英文文献及翻译
英文文献翻译
外文文献原稿和译文原稿Sodium Polyacrylate:Also known as super-absorbent or “SAP”(super absorbent polymer), Kimberly Clark used to call it SAM (super absorbent material). It is typically used in fine granular form (like table salt). It helps improve capacity for better retention in a disposable diaper, allowing the product to be thinner with improved performance and less usage of pine fluff pulp. The molecular structure of the polyacrylate has sodium carboxylate groups hanging off the main chain. When it comes in contact with water, the sodium detaches itself, leaving only carboxylions. Being negatively charged, these ions repel one another so that the polymer also has cross-links, which effectively leads to a three-dimensional structure. It has hige molecular weight of more than a million; thus, instead of getting dissolved, it solidifies into a gel. The Hydrogen in the water (H-O-H) is trapped by the acrylate due to the atomic bonds associated with the polarity forces between the atoms. Electrolytes in the liquid, such as salt minerals (urine contains 0.9% of minerals), reduce polarity, thereby affecting superabsorbent properties, especially with regard to the superabsorbent capacity for liquid retention. This is the main reason why diapers containing SAP should never be tested with plain water. Linear molecular configurations have less total capacity than non-linear molecules but, on the other hand, retention of liquid in a linear molecule is higher than in a non-linear molecule, due to improved polarity. For a list of SAP suppliers, please use this link: SAP, the superabsorbent can be designed to absorb higher amounts of liquids (with less retention) or very high retentions (but lower capacity). In addition, a surface cross linker can be added to the superabsorbent particle to help it move liquids while it is saturated. This helps avoid formation of "gel blocks", the phenomenon that describes the impossibility of moving liquids once a SAP particle gets saturated.History of Super Absorbent Polymer ChemistryUn til the 1980’s, water absorbing materials were cellulosic or fiber-based products. Choices were tissue paper, cotton, sponge, and fluff pulp. The water retention capacity of these types of materials is only 20 times their weight – at most.In the early 1960s, the United States Department of Agriculture (USDA) was conducting work on materials to improve water conservation in soils. They developed a resin based on the grafting of acrylonitrile polymer onto the backbone of starch molecules (i.e. starch-grafting). The hydrolyzed product of the hydrolysis of this starch-acrylonitrile co-polymer gave water absorption greater than 400 times its weight. Also, the gel did not release liquid water the way that fiber-based absorbents do.The polymer came to be known as “Super Slurper”.The USDA gave the technical know how several USA companies for further development of the basic technology. A wide range of grating combinations were attempted including work with acrylic acid, acrylamide and polyvinyl alcohol (PVA).Since Japanese companies were excluded by the USDA, they started independent research using starch, carboxy methyl cellulose (CMC), acrylic acid, polyvinyl alcohol (PVA) and isobutylene maleic anhydride (IMA).Early global participants in the development of super absorbent chemistry included Dow Chemical, Hercules, General Mills Chemical, DuPont, National Starch & Chemical, Enka (Akzo), Sanyo Chemical, Sumitomo Chemical, Kao, Nihon Starch and Japan Exlan.In the early 1970s, super absorbent polymer was used commercially for the first time –not for soil amendment applications as originally intended –but for disposable hygienic products. The first product markets were feminine sanitary napkins and adult incontinence products.In 1978, Park Davis (d.b.a. Professional Medical Products) used super absorbent polymers in sanitary napkins.Super absorbent polymer was first used in Europe in a baby diaper in 1982 when Schickendanz and Beghin-Say added the material to the absorbent core. Shortly thereafter, UniCharm introduced super absorbent baby diapers in Japan while Proctor & Gamble and Kimberly-Clark in the USA began to use the material.The development of super absorbent technology and performance has been largely led by demands in the disposable hygiene segment. Strides in absorption performance have allowed the development of the ultra-thin baby diaper which uses a fraction of the materials – particularly fluff pulp – which earlier disposable diapers consumed.Over the years, technology has progressed so that there is little if any starch-grafted super absorbent polymer used in disposable hygienic products. These super absorbents typically are cross-linked acrylic homo-polymers (usually Sodium neutralized).Super absorbents used in soil amendments applications tend to be cross-linked acrylic-acrylamide co-polymers (usually Potassium neutralized).Besides granular super absorbent polymers, ARCO Chemical developed a super absorbent fiber technology in the early 1990s. This technology was eventually sold to Camelot Absorbents. There are super absorbent fibers commercially available today. While significantly more expensive than the granular polymers, the super absorbent fibers offer technical advantages in certain niche markets including cable wrap, medical devices and food packaging.Sodium polyacrylate, also known as waterlock, is a polymer with the chemical formula [-CH2-CH(COONa)-]n widely used in consumer products. It has the ability to absorb as much as 200 to 300 times its mass in water. Acrylate polymers generally are considered to possess an anionic charge. While sodium neutralized polyacrylates are the most common form used in industry, there are also other salts available including potassium, lithium and ammonium.ApplicationsAcrylates and acrylic chemistry have a wide variety of industrial uses that include: ∙Sequestering agents in detergents. (By binding hard water elements such as calcium and magnesium, the surfactants in detergents work more efficiently.) ∙Thickening agents∙Coatings∙Fake snowSuper absorbent polymers. These cross-linked acrylic polymers are referred to as "Super Absorbents" and "Water Crystals", and are used in baby diapers. Copolymerversions are used in agriculture and other specialty absorbent applications. The origins of super absorbent polymer chemistry trace back to the early 1960s when the U.S. Department of Agriculture developed the first super absorbent polymer materials. This chemical is featured in the Maximum Absorbency Garment used by NASA.译文聚丙烯酸钠聚丙烯酸钠,又可以称为超级吸收剂或者又叫高吸水性树脂,凯博利克拉克教授曾经称它为SAM即:超级吸收性物质。
知识产权论文中英文对照外文翻译文献
中英文对照外文翻译文献1外文参考文献译文the well-known trademarks and dilute anti-diluted First, well-known trademarks SummaryWell-known trademarks is a long-term use, in the market enjoy a high reputation, known for the relevant public and by certain procedures that the trademark. Since the "Paris Convention" was first introduced the concept of well-known trademarks, the well-known trademarks for special protection legislation has become the world trend.Paris Convention stipulates: all of the members were identified as the well-known trade marks, or registered First, the first to ban others, and the other is to prohibit the use of others with identical or similar logo. Trips further provides: 1, the Paris Convention for the special protection and extension of the services of well-known trademarks, 2, the scope of protection does not extend to prohibit similar goods or services with the well-known trademarks for use on the same or similar logo, 3, on how to That a well-known trademarks in principle a simple requirement.National legislation on the practice, the well-known trade marks that standards vary, often based on specific trade mark promotion of public awareness of related areas, logo merchandise sales and the scope of national interests, and other factors identified. From an international treaty to protect the well-known trademarks mind, that well-known trade marks and protection of well-known trade marks are closely linked.Second, the well-known trademarks protected modeOn the protection of the main trademarks of relative and absolute protectionism two models.The former refers to ban others with well-known trademarks identical or similar trademark with the trademark owner the same or similar industries in the registration or use of similar goods in non-use of the same or similar trademarks is permitted, "the Paris Convention "That is, relative to protectionism.While the latter refers to ban others in any industry, including the well-known trade mark goods with different or similar to those in the industry to register with the well-known trade marks and the use of the same or similar trademarks, TRIPS agreement that is taken by the expansion of the absolute protectionism.In simple economic form, as specified by the trade mark goods at a single, specific trade mark goods and the link between more closely. With, a valuable well-known trademarks have been more and more use of different types of commodities, which are among the types of goods on the property may be totally different, in a trademark associated with the commodity groups and the relative weakening of trade marks Commodity producers and the relative isolation. Not well-known trademarks such as cross-category protection and allow others to register, even if the goods obvious differences, the public will still be in the new goods and reputable well-known trademarks to establish a link between people that the goods may be well-known trademark, the new commodities , Or the well-known trademarks of goods and people between the existence of a legal, organizational or business association, thus leading to the misuse of consumers purchase. The rapid development of the commodity today, the relative protectionism has not improved the protection of the public and well-known trademark owner's interests.In view of this, in order to effectively prevent the reputation of well-known trademarks, and the identification of significant features and advertising value by the improper use of the damage, many countries on the implementation of a well-known trademarks is protectionism, which prohibits the use of any products on the same or with the well-known trademarks