on urban story& a constructive conception of urban design of postmodernism

  • 城市故事论&一种后现代城市设计的建构性思维
  • 来源:互联网摘选更新时间:2026-07-13 13:04:46

  • 重点词汇
  • ofprep. 关于;属于…的;由…制成;
  • designv.设计;制图;构思;计划;制定;制造;
  • aart. 一(个);每一(个);任一(个),用于辅音音素开头的单词前
  • constructiveadj.建设的,建设性的;积极的,有助益的;构造上的;[法]推定的;
  • onprep. (覆盖、附着)在…上;由…支撑着;在(运输工具)上;在(某一天);就在…之后;关于(事或人);(身上)带着;为(某团体或组织)的一员;吃;(表示方向)在,向,对;在,接近(某地);根据;以…支付;通过;与…相比
  • urbanadj.城市的;城镇的;都市的;
  • conceptionn.概念,观念;构思,设想;怀孕;
  • 相关例句
1、

with the study of the systematism, pluralism, deepness and otherness of the city story, the author emphasizes the recognition of natural ecosystem, human history and culture as well as the civic space behavior.

研究了城市故事空间的系统性、多元性、深层性和差异性,强调对自然生态系统、人类历史文化以及市民空间行为的重视。

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2、

city story and characteristic city image

城市故事与城市特色形象

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3、

on chinese securities investment fund trust system and its improvement

浅析我国证券投资基金托管制度及其完善

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4、

some basic questions on performance evaluation of the securities investment funds

证券投资基金业绩评价中的几个基本问题

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5、

the comparison analysis for the regulatory structure of securities investment fund

证券投资基金法律架构的比较研究

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6、

the research on the governance of fund management company in china

我国证券投资基金管理公司治理制度研究

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7、

china's investment funds market: situation, problems and suggestions

中国证券投资基金市场:现状、问题与对策

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8、

the research on the approach of innovation of securities investment fund

证券投资基金产品创新设计研究

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9、

research on the market structure-conduct-performance of china's securities investment funds

我国证券投资基金业的市场结构行为绩效分析

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10、

this paper first designs the performance attribution of china's investment funds mainly through the brinson model, which is the most widely used internationally. and then the empirical analysis is conducted on the basis of some data about de sheng stable fund.

本文主要利用国际上基金业绩归因中普遍采用的Brinson模型,首先对中国证券投资基金的业绩进行归因设计,并以德盛稳健基金2005年第一季度的数据为基础进行了实证研究。

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11、

in this paper, we introduce the return timing factor into busse's volatility timing model, and employ the model to investigate china's investment funds.

本文通过引入收益择时因子改进了Busse的波动择时模型,并以此为工具从波动时变性的角度对我国证券投资基金的择时能力进行了实证研究。

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12、

the author conducted empirical study on trading behaviour of institutional investors represented by mutual fund, applying the classical lsv and wermers models.

本文使用经典的LSV方法以及Wermers的扩展方法,对我国金融市场上以证券投资基金为代表的机构投资者交易行为进行了实证研究。

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13、

the empirical study on the risk of mutual fund based on var-garch model in china

基于VaR-GARCH模型对证券投资基金风险的实证研究

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14、

the third chapter discuss securities investment funds' existence and the fluctuation of the stock price in china stock market.

第三章借鉴LSV模型对中国证券投资基金羊群行为的存在性进行了实证研究并分析了其对股票市场价格波动的影响。

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15、

on the grounds of theory and empirical analysis, at last, the paper tries to establish a support system of var risk management, which is used by securities funds.

基于以上理论和实证分析,论文最后尝试构建了我国证券投资基金的VaR风险管理支持系统。

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16、

compared to securities fund, manager should pay more attention to analysis of individual assets.

相比证券投资基金,REIT投资应更注重对单个物业资产的评估。

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17、

this paper applies var models to evaluate performances, which conforms to the modern theories and can describe the real returns of the securities investment funds completely and validly.

将VaR风险度量模型应用于证券投资基金绩效评估中,这种经风险调整后的绩效评估方法符合现代理论的要求,能更全面、有效的描述基金的真实收益。

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18、

the paper specially introduces the theory of bayesian statistical inference into performance evaluation procedure for securities investment funds and proposes a bayesian method of performance evaluation from an investor'perspective.

将Bayesian统计推断理论引入证券投资基金业绩评价过程,提出一种从投资者角度评价基金业绩的Bayesian方法。

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19、

the thesis proposed a model of asset allocation we required, how to establish the portfolio model which can achieve the maximum profits given a restrictive var value.

文中提出了一个资产配置模型,即证券投资基金的风险管理者在确定持有期内,如何构建满足VAR限制条件下求解期望收益最优化时达到的投资组合结构模型,即我们要求的资产配置。

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20、

lastly, the problems of which methods suit the situation of the security investment funds in china and the mechanism to push the technique are studied.

最后探讨了在我国证券投资基金中实施VaR技术的模型的现实选择问题与推行VaR技术的内部激励机制和外部制度环境建设问题。

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