derivable meaning in English
adj.
可引申出来的,可诱导出来的;可推论出来的。
Examples
- These results are derivable from the theory of quantum mechanics .
这些结果是根据量子力学理论推导出来的。 - The analysis calculation method for circular plates subjected to distribution load which is continuous and derivable and axial symmetry
圆板承受连续光滑轴对称分布载荷的解析计算方法 - The implication is that this data must be derivable from user inputs and drives the read operations on the services in a top down fashion
这意味著该资料必须可以从用户输入派生,并以由上而下的方式驱动服务上的读取操作。 - The term “ freight ” includes the profit derivable by a shipowner from the employment of his ship to carry his own goods or movables , as well as freight payable by a third party , but does not include passage money
第16条“运费”术语包括船东使用其船舶运载自已的货物或动产获得的利润,及由第三者支付的运费,但不包括乘客票款。 - Facing with the adjustment blemish of the market and the government , knowledge problem and market growth degree etc , the article analyzes and arguments tmsm , the investment theory of the gapsm and two - mechanism forming reason and specialty of our country , and tries to explain and answer the question of breadth fluctuation , high risk , price decision , proceeds and investment strategy etc in the gapsm . since 80 ages , a series of the important development has all taken place in the world and the economy of our country , and it produced the deep influence on the growth of the security market , and particularly the information revolution , all markets forming one body and the quick development of the derivable security product brought the unprecedented macroscopic opportunity and power to the security market ; but at the same time our security market with the structure absurdity of participators , higher risk , irregular law , closed market , the validity of supervise and no science of market regulation does not accommodate to the macroscopic environment and so our country security market needs a new set of security theory with environment . according to the macroscopic and microcosmic environment , this article defines that our country security market is both a gapsm and the initial stage of the gapsm
上世纪80年代以来,世界和我国经济都发生了一系列重大的变化,对证券市场的发展产生了深刻的影响,尤其是信息革命、市场一体化和证券衍生产品的迅速发展,给证券市场的发展带来了前所未有的宏观机遇和动力,而同时我国证券市场参与者结构的不合理、较高的风险、不规范的法律、市场的不开放、监管的不完全以及不科学的市场调控等微观市场环境条件与此宏观环境并不适应,从而我国证券市场需要一套适应环境变化的股票理论;本文就是以这一宏观环境和微观条件为依据,把我国证券市场定义为既是政府主导型证券市场又是市场初期;并对我国证券市场二元制产生的原因、特点及特殊性进行了分析,并通过我国政府调节的实例进行了论证,并对投资理论和投资策略进行了研究,这对控制我国证券市场的高风险以及获取收益都具有重大意义。