Similar to the trademark.TRIPS Agreement Article 16, paragraph 3 states: Paris Convention 1967 text, in principle, applicable to the well-known trademarks and logos of the commodities or services are not similar goods or services, if not similar goods or services on the use of the trademark will be Suggest that the goods or services with the well-known trademarks on a link exists, so that the interests of all well-known trademarks may be impaired.Third, the well-known trademarks dilutedThe protection of trademark rights, there are mainly two: one for the confusion theory, a theory for desalination.The main traditional trademark protection for trade marks the difference between functional design, and its theoretical basis for the theory of confusion. In summary, which is to ensure that the trademark can be identification, confirmation and different goods or services different from the significant features, to avoid confusion, deception and E Wu, the law gives first use of a person or persons registered with exclusive rights, which prohibits any Without the permission of the rights to use may cause confusion among consumers in the same or similar trademarks. Clearly, the traditional concept of trademark protection, to stop "the possibility of confusion" is the core of trademark protection.With the socio-economic development and commercialization of the continuous improvement of the degree, well-known trademarks by the enormous implication for the growing commercial value have attracted the attention of people. Compared with ordinary marks, bearing well-known trademarks by the significance and meaning beyond the trademark rights to the general, and further symbol of product quality and credit, contains a more valuable business assets - goodwill. Well-known trade mark rights of people to use its excellent reputation of leading the way in the purchasing power, instead of the use of trademarks to distinguish between different products and producers.When the mark beyond the role of this feature to avoid confusion, then, this factor is obviously confused and can not cover everything, and other factors become as important as or more important. Thus, in theory confusion on the basis of further development of desalination theory.Trademark Dilution (dilution), also known as trademark dilution, is one of trademark infringement theory. "Watered down", according to the U.S. "anti-federal trademark law dilute" means "regardless of well-known trade mark rights and theothers between the existence of competition, or existence of confusion, misunderstanding or the possibility of deception, reduce and weaken the well-known trademarks Its goods or services and the identification of significant capacity of the act. " In China, some scholars believe that "refers to dilute or weaken gradually weakened consumer or the public will be trademarks of the commercial sources with a specific link between the ability." Trademark faded and that the main theory is that many market operators have Using well-known trademarks of the desire of others, engage in well-known trademarks should be to prevent others from using its own unique identification of special protection.1927, Frank • Si Kaite in the "Harvard Law reviews" wrote the first trademark dilute theory. He believes that people should not only be trademarks of others prohibit the use of the mark, he will compete in the commodity, and should prohibit the use of non-competitive goods on. He pointed out: the real role of trade marks, not distinguish between goods operators, but satisfied with the degree of difference between different commodities, so as to promote the continuous consumer purchase. From the basic function of trademarks, trade mark used in non-competitive goods, their satisfaction with regard to the distinction between the role of different commodities will be weakened and watered down. Trademarks of the more significant or unique, to the public the impression that the more deeply, that is, should be restricted to non-compete others in the use of goods or services.Since then, the Intellectual Property Rights Branch of the American Bar Association Chairman Thomas • E • Si Kaite Smith on the theory made a fu rther elaboration and development. He said: "If the courts allow or laissez-faire 'Rolls Royce' restaurants, 'Rolls-Royce' cafeteria, 'Rolls-Royce' pants, 'Rolls-Royce' the candy, then not 10 years, ' Rolls-Royce 'trademark owners will no longer have the world well-known trademarks. "Si Kaite in accordance with the theory of well-known trade marks have faded because of the effect of non-rights holders with well-known trademarks in the public mind the good image of well-known trademarks will be used in non-competitivegoods, so as to gradually weaken or reduce the value of well-known trademarks, That is, by the well-known trademarks have credibility. Trademark tag is more significant or unique characteristics, which in the public mind the impression that the more deep, more is the need for increased protection, to prevent the well-known trade marks and their specific goods was the link between the weakening or disappearance.In practice, trademarks diluted share a wide range of operating methods, such as:A well-known trademarks of others will still use as a trademark, not only in the use of the same, similar to the goods or services. For example, household appliances, "Siemens" trademark as its own production of the furniture's trademark.2. To other people's well-known trademarks as their corporate name of the component. Such as "Haier" trademark for the name of his restaurant.3. To the well-known trademarks of others as the use of domain names. For example, watches trademark "OMEGA" registered the domain name for themselves ().4. To the well-known trademarks of others as a commodity and decorating use.5. Will be others as well-known trade marks of goods or services using the common name. For example, "Kodak" interpreted as "film, is a camera with photographic material", or "film, also known as Kodak,……" This interpretation is also the mark of the water down. If the "Kodak" ignored the trademark owner, after a period of time, people will Kodak film is, the film is Kodak. In this way, the Kodak film-related goods has become the common name, it as a trademark by a significant, identifiable on limbo. The public well-known Jeep (Jeep), aspirin (Aspirin), freon (Freon), and so was the registration of foreign goods are due to improper use and management and the protection of poor, evolved into similar products common name, Thus lost its trademark logo features.U.S. "anti-diluted Federal trademark law" before the implementation of the Federal Court of Appeal through the second from 1994 to 1996 case, identified thefollowing violations including the Trademark Dilution: (1) vague, non-means as others in similar goods not on Authorized the use of a trademark so that the sales of goods and reduce the value of trademarks or weakened (2) pale, that is because of violations related to the quality, or negative, to demonize the acts described a trademark goods may be caused to others The negative effects of the situation, (3) to belittle, or improperly changed, or derogatory way to describe a trade mark case.The majority of our scholars believe that the well-known trademarks diluted There are two main forms: watered down and defaced. The so-called dilute the people will have no right to use the same or similar trademark with the well-known trademarks used in different types of commodities, thus making the mark with the goods weakened ties between the specific acts the so-called defaced is that people will have no right to use the same Or similar marks for the well-known trade marks will have to belittle good reputation, tarnished the role of different types of goods on the act.Some scholars believe that the desalination also refers to the three aspects of well-known trademarks damage. First, in a certain way to demonize the relevant well-known trademarks; Second, some way related to well-known trademark dark; Third is the indirect way so that consumers will distort trade mark goods for the general misunderstanding of the name.In general, can be diluted in the form summarized as follows:1, weakeningWeakening is a typical diluted form, also known as dark, is that others will have some visibility in the use of a trademark is not the same, similar to the goods or services, thereby weakening the mark with its original logo of goods or services The link between, weakening the mark was a significant and identifiable, thus bearing the trade mark by the damage caused by acts of goodwill. Weakening the mark of recognition of the significant damage is serious, it can be the recognition of trademark dilution, was significant, or even make it completely disappeared, then to the mark bycarrying the reputation of devastating combat.First, the weakening of the identification is the weakening and lower. Any unauthorized person, others will have some visibility in the use of a trademark is not the same, similar to the goods or services, will reduce its recognition of. But consumers were referred to the mark, it may no longer think of first is the original goods or services, not only is the original or goods or services, consumers simply will not even think of goods or services, but the Trademark Dilution of goods Or services. There is no doubt that this marks the recognition of, is a heavy blow.Weakening of the mark is significantly weakened and the lower. Mark is significantly different from other commercial trademark marked characteristics. A certain well-known trademarks, which in itself should be a very significant, very significant and can be quickly and other signs of its own separate. However, the Trademark Dilution of the same or similar trademarks used in different goods or services, so that was the trademark and other commercial marked difference in greatly reduced, to the detriment of its significant.Of course, regardless of the weakening of the mark was a significant or identifiable, are the ultimate impact of the mark by the bearer of goodwill. Because the trade mark is the carrier of goodwill, the mark of any major damage, the final performance for all bearing the trade mark by the goodwill of the damage.2, tarnishedMeans others