control investment造句
例句與造句
- Present situation and thinking on engineering supervision in control investment
工程監(jiān)理在投資控制中的現(xiàn)狀和思考 - Long - term capital management controlled investments worth more than one hundred thousand million dollars
長期資本管理控制投資價值超過十萬美元。 - The growing activity of these government - controlled investment funds makes them something else to watch in two thousand eight
這些政府控制的投資基金,其不斷擴展的活動在2008年值得關注。 - They occasionally bought control of businesses , but the record of the passive investments is equal to the record of the control investments
他們偶爾會從事控制股權的投資,但其被動式的投資績效約略等于控權式投資的表現(xiàn)。 - These are a great deal of problem on the method of control investment in the preiod of design which is not resolved , although inportance of investment control in the design phase in often mentioned in academic cycle
長期以來,理論界對于設計階段投資控制的重要性提得較多,而對于設計階段投資控制的方法,還有大量的問題沒有解決。 - It's difficult to find control investment in a sentence. 用control investment造句挺難的
- In this paper , basis on this phenomenon , from the aspects of method , regulation and computer decision support of investment control , a complete system on control investment in the period of design is established by application of ve , quota design and lcc theories
本文針對這一現(xiàn)象,從投資控制的方法、制度和計算機輔助決策支持三方面著手,運用價值工程、限額設計、壽命周期費用分析理論,試圖建立一整套設計階段投資控制的完整體系。 - Now abroad insurance funds application have surely investment way comparison flexible ; government stipulates investment proportion while stipulating investment way , has so offered condition to control investment risk ; bond investment is the major composition part of safe investment ; the structural proportion of insurance investment because of property insurance , life insurance nearly different and not equal characteristic
目前國外保險資金運用有保險投資方式比較靈活;政府在規(guī)定投資方式的同時,規(guī)定投資比例,從而為控制投資風險提供了條件;證券投資是保險投資的主要組成部分;保險投資的結構比重因產(chǎn)、壽險不同而不同等特點。 - Besides these factors , mere are other factors who can put impression on project investment , such as policy nature disaster , and so on . in order to supply a reasonable theoretical method for construction project investment , it ' s meaningful to study the risks and control model . in this paper , firstly , the writer discusses the measurement guideline and the mam factors during the different project period ; secondly , by studying investment deviation , the writer builds a mathematic model ( neutral networks analytic hierarchy process model ) to control investment risk , at the same time , proves its accuracy by a realistic project ; finally , according to the writer ' s work experience , some common problems during the project are presented
本文首先探討了建設項目投資控制的衡量指標,并就不同建設階段投資控制的主要因素進行了論述;其次對投資風險進行了研究和分類,提出建設項目需要進行風險識辨和風險偏差分析,通過對偏差類型和偏差原因的探討,以模糊數(shù)學神經(jīng)網(wǎng)絡理論中的層次分析法為基礎,建立了投資風險控制預測模型,并根據(jù)工程實例對建立的投資風險控制模型進行了驗證,分析表明該控制模型可以用于實際建設項目投資風險的分析控制;最后根據(jù)作者房地產(chǎn)項目開發(fā)投資控制實踐操作經(jīng)驗,對投資控制中容易出現(xiàn)的一些問題進行了探討。 - This paper analyzed the project ' s impact on inflation directed at defect of way of the investment project ' s evaluation and previous method to control investment , made input - output model with price ' s pattern , analyzed the price ' s impact of the project ' s input demand and output supply to all sectional products , set up computing way of project ' s impact on prices of all sectional products , direct express the problems of complication and abstract by numeral , offered basis of data ' s analysis for analyzing the project to pressure of inflation , made suggestions to which kinds of projects should be encouraged . this paper analyzes the inflation ' s impact on the project ' s evaluation
本文針對投資效益評價方法的缺陷和以往對投資控制的一刀切的做法,分析了大型投資項目對通貨膨脹的影響,通過投入產(chǎn)出模型和價格模型的結合,重點分析了大型投資項目的投入需求和產(chǎn)出供給對各部門物價的影響,建立了估計項目對各部門物價影響大小的計算方法,使復雜、抽象的問題能通過數(shù)字直觀地得以表達,為分析項目對通貨膨脹的壓力捉供了數(shù)據(jù)分析的依據(jù),并從減輕通貨膨脹壓力的角度對應該壓縮哪些項目,扶持哪些項目提出了建議。 - Sparedescription : based on the author s research and information from the usa and japan , the development trend of flood control and disaster mitigation in economically developed countries is introduced , including the follow aspects : flood risk management , floodplain management , flood control standard , city rainfall flood storage , levee construction technology , public participation , flood insurance , management of storage and detention zones , flood control investment , study on flood control and disaster mitigation , and formulation of related laws and regulations
描述:根據(jù)美、日等國最新文件和資料,結合作者多年的研究,簡明地介紹經(jīng)濟發(fā)達國家在防洪減災方面的最新發(fā)展趨勢.內(nèi)容涉及洪水災害風險管理、泛濫原管理、防洪標準、城市雨洪調(diào)蓄、堤防建設技術、公眾參與、洪水保險、蓄滯洪區(qū)管理、防洪投入、防洪減災科學研究、法規(guī)建設等諸多內(nèi)容 - We research the stability of the three - factor model by using chow test and research the coefficient stationary by using unit root test , and forecast the coefficient of the model using arma 、 garch model . the results show that the model is instability in the long run , most coefficient is non - stationary , and we can preferably forecast the coefficient by using the arma 、 garch model . in the process of designing strategic investment portfolios and the strategic risk budgeting prevailing in resently which in order to control investment risk , the investors generally structure their portfolios in different industries
模型回歸系數(shù)是測度投資對象系統(tǒng)風險的重要指標,我們利用chow檢驗對證券收益三因素模型結構的穩(wěn)定性進行了分析研究,用adf檢驗對模型的三個回歸系數(shù)的穩(wěn)定性進行了實證分析,采用arma和garch模型對回歸系數(shù)的預測能力進行了研究,結果表明組合三因素模型結構不穩(wěn)定,但短期比長期結構穩(wěn)定性要高;大部分組合回歸系數(shù)時序穩(wěn)定性較差,同時arma和garch模型對每個回歸系數(shù)時間序列進行預測顯示有較好的預測能力。 - Second , we need to promote the reform to introduce the shareholding system in large soes , improve their corporate governance and mechanisms for controlling investment risk and for internal oversight and management , and develop a mechanism for personnel hiring and placement and for incentives and restraints that meet the requirements of a modern corporate structure
二要推進國有大型企業(yè)股份制改革,健全公司法人治理結構、投資風險控制機制和內(nèi)部監(jiān)督管理機制,建立適應現(xiàn)代企業(yè)制度要求的選人用人和激勵約束機制。