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理论
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  theories
    Research of the Subjective Model of Returns Distribution Based on the Behavioral Finance Theories
    基于行为金融理论的收益率分布主观模型研究
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    Designing and Application of a DTGARCH Exchange Rate Model Based on Theories of Target Zones
    基于目标区理论的三制度DTGARCH汇率模型构建及应用研究
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    Although such models are not satisfactory enough to discover the relationship between money and actual economic variables,their monetary economic analysis is conducive to the research into money and money's policy effect. In particular,the new classical models of money give the direction of further research into monetary economic theories.
    尽管这些模型还远没有完全洞悉货币与实际经济变量之间的关系,但它们的货币经济分析,对于我们更好地研究货币和进行货币的政策效应分析非常重要,特别是新兴古典货币模型,它较好地将货币理论和价值理论统一起来,为货币经济理论的进一步发展提供了较好的研究方向。
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    Hedging Theories in Futures Markets and Empirical Study
    期货套期保值理论与实证研究(I)
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    Fusion of International Trade and Direct Investment Theories-Comments on General Theories
    国际贸易与国际直接投资的理论融合——国际生产的一般理论述评
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  theoretic
    A Theoretic Study on Financial Industry Regulation and Competition: Some Views about Regulation in Chinese Financial Industry
    金融业管制与竞争理论研究——兼论中国金融业的管制问题
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    The Capital Market is Faced with a Major Theoretic Innovation
    资本市场面临的一场重大理论变革
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    Debates between the quantity theory of money and efficient capital markets -On theoretic origins of the relationship between monetary policy and capital markets
    货币政策与资本市场关系的理论溯源
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    Theoretic models and empirical analysis of stock prices volatility
    股票价格波动的理论模型及其实证分析
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    Market Microstructure, Behavior Finance and Stock Price Adjustment: A Theoretic Framewor
    市场微观结构、行为金融与股票价格调整:一个理论框架
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  “理论”译为未确定词的双语例句
    Commercial Bank Risk Management Basic Reserarch and System Development Based on Value-at-Risk
    基于风险价值的商业银行风险管理理论研究与系统开发
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    A Study of Bank Competitiveness
    银行竞争力理论分析与实证研究
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    The Application of Financial Market Risk Measurement Based on EVT and Copula
    金融市场风险的度量—基于极值理论和Copula的应用研究
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    The Development of County Private Economy and the Sustaining of Finance
    县域民营经济发展与金融支持的理论与实证研究
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    A Study on Conditional Risk at Value Models
    条件风险值(CVaR)模型的理论研究
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  theories
A brief summary of the theoretical background of QSRR is followed by presentation of reversed-phase high performance liquid chromatographic (RP-HPLC) separation theories of applications to the reported QSRR.
      
We establish the convergence theories of this class of generalized parallel multisplitting relaxation methods under the condition that the system matrix is an H-matrix with positive diagonal elements.
      
Then, from the curves, the critical micelle concentration (CMC) and the thermodynamic standard formation functions (ΔH?m, ΔG?m and ΔS?m) were obtained through thermodynamic theories.
      
The research results provide theories for the development and application of the embedded FBG sensors.
      
Many key theories and practice problems require an urgent resolution.
      
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  theoretic
We give complete proofs of the K-theoretic construction of the quantized enveloping algebra of affine gl(n) sketched in [GV].
      
We give a representation-theoretic interpretation of this number as the exponent of growth for multiplicities of simple G-modules in the spaces of sections of homogeneous line bundles on G/H.
      
An explicit classification of homogeneous quaternionic Kahler structures by real tensors is derived and we relate this to the representation-theoretic description found by Fino.
      
We propose a representation theoretic explanation of a link between the intertwining operators on the tensor products of ${\rm Y}(\mathfrak{gl}_n)$-modules, and the "extremal cocycle" on the Weyl group of $\mathfrak{gl}_m$ defined by D.
      
We use the decomposition of a group into double cosets and a graph theoretic indexing scheme to derive algorithms that generalize the Cooley-Tukey FFT to arbitrary finite group.
      
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The author is a professor and vice-dean of the College of Economicsat Beijing University, The article explores theoretical questions of economic regulation inSocialist countries. The author holds that government regulation of theeconomy may influence demand as well as supply, and that when the pricesystem is basically rational, generally financial and credit regulationsmay be more appropriate than price regulation. The article also discussesthe co-ordination between financial regulation and credit regulation.According...

The author is a professor and vice-dean of the College of Economicsat Beijing University, The article explores theoretical questions of economic regulation inSocialist countries. The author holds that government regulation of theeconomy may influence demand as well as supply, and that when the pricesystem is basically rational, generally financial and credit regulationsmay be more appropriate than price regulation. The article also discussesthe co-ordination between financial regulation and credit regulation.According to the author, there are four advantages for using such aco-ordination. First, it takes into consideration the regulation of bothdemand and supply. Second, it is beneficial to regulating the total supplyand demand as well as to regulating the supply and demand of productsin specific departments. Third, it can avoid or alleviate the side-effectsbrought by using one method of regulation which are unfavourable to thegrowth of the national economy or to the fulfilment of budgetary targets.Fourthly, it is helpful to coping with contingencies arising in the courseof economic adjustment, and thereby plays the role of protecting fromharmful effects or enhancing economic safety.

本文对社会主义国家经济调节的若干理论问题进行了探讨。作者认为,政府的经济调节可以影响需求,也可以影响供给;在价格体系已经基本合理后,一般情况下,财政调节和信贷调节可能比价格调节更加适用。本文对财政调节和信贷调节的“松紧配合”作了论述。作者认为:“松紧配合”之所以具有实用性,首先,由于这种配合既考虑到对需求的调节,又考虑到对供给的调节;其次,这种配合既有利于从总量上进行调节,也有利于对特定部门的产品的供求进行调节;再次,这种配合可以避免或缓和单一调节方式所产生的不利于国民经济运行或不利于实现预定发展目标的副作用;最后,这种配合有助于应付经济调节过程中出现的意料不到的新情况,起着缓冲的作用或增大保险系数的作用。

This paper presents multiple dynamic programming and the principle of optimality. It will give a new approach and the theory for realtime tracking multiple targets or data processing of multiple objects in a dense targets (or objects) environment.

本文在现存单元动态规划原理的基础上,提出并证明了多元动态规划及最佳化原理。为在噪声背景下进行实时多目标、多对象数据处理提供了理论依据和新途径。

This paper describes a fast recurrent method for calculating

本文给出了一种等距节点B样条系数矩阵的快速递推法。这种方法十分简便,计算量极小,递推迅速,且非常直观醒目,易于掌握和记忆。一般利用手算即可很快地推出任意高阶的系数矩阵。它进一步完善了B样条理论,且为高阶B样条的研究提供了方便。

 
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