will have some well-known trademarks in the use of the good reputation of the trademark will have to belittle, defaced role of the goods or services on the act. Contaminate the trademarks of others, is a distortion of trade marks to others, the use of the damage, not only reduced the value of the mark, even on such values were defaced. As tarnished reputation is a trademark of damage, so tarnished included in the diluted acts, is also relatively accepted view. Moreover, in the field of trademark faded, tarnished than the weakening of the danger of even greater acts, the consequences are more serious.3, degradationDegradation is due to improper use of trademarks, trade mark goods for the evolution of the common name recognition and loss of function. Trademark Dilution degradation is the most serious kind. Degradation of the event, will completely lose their identification marks, no longer has the distinction function as the common name of the commodity.Fourth, protection against diluteBased on the well-known trademarks dilute the understanding, and accompanied by a serious weakening of well-known trademarks, all countries are gradually legislation to provide for the well-known trademarks to protect anti-diluted. There are specific models:1, the development of special anti-dilute the protection of well-known trademarksThe United States is taking this protection on behalf of the typical pattern.1995, in order to prevent lower dilute "the only representative of the public eye, the unique image of the trademark" to protect "the trademark value of advertising," the U.S. Congress passed the National reunification of the "anti-federal trademark law watered down", so as to the well-known trademarks All provide the unified and effective national anti-dilute the protection.U.S. anti-diluted in trademark protection has been added a new basis for litigation, which is different from the traditional basis of trademark infringement litigation. Trademark infringement of the criteria is confusing, the possibility of deception and misleading, and the Trademark Dilution criteria is unauthorized to others well-known trademarks of the public to reduce the use of the trademark instructions for goods and services only and in particular of Feelings. It is clear that the U.S. law is anti-diluted basis, "business reputation damage" and the possibility of well-known trade mark was a significant weakening of the possibility of providingrelief. Moreover, anti-faded law does not require the application of competitive relations or the existence of possible confusion, which is more conducive to the exercise of trademark right to appeal.2, through the Anti-Unfair Competition Law ProtectionSome countries apply anti-unfair competition law to protect famous trademarks from being watered down. Such as Greece, "Anti-Unfair Competition Law," the first one: "Prohibition of the Use of well-known trademarks in order to take advantage of different commodities on the well-known trademarks dilute its credibility was significant." Although some countries in the Anti-Unfair Competition Law does not explicitly prohibits trademark faded, but the Trademark Dilution proceedings, the application of unfair competition litigation.3, through or under well-known trademark protection within the scope of trademark protectionMost civil law countries is this way. 1991, "the French Intellectual Property Code," Di Qijuan trademark law section L.713-5 of the provisions that: not in similar goods or services on the use of well-known trade marks to the trademark owner or a loss caused by the improper use of trademarks , Against people should bear civil liability.Germany in 1995, "the protection of trademarks and other signs of" Article 14 also stipulates that: without the consent of the trademark rights of third parties should be banned in commercial activities, in and protected by the use of the trademark does not like similar goods or services , And the use of the trademark identical or similar to any signs.4, in the judicial precedents in the application of anti-dilute the protection ofIn some countries there are no clear legislative provisions of the anti-dilute well-known trademarks, but in judicial practice, they are generally applicable civil law on compensation for the infringement of the debt to protect the interests of allwell-known trademarks, through judicial precedents to dilute the protection of applicable anti.China's well-known trademarks in the protection of the law did not "water down" the reference, but on the substance of the relevant legal provisions, protection of anti-diluted. 2001 "Trademark Law" amendment to increase the protection of well-known trademarks, in particular, it is important to the well-known trademarks have been registered to conduct cross-category protection. Article 13 stipulates: "The meeting is not the same as or similar to the trademark application for registration of goods is copied, Mofang, translation others have been registered in the well-known trademarks, misleading the public, the standard of the well-known trade mark registration may be the interests of the damage, no registration And can not be used. "But needs to be pointed out that this provision does not mean that China's laws for the well-known trademarks has provided an effective anti-dilute the protection. "Trademark Law" will prohibit only well-known trademarks and trademarks of the same or similar use, without the same or similar goods not on the behavior, but the well-known trade marks have faded in various forms, such as the well-known trademarks for names, domain names, such acts Detract from the same well-known trademarks destroyed the logo of the ability to make well-known trade mark registration of the interests of damage, this is not a legal norms.It must be pointed out that the trade mark that should be paying attention to downplay acts of the following:1, downplay acts are specifically for the well-known registered trade marks.Perpetrators diluted one of the main purpose is the free-rider, using the credibility of well-known trademarks to sell their products, and general use of trademarks do not have this value. That acts to dilute limited to well-known trademarks, can effectively protect the rights of trademark rights, have not excessively restrict the freedom of choice of logo, is right to resolve the conflict right point of balance. "Trademark Law" will be divided into well-known trademarks have beenregistered and unregistered, and give different protection. Anti-has been watered down to protect only against the well-known trade marks registration, and for China not only well-known trade marks registered in the same or similar ban on the registration and use of goods. This reflects the "Trademark Law" the principle of protection of registered trademarks.2, faded in the different categories of goods and well-known trademarks for use on the same or similar logo.If this is the same or similar goods with well-known trademarks for use on the same or similar to the logo should be in accordance with the general treatment of trademark infringement. There is also a need to downplay the use of the tags are similar to a well-known trademarks and judgments.3, not all the non-use of similar products on the well-known trade marks and logos of the same or similar circumstances are all faded.When a trademark has not yet become well-known trademarks, perhaps there are some with the same or similar trademarks used in other types of goods on. In the well-known trademarks, the original has been in existence does not constitute a trademark of those who play down.4, acts that play down the perpetrator does not need to consider the subjective mental state.Regardless of their out of goodwill or malicious, intentional or fault, is not watered down the establishment. But the acts of subjective mental state will assume responsibility for its impact on the manner and scope. Generally speaking, if the perpetrator acts intentionally dilute the responsibility to shoulder much weight, in particular, bear a heavier responsibility for damages, if the fault is the commitment will be less responsibility. If there are no mistakes, just assume the responsibility to stop infringement.5, due to anti-faded to protect well-known trade marks with a specific goods orservices linked to well-known trademarks a long time widely used in a variety of goods, will inevitably lead to trademark the logo of a particular commodity producers play down the link, well-known trademarks A unique attraction to consumers will also be greatly reduced. So that should not be watered down to conduct a source of confusion for the conditions of goods, after all, not all the water down will cause consumers confusion. For example, a street shop's name is "Rolls-Royce fruit shop," people at this time there will be no confusion and that the shop and the famous Rolls-Royce trademark or producers of the contact. However, such acts can not be allowed, a large number of similar acts will dilute the Rolls-Royce trademark and its products linked to undermine the uniqueness of the trademark, if things continue this way when the mention of Rolls-Royce trademark, people may think of is not only Automobile, food, clothing, appliances, etc.. That faded as to cause confusion for the conditions, some will not dilute norms and suppression of acts, makes well-known trade marks are not well protected. Therefore, as long as it is a well-known trademark detract from the logo and unique ability to act on the behavior should be identified as diluted.1. Zheng Chengsi: "Intellectual property law", legal publishers 2003 version.2. Wu Handong editor: "Intellectual Property Law," China Politics and Law University Press 2002 edition.3. Susan. Sela De: "The United States Federal trademark law dilute the anti-legislation and practice," Zhang Jin Yi, contained in the "Law on Foreign Translation" 1998 No.4.4. Kong Xiangjun: "Anti-Unfair Competition AFP theory," People's Court Press, 2001 edition.5. Liu Ping, Qi Chang: "On the special protection of famous trademarks", in "law and commercial" 1998 No.6.6. Well-Tao, Lu Zhou Li: "On the well-known trademarks to protect the anti-diluted", in "Law" 1998 No. 5.2 外文参考文献原文浅谈驰名商标之淡化与反淡化一、驰名商标概述驰名商标是指经过长期使用,在市场上享有较高声誉,为相关公众所熟知,并经一定程序认定的商标。
