠定基础。

In this part, the thesis change the study point from theory to actuality .

在这部分中,论文将研究重点由理论转向实务,以实证分析方法考察了我国证券市场股票和国债两种资产组合中马克维兹模型、哈洛模型和VaR模型的应用效率比较,从而验证理论分析的有关结论。

Secondly, two stage method is adopted in the selection of development strategy. In the first stage, combine the development strategy group with the result of SWOT to select the proper strategy. In the second stage, use AHP and QSPM to evaluate the spare development strategy project, then present the final combination strategy of "BOM to continue existing strategy, BOB and Twist web with contractile strategy; No-woof blanket and Asbestos blanket with giving up strategy".

采用两阶段法进行发展战略的选择,第一阶段结合战略群模型和SWOT分析结果对公司各产品可能采取的发展战略进行初次选择;第二阶段利用AHP分析结果和QSPM方法评价第一阶段备选的发展战略,提出了&BOM毛毯采取集中发展现有业务战略,BOB毛毯和螺旋干网进行战略收缩,无纬毛毯和石棉瓦毯采取放弃战略&的战略组合方案。

Based on the analyses of the flow and sediment characteristics and evolution trend of the river bed of the Fuling reach in the Yangtze River before and after the impoundment of the Three Gorges Reservoir, the water level, velocity variation and influenced range in the Fuling reach before and fifty years after the operation of the Three Gorges Reservoir with the construction of the Fuling dock and four discharge combinations are calculated by using a two-dimensional flow mathematic model.

摘要在分析长江涪陵段的水沙特性和三峡水库蓄水前后该河段河床演变趋势的基础上,运用二维水流数学模型,分析了4种流量组合情况下在三峡水库运用前和运用50年,涪陵港区码头修建前后的水位、流速变化及其影响范围。

Based on the analysis of the problems which the Inventory Management of foreign and abroad faced, and considered the theory of Supply Chain, we can analysis the threatens and the reasons bringing by the information requiring of mutating and expanding phenomena -"Bull-whip Effect" in the Inventory Management of chain environment, and can further bring about the policy to solve it. We studied the three new policies for Supply Chain Inventory Management, and VMI realizes the cooperative management between the superior and subordinate knot of supply chain in the enterprise; Multi-grade Management realizes the optimization of the supply chain inventory management from full view; but JMI is the inventory management form of risk sharing, its stress the jointed within the supply and demand at the same time and constitute the inventory plan, to promote every managers (vender, manufacturers, distributors) of the SCM are thinking the harmonious with them, to keeping the accordant anticipate for the inventory manager"s inquest between two conjoint enterprises.In view of VMI stratagem"s fine pragmatism and operation, on the base of understanding VMI, combine the conceivable four assorted relationship in the real supply chain between the conjoint enterprises.

论文在分析国内、国外库存管理所面临的问题的基础上,结合供应链一体化理论,对供应链环境下库存管理中出现的需求信息变异放大现象--即&长鞭效应&的危害及其产生原因进行了分析,在此基础上进一步提出了解决&长鞭效应&的措施;重点研究了实现供应链库存管理的三种新策略,其中,供应商管理库存实现了供应链上级与下级节点企业之间的协作管理;多级库存管理是从全局的角度实现了供应链库存管理的优化;联合库存管理是一种风险分担的库存管理模式,它强调供需双方的同时参与,共同制定库存计划,使供应链中的每个库存管理者(供应商、制造商、分销商)都从相互之间的协调性考虑,使得供应链相邻两节点企业之间的库存管理者对需求的预期保持一致基于VMI策略的良好的实用性和可操作性,在理解VMI概念的基础上,结合实际供应链中节点企业间可能出现的四种组合关系,相应地提出四种概念性架构,用以表达:VMI系统的内部结构;VMI系统与节点企业内部管理系统的接口关系及两类系统的关系;VMI系统与节点企业间的信息共享与转换,如库存信息在供需之间的传递、加工等具体过程。

In chapter3, information is divided into two basic types, the marginal equation of bond price and short-term interest variations is established, thus the security price variations and the price equilibrium of other assets (risk security non-risk security are included) are analyzed by the implement of portfolio Theory.

第三章将债券的价格均衡划分为两大基本类型,建立了债券与短期利率变动的边际方程,运用组合原理分析债券价格变动与其它资产(包括风险证券和无风险证券)的价格均衡关系,通过比较收益原理建立了债券以市场均衡收益为折现参数的价值方程,并通过实证检验了该模型的合理性;第四章,分析了内部信息与价格的传导原理,建立了非完全信息市场条件下价格传递信息的做市商模型和预期模型,并讨论外部信息与内部信息对股票价格影响的非一致性。

In chapter3, information is divided into two basic types, the marginal equation of bond price and short-term interest variations is established, thus the security price variations and the price equilibrium of other assets (risk security non-risk security are included) are analyzed by the implement of portfolio Theory. Finally the bond value equation which takes equilibrium return as its yield Parameter is established through the theory of comparative return. In chapter 4, the intra-information and the transferable system of price is emphasized and the market-maker model and expected model under non-perfect information market conditions are established, and the disaccord of the influence of extra-information and intra-information on the security price is discussed.

第三章将债券的价格均衡划分为两大基本类型,建立了债券与短期利率变动的边际方程,运用组合原理分析债券价格变动与其它资产(包括风险证券和无风险证券)的价格均衡关系,通过比较收益原理建立了债券以市场均衡收益为折现参数的价值方程,并通过实证检验了该模型的合理性;第四章,分析了内部信息与价格的传导原理,建立了非完全信息市场条件下价格传递信息的做市商模型和预期模型,并讨论外部信息与内部信息对股票价格影响的非一致性。

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