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1)  IT Portfolio Management (ITPM)
IT组合管理
1.
Therefore, a new research - IT Portfolio Management (ITPM), which is an approach to measure and monitor the benefit that IT brings to Corporation’s business operation, is a solution to solve the Enterprise-wide probem in IT management.
IT组合管理(IT Portfolio Management),是一种衡量和监控IT为业务所能提供的价值的方法,应该是企业解决IT管理问题的方案。
2)  portfolio management
组合管理
1.
Based on principles of portfolio management,it was argued that "Project Profitability" be adopted as the criterion for evaluating bidding decisions.
以项目组合管理为理论基础,提出以项目盈利能力作为投标的决策依据。
2.
This paper points out the necessity of portfolio management for new produets.
本文通过分析新产品开发对企业发展所具有的重要作用,指出了企业进行新产品组合管理的必要性。
3.
The combination of the active portfolio management with passive portfolio one was realized.
实证结果表明 ,在投资组合管理领域运用斯坦规则进行预测 ,能够取得优于经典均值—方差模型的业
3)  project portfolio management
项目组合管理
1.
Project Portfolio Management Mode in Chinese Healthcare Product Companies;
中国医疗器械营销公司项目组合管理模式初探
2.
: This paper introduced the role, style of project office and its relationship with external delivery partners by applying software development processing as example, it also put forward a new concept to improve the performance by project portfolio management and some techniques and tools
文中同时提出 了采用项目组合管理的方法来提高企业总体效益的思想,并列出了一些项目组合管理工具。
3.
At the same time,it also put forward a new concept to improve the performance by project portfolio management and some techniques and tools.
文中同时提出了采用项目组合管理的方法来提高企业总体效益的思想 ,并列出了一些项目组合管理工具。
4)  portfolio management
投资组合管理
1.
Methods of decisionmaking and uncertainty for enterprise portfolio management;
企业投资组合管理的不确定型决策方法
2.
A portfolio management process is firstly analyzed.
分析了投资组合管理过程,针对大规模投资组合管理的需求,提出了一个基于M u lti-A gen t的投资组合管理系统(M A S-PM S)的体系框架,并对该系统的功能进行了功能设计。
3.
The current portfolio model for property-liability insurance company is only single period that can not meet the practical demands of portfolio management, and the purpose of this paper is to develop a multiperiod model for its portfolio problem.
财产保险公司的投资组合模型均是单期的 ,不能充分满足投资组合管理实践的需要 。
5)  unite management organization
联合管理组织
6)  portfolio performance management
组合绩效管理
补充资料:[3-(aminosulfonyl)-4-chloro-N-(2.3-dihydro-2-methyl-1H-indol-1-yl)benzamide]
分子式:C16H16ClN3O3S
分子量:365.5
CAS号:26807-65-8

性质:暂无

制备方法:暂无

用途:用于轻、中度原发性高血压。

说明:补充资料仅用于学习参考,请勿用于其它任何用途。
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