现代包装机械设备毕业课程设计外文文献翻译、中英文翻译
1 英文文献翻译1.1 Modern PackagingAuthor:Abstract1. Changing Needs and New RolesLooking back, historical changes are understandable and obvious. That all of them have had an impact on the way products are brought, consumed and packaged is also obvious. What is not so obvious is what tomorrow will bring. Yet, it is to the needs, markets, and conditions of tomorrow that packaging professionals must always turn their attention.The forces that drove packaging during the Industry Revolution continue to operate today. The consumer society continues to grow and is possibly best described by a 1988s bumper sticker, “Born to Shop”. We consume goods today at a rate 4 to 5 times greater than we did as recently as 1935. Most of these goods are not essential to survival; they constitute what we may call “the good life”.In the second half of the 20th century, the proliferation of goods was so high that packaging was forced into an entirely new role, that of providing the motivation rather than presenting the goods itself. On a shelf of 10 competing products, all of them similar in performance and quality, the only method of differentiating became the package itself. Marketer aimed at lifestyles, emotional values, subliminal images, features, and advantages beyond the basic product rather than the competitor’s. In some in instances, the package has become the product, and occasionally packaging has become entertainment.A brand product to carry the product manufacturer or product sales of theretailer’s label, usually by the buyer as a quality assessment guidance. In some cases, competing brands of product quality is almost no difference, a difference is the sale of its packaging. An interesting visually attractive packaging can give a key marketing advantage and convince impulse spending. However, the packaging should accurately reflect the quality of products/brand value in order to avoid the disappointment of consumers, encourage repeat purchases and build brand loyalty. Ideally, the product should exceed customer expectations.2. Packaging and the Modern Industrial SocietyThe importance of packaging to a modern industrial society is most evident when we examine the food-packaging sector. Food is organic in nature, having an animal or plant source. One characteristic of such organic matter is that, by and large, it has a limited natural biological life.A cut of meat, left to itself, might be unfit for human consumption by the next day. Some animal protein products, such as seafood, can deteriorate within hours.The natural shelf life of plant-based food depends on the species and plant involved. Pulpy fruit portions tend to have a short life span, while seed parts, which in nature have to survive at least separated from the living plant are usually short-lived.In addition to having a limited natural shelf life, most food is geographically and season-ally specific. Thus, potatoes and apples are grown in a few North American geographical regions and harvest during a short maturation period. In a world without packaging,we would need to live at the point of harvest to enjoy these products, and our enjoyment of them would be restricted to the natural biological life span of each. It is by proper storage, packaging and transport techniques that we are able to deliver fresh potatoes and apples, or the products derived from them, throughout the year and throughout the country. Potato-whole,canned, powdered, flaked, chipped, frozen, and instant is available, anytime, anywhere. This ability gives a society great freedom and mobility. Unlike less-developed societies, we are no longer restricted in our choice of where to live, since we are no longer tied to the food-producing ability of an area. Food production becomes more specialized and efficient with the growth of packaging. Crops and animal husbandry are moved to where their production is most economical, without regard to the proximity of a market. Most important, we are free of the natural cycles of feast and famine that are typical of societies dependent on natural regional food-producing cycles.Central processing allows value recovery from what would normally be waste by products of the processed food industry from the basis of other sub-industries. Chicken feathers are high in protein and, properly mill and treated, can be fed back to the next generation of chickens. Vegetable waste is fed to cattle or pigs. Bagasse, the waste cane from sugar pressing, is a source of fiber for papermaking. Fish scales are refined to make additives for paints and nail polish.The economical manufacture of durable goods also depends on good packaging.A product's cost is directly related to production volume. The business drive to reduce costs in the supply chain must be carefully balanced against the fundamental technical requirements for food safety and product integrity, as well as the need to ensure an. efficient logistics service. In addition, there is a requirement to meet the aims of marketing to protect and project brand image through value-added pack design. The latter may involve design inputs that communicate distinctive, aesthetically pleasing, ergonomic, functional and/or environmentally aware attributes. But for a national or international bicycle producer to succeed, it must be a way of getting the product to a market, which may be half a world away. Again, sound packaging, in this case distributionpackaging, is a key part of the system.Some industries could not exist without an international market. For example, Canada is a manufacturer of irradiation equipment, but the Canadian market (which would account for perhaps one unit every several years) could not possibly support such a manufacturing capability. However, by selling to the world, a manufacturing facility becomes viable. In addition to needing packaging for the irradiation machinery and instrumentation, the sale of irradiation equipment requires the sale packaging and transport of radioactive isotopes, a separate challenge in itself. In response to changing consumer lifestyles, the large retail groups and the food service industry development. Their success has been involved in a competition fierce hybrid logistics, trade, marketing and customer service expertise, all of which is dependent on the quality of packaging. They have in part led to the expansion of the dramatic range of products offered, technology innovation, including those in the packaging. Supply retail, food processing and packaging industry will continue to expand its international operations. Sourcing products around the world more and more to assist in reducing trade barriers. The impact of the decline has been increased competition and price pressure. Increased competition led to the rationalization of industrial structure, often in the form of mergers and acquisitions. Packaging, it means that new materials and shapes, increased automation, packaging, size range extension of lower unit cost. Another manufacturer and mergers and acquisitions, the Group's brand of retail packaging and packaging design re-evaluation of the growing development of market segmentation and global food supply chain to promote the use of advanced logistics and packaging systems packaging logistics system is an integral part of, and played an important role in prevention in the food supply or reduce waste generation.3. World Packaging.This discussion has referred to primitive packaging and the evolution of packaging functions. However, humankind's global progress is such that virtually every stage in the development of society and packaging is present somewhere in the world today. Thus, a packager in a highly developed country will agonize over choice of package type, hire expensive marketing groups to develop images to entice the targeted buyer and spend lavishly on graphics. In less-developed countries, consumers are happy to have food, regardless of the package. At the extreme, consumers will bring their own packages or will consume food on the spot, just as they did 2000 years ago.Packagers from the more developed countries sometimes have difficulty working with less-developed nations, for the simple reason that they fail to understand that their respective packaging priorities are completely different. Similarly, developing nations trying to sell goods to North American markets cannot understand our preoccupation with package and graphics.The significant difference is that packaging plays a different role in a market where rice will sell solely because it is available. In the North American market, the consumer may be confronted by five different companies offering rice in 30 or so variations. If all the rice is good and none is inferior, how does a seller create a preference for his particular rice? How does he differentiate? The package plays a large role in this process.The package-intensive developed countries are sometimes criticized for over packaging, and certainly over-packaging does exist. However, North Americans also enjoy the world's cheapest food, requiring only about 11 to 14% of our disposable income. European food costs are about 20% of disposable income, and in the less-developed countries food can take 95%of family income.4. The status and development trend of domestic and international packaging machineryWorldwide, the history of the development of the packaging machinery industry is relatively short, science and technology developed in Europe and America in general started in the 20th century until the 1950s the pace greatly accelerated.From the early 20th century, before the end of World War II World War II,medicine,food, cigarettes,matches,household chemicals and other industrial sectors, the mechanization of the packaging operations; the 1950s, the packaging machine widely used common electric switches and tube for the main components of the control system to achieve the primary automation; 1960s, Electrical and optical liquid-gas technology is significantly increased in the packaging machine, machines to further expand on this basis a dedicated automated packaging line; the 1970s, the micro- electronic technology into the automation of packaging machines and packaging lines, computer control packing production process; from the 1980s to the early 1990s, in some