国际不确定性 int’l journal of uncertainty, fuzziness & knowledge-based systems
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It poses the understanding of goodwill evaluation ' s development in our country and the suggestion for enterprises , which practice on goodwill evaluation . the thesis characteristic is systematic and practical , i try to bring in some new ideas in this thesis , and wish these contents might help enterprises to improve their standard of goodwill evaluation 本文以系统性、可操作性为特征,力求在以下内容有所创新,如对商誉性质的解析、商誉价值构成因素的论述、割差法原理分析、提出评估商誉价值新方法? ?分割累加法、企业商誉价值与时间关系、不确定性分析引进等方面。
The third , it analyzes some question about feasibility analysis and provides some means to solve theses question . the fourth , it studies some important problem about real estate feasibility analyzing such as : the market segment and market position of real estate , consumer market and consumer buying action analyzing , the financial evaluation of real estate project , the analysis of risk of real estate project , the indefiniteness analyzing of real estate project . in the part of feasibility analyzing of s real estate project , it analyzes the feasibility of the s project from three aspects including marketing feasibility , engineering and technology feasibility , economical feasibility , then makes a conclusion of feasibility analyzing of s project , together with some suggestion to the problem of s project 第四,对房地产开发项目可行性分析中应重点关注的一些问题进行了较为深入的探讨,具体包括:准确地进行房地产市场细分与定位:房地产市场细分的准则,房地产市场定位的任务,房地产市场定位的误区与对策;认真研究消费者市场及消费者购买行为:影响消费者购买行为的因素,消费者购买决策过程分析,消费者购买行为分析,消费者分析通常应涉及的问题;科学地进行开发项目的财务评价:静态评价及其优缺点,动态评价及其优缺点;加强开发项目的风险分析:房地产开发项目风险的特点类型,风险的总体状况及变化趋势,开发项目风险的防范策略;重视开发项目的不确定性分析:盈亏平衡分析,敏感性分析,概率分析。
Through adopting a new method and analyzing massive sensitive analysis data , this thesis induces the “ uniformity ” rule in the uncertainty analysis under the same fluctuation scope condition , then through the deductive , cites a new variable named fluctuation index of eirr to represent the project ’ s ability of resisting risk 本文另辟蹊径,通过对大量敏感性分析数据的分析,归纳出在同等浮动幅度的条件下,不确定性分析中存在着“一致性”的规律;然后再通过演绎的方法,引入一个崭新的变量? ?经济内部收益率扰动参数来代表项目抵抗风险能力大小。
The main uncertain methods of the slope stability evaluation , such as fuzzy comprehension evaluation method , grey cluster evaluation method , reliability evaluation method , and neural network evaluation method , etc . are fully discussed , and their developing history and research situation are introduced in detail , and some problems which need to be studied are presented , and the studying contents iv and work achievement are introduced ( 2 )详细地评述了边坡稳定性的主要不确定性分析方法,如可靠性分析方法、模糊综合评价方法、灰色系统评价方法,以及神经网络评价方法等等。介绍了它们的发展历史和研究现状,指出了它们存在的主要问题与不足之处。在此基础上,提出了本文研究工作的思路和主要内容。
In this paper , via expounding the conceptions and the characteristics of high - tech and technical reconstruction , as well as referencing correlative theory and method of the technical - economical evaluation , it puts forward much more systemic evaluation target and builds the model of technical - economical evaluation of high - tech reconstructing traditional industry project . the model is made up of uncertainty analysis and durative analysis , technology assessment , and economic benefit of technical reconstruction project 本文通过对高新技术、技术改造等概念和特点的阐述,并参考技术经济评价的相关理论和方法,提出了更加系统的高新技术改造传统产业项目技术经济评价指标体系,建立了高新技术改造传统产业项目的技术经济评价模型,其中包括:项目的不确定性分析、可持续性分析、项目的技术评价、经济效益评价等要素。
Hence , based on the analysis o f the current real & estate market and the financial evaluation of the reconstruction project cost and expenditures , this thesis brings forward the blue prints for the whole reconstruction project , schedules the project construction and quality supervision plans ; conducts relevant research on the enterprise image - building , strategies of price controlling , project investment , project venture and project uncertainty analysis , which shows valuable clues to the project feasibility 为此,本文从房地产市场分析着手,通过建设项目成本和费用分析,选择和确定开发方案,对项目实施作好施工控制;研究本项目的企业形象塑造和房价策略,进行了项目投资分析;并依据市场调查和财务评价,进行了风险分析和不确定性分析,来确定该项目开发的可行性。
Entitled control of financial crises in m & a and focusing on the origin and control of crises in m & a , this dissertation tries to combine the modern enterprise financial theory with indefinite analysis as its theme with the signal game theory with the unsymmetrical information analysis as its theme and to set up a complete theoretical frame of m & a crisis control under the condition of unsymmetrical information 本文以“企业并购的财务风险控制”为题,以企业并购中的财务风险来源与控制为主线,旨在将以不确定性分析为主题的现代企业财务理论与以不对称信息分析为主题的信号博奕理论结合起来,从而建立一套完整的关于不对称信息条件下的企业并购财务风险控制理论框架。