field of packaging, computer, robot application for service, testing and management, in preparation for the over-flexible automatic packaging lines and "no" automatic packaging workshop.Actively promoted and strong co-ordination of all aspects of society, and gradually establish a packaging material, packaging, printing, packaging machinery and other production sectors, and corresponding to the research, design, education, academic, management and organization, and thus the formation of independent and complete. The packaging of light industrial system, and occupies an important place in the national economy as a whole.Based on recent years data that members of the World Packaging Alliance output value of the packaging industry accounts for about 2% of the total output value of the national economy; in which the proportion of packaging machinery, though not large, but the rapid development of an annual average of almost growing at a rate of about 10%. Put into use at the packaging machine is now more than thousand species of packaging joint machines and automated equipment has been stand-alone equate. According to the new technological revolution in the world development trend is expected to packaging materials and packaging process and packaging machinery will be closely related to obtain the breakthrough of a new step, and bring more sectors into the packaging industry.China Packaging Technology Association was established in 1980. Soon, the China National Packaging Corporation have been born. Since then, one after another in the country organized a national and international packaging machinery exhibition, seminars, also published I had the first ever "China Packaging Yearbook and other packaging technology books. All this indicates that China is creating a new packaging historical perio d.1.2中文翻译现代包装1、不断变化的需求和新的角色,回顾以往,包装所带来明显的历史性变化是可以理解的, 一个产品包装方式的给他们的销量带来的影响也是显而易见的。
英文文献全文翻译
英文文献全文翻译全文共四篇示例,供读者参考第一篇示例:LeGuin, Ursula K. (December 18, 2002). "Dancing at the Edge of the World: Thoughts on Words, Women, Places".《世界边缘的舞蹈:关于语言、女性和地方的思考》Introduction:In "Dancing at the Edge of the World," Ursula K. LeGuin explores the intersection of language, women, and places. She writes about the power of words, the role of women in society, and the importance of our connection to the places we inhabit. Through a series of essays, LeGuin invites readers to think critically about these topics and consider how they shape our understanding of the world.Chapter 1: LanguageConclusion:第二篇示例:IntroductionEnglish literature translation is an important field in the study of language and culture. The translation of English literature involves not only the linguistic translation of words or sentences but also the transfer of cultural meaning and emotional resonance. This article will discuss the challenges and techniques of translating English literature, as well as the importance of preserving the original author's voice and style in the translated text.Challenges in translating English literature第三篇示例:Title: The Importance of Translation of Full English TextsTranslation plays a crucial role in bringing different languages and cultures together. More specifically, translating full English texts into different languages allows for access to valuable information and insights that may otherwise be inaccessible to those who do not speak English. In this article, we will explore the importance of translating full English texts and the benefits it brings.第四篇示例:Abstract: This article discusses the importance of translating English literature and the challenges translators face when putting together a full-text translation. It highlights the skills and knowledge needed to accurately convey the meaning and tone of the original text while preserving its cultural and literary nuances. Through a detailed analysis of the translation process, this article emphasizes the crucial role translators play in bridging the gap between languages and making English literature accessible to a global audience.IntroductionEnglish literature is a rich and diverse field encompassing a wide range of genres, styles, and themes. From classic works by Shakespeare and Dickens to contemporary novels by authors like J.K. Rowling and Philip Pullman, English literature offers something for everyone. However, for non-English speakers, accessing and understanding these works can be a challenge. This is where translation comes in.Translation is the process of rendering a text from one language into another, while striving to preserve the original meaning, tone, and style of the original work. Translating afull-length English text requires a deep understanding of both languages, as well as a keen awareness of the cultural andhistorical context in which the work was written. Additionally, translators must possess strong writing skills in order to convey the beauty and complexity of the original text in a new language.Challenges of Full-text TranslationTranslating a full-length English text poses several challenges for translators. One of the most significant challenges is capturing the nuances and subtleties of the original work. English literature is known for its rich and layered language, with intricate wordplay, metaphors, and symbolism that can be difficult to convey in another language. Translators must carefully consider each word and phrase in order to accurately convey the author's intended meaning.Another challenge of full-text translation is maintaining the author's unique voice and style. Each writer has a distinct way of expressing themselves, and a good translator must be able to replicate this voice in the translated text. This requires a deep understanding of the author's writing style, as well as the ability to adapt it to the conventions of the target language.Additionally, translators must be mindful of the cultural and historical context of the original work. English literature is deeply rooted in the history and traditions of the English-speaking world, and translators must be aware of these influences in orderto accurately convey the author's intended message. This requires thorough research and a nuanced understanding of the social, political, and economic factors that shaped the work.Skills and Knowledge RequiredTo successfully translate a full-length English text, translators must possess a wide range of skills and knowledge. First and foremost, translators must be fluent in both the source language (English) and the target language. This includes a strong grasp of grammar, syntax, and vocabulary in both languages, as well as an understanding of the cultural and historical context of the works being translated.Translators must also have a keen eye for detail and a meticulous approach to their work. Every word, sentence, and paragraph must be carefully considered and translated with precision in order to accurately convey the meaning of the original text. This requires strong analytical skills and a deep understanding of the nuances and complexities of language.Furthermore, translators must possess strong writing skills in order to craft a compelling and engaging translation. Translating a full-length English text is not simply a matter of substituting one word for another; it requires creativity, imagination, and a deep appreciation for the beauty of language. Translators mustbe able to capture the rhythm, cadence, and tone of the original work in their translation, while also adapting it to the conventions of the target language.ConclusionIn conclusion, translating a full-length English text is a complex and challenging task that requires a high level of skill, knowledge, and creativity. Translators must possess a deep understanding of both the source and target languages, as well as the cultural and historical context of the work being translated. Through their careful and meticulous work, translators play a crucial role in making English literature accessible to a global audience, bridging the gap between languages and cultures. By preserving the beauty and complexity of the original text in their translations, translators enrich our understanding of literature and bring the works of English authors to readers around the world.。
pdf英文文献翻译
pdf英文文献翻译 PDF English Literature Translation With the advances in technology, the use of electronic documents has become increasingly popular. PDF, short for Portable Document Format, is one of the most widely used file formats for sharing and distributing electronic documents. For researchers and academicians, access to Englishliterature is critical as it contributes to the expansion of knowledge and encourages global collaboration. However, not all scholars are proficient in English, which creates a need for the translation of English literature, especially in the form of PDFs. In this document, we will explore the importance and challenges of translating English literature into PDF format, along with some best practices for effective translation. 1. Importance of PDF English Literature Translation Translation of English literature into PDF format enables scholars from non-English speaking backgrounds to access and understand research findings from across the globe. It promotes inclusivity and fosters collaboration among academics, thereby facilitating the advancement of knowledge in various fields. Additionally, translated PDF literature helps in disseminating research in conferences and seminars, extending the reach and impact of the work. 2. Challenges in PDF English Literature Translation Translating English literature into PDF format presents several challenges. Firstly, the accuracy of the translation is paramount to ensure the intended meaning is not lost. Translators must possess a strong command of boththe source and target languages to accurately capture the nuances and essence of the text. Additionally, the formatting and layout of the PDF document must be preserved during the translation process. Maintaining the structure ensures that the translated document remains visually appealing and user-friendly. 3. Best Practices for Effective PDF English Literature Translation To ensure successful translation of English literature into PDF format, adhering to these best practices is imperative: a. Engage professional translators with subject matter expertise: It is crucial to collaborate with professional translators who possess knowledge in the specific field of the English literature being translated. Their expertise ensures accurate rendering of technical terms and concepts. b. Use industry-standard translation tools: Employing computer-assisted translation (CAT) tools like SDL Trados or MemoQ enhances efficiency and consistency. These tools support translation memory, maintaining consistency across the translated documents. They also allow for easy management of terminology glossaries. c. Preserve the formatting and layout: Implementing a robust translation workflow that includes preserving the formatting and layout of the PDF document is essential. This can be achieved by using specialized software that preserves the structure and visual appeal of the original document. d. Proofread and edit thoroughly: After the initial translation, it is crucial to invest time in thorough proofreading and editing. This ensures the accuracy and quality of the translated PDF document. A fresh pair of eyes can detect any errors or inconsistencies that might have been overlooked during the translation process. e. Obtain feedback from target audience: Feedback from the target audience can provide valuable insights into the effectiveness of the translated PDF document. This feedback can help improve future translations and ensure theaudience's needs are met. In conclusion, the translation of English literature into PDF format plays a crucial role in enabling worldwide collaboration and knowledge exchange. By recognizing the importance of accuracy, formatting preservation, andutilizing professional translators and industry-standard tools, the effective translation of English literature can be achieved. Adopting best practices ensures that the translated PDF documents are of high quality, visually appealing, and accessible to scholars from non-English speaking backgrounds.。
电气工程的外文文献(及翻译)
电气工程的外文文献(及翻译)文献一:Electric power consumption prediction model based on grey theory optimized by genetic algorithms本文介绍了一种基于混合灰色理论与遗传算法优化的电力消耗预测模型。
该模型使用时间序列数据来建立模型,并使用灰色理论来解决数据的不确定性问题。
通过遗传算法的优化,模型能够更好地预测电力消耗,并取得了优异的预测结果。
此模型可以在大规模电力网络中使用,并具有较高的可行性和可靠性。
文献二:Intelligent control for energy-efficient operation of electric motors本文研究了一种智能控制方法,用于电动机的节能运行。
该方法提供了一种更高效的控制策略,使电动机能够在不同负载条件下以较低的功率运行。
该智能控制使用模糊逻辑方法来确定最佳的控制参数,并使用遗传算法来优化参数。
实验结果表明,该智能控制方法可以显著降低电动机的能耗,节省电能。
文献三:Fault diagnosis system for power transformers based on dissolved gas analysis本文介绍了一种基于溶解气体分析的电力变压器故障诊断系统。
通过对变压器油中的气体样品进行分析,可以检测和诊断变压器内部存在的故障类型。
该系统使用人工神经网络模型来对气体分析数据进行处理和分类。
实验结果表明,该系统可以准确地检测和诊断变压器的故障,并有助于实现有效的维护和管理。
文献四:Power quality improvement using series active filter based on iterative learning control technique本文研究了一种基于迭代研究控制技术的串联有源滤波器用于电能质量改善的方法。
英文文献和中文翻译Probing the Relationship of Long-Range Order in Nanodomain
对利用三元添置中子衍射得到的纳米级FeCo合金远程有序关系的探究1.简介由于具有非常高的饱和磁化强度和居里温度,FeCo合金在工业上是一种重要的工程材料。
这些合金在软磁材料的应用中发挥了重要作用,例如发电机和电动机。
进一步应用的例子是变压器磁芯,磁驱动传动器,高场磁体的磁极以及电磁阀。
在工业的大部分应用当中,面临的挑战是在保持磁性能的同时,如何提高FeCo合金的拉伸强度和韧性。
曾经尝试过的方法有改变合金设计(比如加入一些镍,钒,铌,钽,铬,钼三元金属)、进行退火处理或是采用先进的变形处理。
然而,在现代应用中,要求有更好的力学、磁学性能。
近几年来,由于对现代发电机和配电设备需求的增加,科学家在FeCo合金方面的研究兴趣与日俱增。
特别是在极端环境下,对电气应用的要求非常严格。
另一方面,针对FeCo合金的结构和物理性能,尤其是针对它的纳米结构系统提出了有趣的问题。
得益于低钴FeCo合金(钴占到质量分数的17%到35%)的发展,在满足所需的磁性能的同时,合金的成本才得以降低。
此外,较低的Co含量能够提高合金的延展性和韧性。
合金的力学性能和温度所决定的晶体结构有直接的联系。
在高温时,Fe、Co两元素随机分布在体心立方晶格上(图1 A2型结构)。
Co的含量占到29%到70%,这种无序的结构在低温状态下是不稳定的。
当温度低于远程无序的临界温度Tc时,Fe、Co将会被分配到两个相互穿插的原始立方晶格当中,并形成一个有序的B2型结构。
图1 二元合金FeCo的相图。
所讨论的三元合金的区域示意图。
B2型结构的合金有一些典型的特点。
比如说,“反结构”和“三点”机制产生的点缺陷能够导致晶格空位。
无序的B2型结构合金表现出波浪滑移,而局部无序型合金表现出平面滑移。
有序—无序之间的转变影响了FeCo合金的力学性能,比如合金韧性的改变、更脆的无序相、有序相等。
另外,磁性影响了结构的稳定性,造就了FeCo合金的有序性。
比如,在富铁FeCo合金中,磁有序稳定了体心立方结构,也稳定了来源于铁磁性B2相的有序性。
数据采集外文文献翻译中英文
数据采集外文文献翻译(含:英文原文及中文译文)文献出处:Txomin Nieva. DATA ACQUISITION SYSTEMS [J]. Computers in Industry, 2013, 4(2):215-237.英文原文DATA ACQUISITION SYSTEMSTxomin NievaData acquisition systems, as the name implies, are products and/or processes used to collect information to document or analyze some phenomenon. In the simplest form, a technician logging the temperature of an oven on a piece of paper is performing data acquisition. As technology has progressed, this type of process has been simplified and made more accurate, versatile, and reliable through electronic equipment. Equipment ranges from simple recorders to sophisticated computer systems. Data acquisition products serve as a focal point in a system, tying together a wide variety of products, such as sensors that indicate temperature, flow, level, or pressure. Some common data acquisition terms are shown below.Data collection technology has made great progress in the past 30 to 40 years. For example, 40 years ago, in a well-known college laboratory, the device used to track temperature rises in bronze made of helium was composed of thermocouples, relays, interrogators, a bundle of papers, anda pencil.Today's university students are likely to automatically process and analyze data on PCs. There are many ways you can choose to collect data. The choice of which method to use depends on many factors, including the complexity of the task, the speed and accuracy you need, the evidence you want, and more. Whether simple or complex, the data acquisition system can operate and play its role.The old way of using pencils and papers is still feasible for some situations, and it is cheap, easy to obtain, quick and easy to start. All you need is to capture multiple channels of digital information (DMM) and start recording data by hand.Unfortunately, this method is prone to errors, slower acquisition of data, and requires too much human analysis. In addition, it can only collect data in a single channel; but when you use a multi-channel DMM, the system will soon become very bulky and clumsy. Accuracy depends on the level of the writer, and you may need to scale it yourself. For example, if the DMM is not equipped with a sensor that handles temperature, the old one needs to start looking for a proportion. Given these limitations, it is an acceptable method only if you need to implement a rapid experiment.Modern versions of the strip chart recorder allow you to retrieve data from multiple inputs. They provide long-term paper records of databecause the data is in graphic format and they are easy to collect data on site. Once a bar chart recorder has been set up, most recorders have enough internal intelligence to operate without an operator or computer. The disadvantages are the lack of flexibility and the relative low precision, often limited to a percentage point. You can clearly feel that there is only a small change with the pen. In the long-term monitoring of the multi-channel, the recorders can play a very good role, in addition, their value is limited. For example, they cannot interact with other devices. Other concerns are the maintenance of pens and paper, the supply of paper and the storage of data. The most important is the abuse and waste of paper. However, recorders are fairly easy to set up and operate, providing a permanent record of data for quick and easy analysis.Some benchtop DMMs offer selectable scanning capabilities. The back of the instrument has a slot to receive a scanner card that can be multiplexed for more inputs, typically 8 to 10 channels of mux. This is inherently limited in the front panel of the instrument. Its flexibility is also limited because it cannot exceed the number of available channels. External PCs usually handle data acquisition and analysis.The PC plug-in card is a single-board measurement system that uses the ISA or PCI bus to expand the slot in the PC. They often have a reading rate of up to 1000 per second. 8 to 16 channels are common, and the collected data is stored directly in the computer and then analyzed.Because the card is essentially a part of the computer, it is easy to establish the test. PC-cards are also relatively inexpensive, partly because they have since been hosted by PCs to provide energy, mechanical accessories, and user interfaces. Data collection optionsOn the downside, the PC plug-in cards often have a 12-word capacity, so you can't detect small changes in the input signal. In addition, the electronic environment within the PC is often susceptible to noise, high clock rates, and bus noise. The electronic contacts limit the accuracy of the PC card. These plug-in cards also measure a range of voltages. To measure other input signals, such as voltage, temperature, and resistance, you may need some external signal monitoring devices. Other considerations include complex calibrations and overall system costs, especially if you need to purchase additional signal monitoring devices or adapt the PC card to the card. Take this into account. If your needs change within the capabilities and limitations of the card, the PC plug-in card provides an attractive method for data collection.Data electronic recorders are typical stand-alone instruments that, once equipped with them, enable the measurement, recording, and display of data without the involvement of an operator or computer. They can handle multiple signal inputs, sometimes up to 120 channels. Accuracy rivals unrivalled desktop DMMs because it operates within a 22 word, 0.004 percent accuracy range. Some data electronic automatic recordershave the ability to measure proportionally, the inspection result is not limited by the user's definition, and the output is a control signal.One of the advantages of using data electronic loggers is their internal monitoring signals. Most can directly measure several different input signals without the need for additional signal monitoring devices. One channel can monitor thermocouples, RTDs, and voltages.Thermocouples provide valuable compensation for accurate temperature measurements. They are typically equipped with multi-channel cards. Built-in intelligent electronic data recorder helps you set the measurement period and specify the parameters for each channel. Once you set it all up, the data electronic recorder will behave like an unbeatable device. The data they store is distributed in memory and can hold 500,000 or more readings.Connecting to a PC makes it easy to transfer data to a computer for further analysis. Most data electronic recorders can be designed to be flexible and simple to configure and operate, and most provide remote location operation options via battery packs or other methods. Thanks to the A/D conversion technology, certain data electronic recorders have a lower reading rate, especially when compared with PC plug-in cards. However, a reading rate of 250 per second is relatively rare. Keep in mind that many of the phenomena that are being measured are physical in nature, such as temperature, pressure, and flow, and there are generallyfewer changes. In addition, because of the monitoring accuracy of the data electron loggers, a large amount of average reading is not necessary, just as they are often stuck on PC plug-in cards.Front-end data acquisition is often done as a module and is typically connected to a PC or controller. They are used in automated tests to collect data, control and cycle detection signals for other test equipment. Send signal test equipment spare parts. The efficiency of the front-end operation is very high, and can match the speed and accuracy with the best stand-alone instrument. Front-end data acquisition works in many models, including VXI versions such as the Agilent E1419A multi-function measurement and VXI control model, as well as a proprietary card elevator. Although the cost of front-end units has been reduced, these systems can be very expensive unless you need to provide high levels of operation, and finding their prices is prohibited. On the other hand, they do provide considerable flexibility and measurement capabilities.Good, low-cost electronic data loggers have the right number of channels (20-60 channels) and scan rates are relatively low but are common enough for most engineers. Some of the key applications include:•product features•Hot die cutting of electronic products•Test of the environmentEnvironmental monitoring•Composition characteristics•Battery testBuilding and computer capacity monitoringA new system designThe conceptual model of a universal system can be applied to the analysis phase of a specific system to better understand the problem and to specify the best solution more easily based on the specific requirements of a particular system. The conceptual model of a universal system can also be used as a starting point for designing a specific system. Therefore, using a general-purpose conceptual model will save time and reduce the cost of specific system development. To test this hypothesis, we developed DAS for railway equipment based on our generic DAS concept model. In this section, we summarize the main results and conclusions of this DAS development.We analyzed the device model package. The result of this analysis is a partial conceptual model of a system consisting of a three-tier device model. We analyzed the equipment project package in the equipment environment. Based on this analysis, we have listed a three-level item hierarchy in the conceptual model of the system. Equipment projects are specialized for individual equipment projects.We analyzed the equipment model monitoring standard package in the equipment context. One of the requirements of this system is the ability to use a predefined set of data to record specific status monitoring reports. We analyzed the equipment project monitoring standard package in the equipment environment. The requirements of the system are: (i) the ability to record condition monitoring reports and event monitoring reports corresponding to the items, which can be triggered by time triggering conditions or event triggering conditions; (ii) the definition of private and public monitoring standards; (iii) Ability to define custom and predefined train data sets. Therefore, we have introduced the "monitoring standards for equipment projects", "public standards", "special standards", "equipment monitoring standards", "equipment condition monitoring standards", "equipment project status monitoring standards and equipment project event monitoring standards, respectively Training item triggering conditions, training item time triggering conditions and training item event triggering conditions are device equipment trigger conditions, equipment item time trigger conditions and device project event trigger condition specialization; and training item data sets, training custom data Sets and trains predefined data sets, which are device project data sets, custom data sets, and specialized sets of predefined data sets.Finally, we analyzed the observations and monitoring reports in the equipment environment. The system's requirement is to recordmeasurements and category observations. In addition, status and incident monitoring reports can be recorded. Therefore, we introduce the concept of observation, measurement, classification observation and monitoring report into the conceptual model of the system.Our generic DAS concept model plays an important role in the design of DAS equipment. We use this model to better organize the data that will be used by system components. Conceptual models also make it easier to design certain components in the system. Therefore, we have an implementation in which a large number of design classes represent the concepts specified in our generic DAS conceptual model. Through an industrial example, the development of this particular DAS demonstrates the usefulness of a generic system conceptual model for developing a particular system.中文译文数据采集系统Txomin Nieva数据采集系统, 正如名字所暗示的, 是一种用来采集信息成文件或分析一些现象的产品或过程。
毕业论文文献外文翻译----危机管理:预防,诊断和干预文献翻译-中英文文献对照翻译
第1页 共19页中文3572字毕业论文(设计)外文翻译标题:危机管理-预防,诊断和干预一、外文原文标题:标题:Crisis management: prevention, diagnosis and Crisis management: prevention, diagnosis andintervention 原文:原文:The Thepremise of this paper is that crises can be managed much more effectively if the company prepares for them. Therefore, the paper shall review some recent crises, theway they were dealt with, and what can be learned from them. Later, we shall deal with the anatomy of a crisis by looking at some symptoms, and lastly discuss the stages of a crisis andrecommend methods for prevention and intervention. Crisis acknowledgmentAlthough many business leaders will acknowledge thatcrises are a given for virtually every business firm, many of these firms do not take productive steps to address crisis situations. As one survey of Chief Executive officers of Fortune 500 companies discovered, 85 percent said that a crisisin business is inevitable, but only 50 percent of these had taken any productive action in preparing a crisis plan(Augustine, 1995). Companies generally go to great lengths to plan their financial growth and success. But when it comes to crisis management, they often fail to think and prepare for those eventualities that may lead to a company’s total failure.Safety violations, plants in need of repairs, union contracts, management succession, and choosing a brand name, etc. can become crises for which many companies fail to be prepared untilit is too late.The tendency, in general, is to look at the company as a perpetual entity that requires plans for growth. Ignoring the probabilities of disaster is not going to eliminate or delay their occurrences. Strategic planning without inclusion ofcrisis management is like sustaining life without guaranteeinglife. One reason so many companies fail to take steps to proactively plan for crisis events, is that they fail to acknowledge the possibility of a disaster occurring. Like an ostrich with its head in the sand, they simply choose to ignorethe situation, with the hope that by not talking about it, it will not come to pass. Hal Walker, a management consultant, points out “that decisions will be more rational and better received, and the crisis will be of shorter duration, forcompanies who prepare a proactive crisis plan” (Maynard, 1993) .It is said that “there are two kinds of crises: those that thatyou manage, and those that manage you” (Augustine, 1995). Proactive planning helps managers to control and resolve a crisis. Ignoring the possibility of a crisis, on the other hand,could lead to the crisis taking a life of its own. In 1979, theThree-Mile Island nuclear power plant experienced a crisis whenwarning signals indicated nuclear reactors were at risk of a meltdown. The system was equipped with a hundred or more different alarms and they all went off. But for those who shouldhave taken the necessary steps to resolve the situation, therewere no planned instructions as to what should be done first. Hence, the crisis was not acknowledged in the beginning and itbecame a chronic event.In June 1997, Nike faced a crisis for which they had no existi existing frame of reference. A new design on the company’s ng frame of reference. A new design on the company’s Summer Hoop line of basketball shoes - with the word air writtenin flaming letters - had sparked a protest by Muslims, who complained the logo resembled the Arabic word for Allah, or God.The council of American-Islamic Relations threatened aa globalNike boycott. Nike apologized, recalled 38,000 pairs of shoes,and discontinued the line (Brindley, 1997). To create the brand,Nike had spent a considerable amount of time and money, but hadnever put together a general framework or policy to deal with such controversies. To their dismay, and financial loss, Nike officials had no choice but to react to the crisis. This incident has definitely signaled to the company that spending a little more time would have prevented the crisis. Nonetheless,it has taught the company a lesson in strategic crisis management planning.In a business organization, symptoms or signals can alert the strategic planners or executives of an eminent crisis. Slipping market share, losing strategic synergy anddiminishing productivity per man hour, as well as trends, issues and developments in the socio-economic, political and competitive environments, can signal crises, the effects of which can be very detrimental. After all, business failures and bankruptcies are not intended. They do not usually happen overnight. They occur more because of the lack of attention to symptoms than any other factor.Stages of a crisisMost crises do not occur suddenly. The signals can usuallybe picked up and the symptoms checked as they emerge. A company determined to address these issues realizes that the real challenge is not just to recognize crises, but to recognize themin a timely fashion (Darling et al., 1996). A crisis can consistof four different and distinct stages (Fink, 1986). The phasesare: prodromal crisis stage, acute crisis stage, chronic crisisstage and crisis resolution stage.Modern organizations are often called “organic” due tothe fact that they are not immune from the elements of their surrounding environments. Very much like a living organism, organizations can be affected by environmental factors both positively and negatively. But today’s successfulorganizations are characterized by the ability to adapt by recognizing important environmental factors, analyzing them, evaluating the impacts and reacting to them. The art of strategic planning (as it relates to crisis management)involves all of the above activities. The right strategy, in general, provides for preventive measures, and treatment or resolution efforts both proactively and reactively. It wouldbe quite appropriate to examine the first three stages of acrisis before taking up the treatment, resolution or intervention stage.Prodromal crisis stageIn the field of medicine, a prodrome is a symptom of the onset of a disease. It gives a warning signal. In business organizations, the warning lights are always blinking. No matter how successful the organization, a number of issues andtrends may concern the business if proper and timely attentionis paid to them. For example, in 1995, Baring Bank, a UK financial institution which had been in existence since 1763,ample opportunitysuddenly and unexpectedly failed. There wasfor the bank to catch the signals that something bad was on thehorizon, but the company’s efforts to detect that were thwarted by an internal structure that allowed a single employee both to conduct and to oversee his own investment trades, and the breakdown of management oversight and internalcontrol systems (Mitroff et al., 1996). Likewise, looking in retrospect, McDonald’s fast food chain was given the prodromalsymptoms before the elderly lady sued them for the spilling ofa very hot cup of coffee on her lap - an event that resulted in a substantial financial loss and tarnished image of thecompany. Numerous consumers had complained about thetemperature of the coffee. The warning light was on, but the company did not pay attention. It would have been much simplerto pick up the signal, or to check the symptom, than facing the consequences.In another case, Jack in the Box, a fast food chain, had several customers suffer intestinal distress after eating at their restaurants. The prodromal symptom was there, but the company took evasive action. Their initial approach was to lookaround for someone to blame. The lack of attention, the evasiveness and the carelessness angered all the constituent groups, including their customers. The unfortunate deaths thatptoms,occurred as a result of the company’s ignoring thesymand the financial losses that followed, caused the company to realize that it would have been easier to manage the crisis directly in the prodromal stage rather than trying to shift theblame.Acute crisis stageA prodromal stage may be oblique and hard to detect. The examples given above, are obvious prodromal, but no action wasWebster’s New Collegiate Dictionary, an acute stage occursacutewhen a symptom “demands urgent attention.” Whether the acutesymptom emerges suddenly or is a transformation of a prodromalstage, an immediate action is required. Diverting funds and other resources to this emerging situation may cause disequilibrium and disturbance in the whole system. It is onlythose organizations that have already prepared a framework forthese crises that can sustain their normal operations. For example, the US public roads and bridges have for a long time reflected a prodromal stage of crisis awareness by showing cracks and occasionally a collapse. It is perhaps in light of the obsessive decision to balance the Federal budget that reacting to the problem has been delayed and ignored. This situation has entered an acute stage and at the time of this writing, it was reported that a bridge in Maryland had just collapsed.The reason why prodromes are so important to catch is thatit is much easier to manage a crisis in this stage. In the caseof most crises, it is much easier and more reliable to take careof the problem before it becomes acute, before it erupts and causes possible complications (Darling et al., 1996). In andamage. However, the losses are incurred. Intel, the largest producer of computer chips in the USA, had to pay an expensiveprice for initially refusing to recall computer chips that proved unreliable o n on certain calculations. The f irmfirm attempted to play the issue down and later learned its lesson. At an acutestage, when accusations were made that the Pentium Chips were not as fast as they claimed, Intel quickly admitted the problem,apologized for it, and set about fixing it (Mitroff et al., 1996). Chronic crisis stageDuring this stage, the symptoms are quite evident and always present. I t isIt is a period of “make or break.” Being the third stage, chronic problems may prompt the company’s management to once and for all do something about the situation. It may be the beginning of recovery for some firms, and a deathknell for others. For example, the Chrysler Corporation was only marginallysuccessful throughout the 1970s. It was not, however, until the company was nearly bankrupt that amanagement shake-out occurred. The drawback at the chronic stage is that, like in a human patient, the company may get used to “quick fixes” and “band “band--aid”approaches. After all, the ailment, the problem and the crisis have become an integral partoverwhelmed by prodromal and acute problems that no time or attention is paid to the chronic problems, or the managers perceive the situation to be tolerable, thus putting the crisison a back burner.Crisis resolutionCrises could be detected at various stages of their development. Since the existing symptoms may be related todifferent problems or crises, there is a great possibility thatthey may be misinterpreted. Therefore, the people in charge maybelieve they have resolved the problem. However, in practicethe symptom is often neglected. In such situations, the symptomwill offer another chance for resolution when it becomes acute,thereby demanding urgent care. Studies indicate that today anincreasing number of companies are issue-oriented and searchfor symptoms. Nevertheless, the lack of experience in resolvinga situation and/or inappropriate handling of a crisis can leadto a chronic stage. Of course, there is this last opportunityto resolve the crisis at the chronic stage. No attempt to resolve the crisis, or improper resolution, can lead to grim consequences that will ultimately plague the organization or even destroy it.It must be noted that an unsolved crisis may not destroy the company. But, its weakening effects can ripple through the organization and create a host of other complications.Preventive effortsThe heart of the resolution of a crisis is in the preventiveefforts the company has initiated. This step, similar to a humanbody, is actually the least expensive, but quite often the mostoverlooked. Preventive measures deal with sensing potential problems (Gonzales-Herrero and Pratt, 1995). Major internalfunctions of a company such as finance, production, procurement, operations, marketing and human resources are sensitive to thesocio-economic, political-legal, competitive, technological, demographic, global and ethical factors of the external environment. What is imminently more sensible and much more manageable, is to identify the processes necessary forassessing and dealing with future crises as they arise (Jacksonand Schantz, 1993). At the core of this process are appropriate information systems, planning procedures, anddecision-making techniques. A soundly-based information system will scan the environment, gather appropriate data, interpret this data into opportunities and challenges, and provide a concretefoundation for strategies that could function as much to avoid crises as to intervene and resolve them.Preventive efforts, as stated before, require preparations before any crisis symptoms set in. Generally strategic forecasting, contingency planning, issues analysis, and scenario analysis help to provide a framework that could be used in avoiding and encountering crises.出处:出处:Toby TobyJ. Kash and John R. Darling . Crisis management: prevention, diagnosis 179-186二、翻译文章标题:危机管理:预防,诊断和干预译文:本文的前提是,如果该公司做好准备得话,危机可以更有效地进行管理。
英文文献及翻译(计算机专业)
英文文献及翻译(计算机专业)The increasing complexity of design resources in a net-based collaborative XXX common systems。
design resources can be organized in n with design activities。
A task is formed by a set of activities and resources linked by logical ns。
XXX managementof all design resources and activities via a Task Management System (TMS)。
which is designed to break down tasks and assign resources to task nodes。
This XXX。
2 Task Management System (TMS)TMS is a system designed to manage the tasks and resources involved in a design project。
It poses tasks into smaller subtasks。
XXX management of all design resources and activities。
TMS assigns resources to task nodes。
XXX。
3 Collaborative DesignCollaborative design is a process that XXX a common goal。
In a net-based collaborative design environment。
n XXX n for all design resources and activities。
英文文献翻译
Preparation and characterization of Ag-TiO2 hybrid clusters powders[1](Ag-TiO2混合团簇粉末的制备和表征)Abstract:液相电弧放电法被用于制备纳米Ag-TiO2复合超细粉末。
XRD和TEM图表明颗粒呈葫芦状形态,分布狭窄。
我们讨论了实验条件对产品的影响,比较了这种方法制备的粉末和其他γ射线辐照法制备的粉末。
Introduction:材料合成技术,提高了研究特定电子和光学特性的能力。
这也导致了设备和不同效应的快速发展,如集成光学型偏振器[1]和量子霍耳效应。
所需的长度尺度对于这些结构的控制是在纳米级别的[ 2 ]。
科学家面临的一个新的挑战是半导体量子点的生长,它具有新的光学响应,引起了对其基础物理方面和三阶非线性光致发光的应用等的研究兴趣。
这方面的一个例子是Ag-TiO2复合材料通过胶体方法合成[ 3 ]或由γ射线辐照法合成[ 4 ]。
对比其他制备超细金属颗粒的方法,γ射线辐照法能在室温的环境压力下产生粉末。
在这封信中,我们开发了一种新的方法,即液相电弧放电法,用以制备纳米复合材料,当它经水热处理可以得到纳米级别的超细粉。
Preparation and photocatalytic activity of immobilized composite photocatalyst (titania nanoparticle/activated carbon)[2]固定化复合光催化剂(TiO2纳米颗粒/活性炭)的制备和光催化活性研究Abstract:制备了一种固定化复合光催化剂——TiO2纳米颗粒/活性炭(AC),并研究了它在降解纺织染料的光催化活性。
AC通过油菜籽壳制备。
碱性红18(BR18)和碱性红46(BR46)被用来作为模型染料。
并采用了傅里叶变换红外(FTIR),波长色散X射线光谱(WDX),扫描电子显微镜(SEM),紫外可见分光光度法,化学需氧量(COD)和离子色谱(IC)分析。
中英文文献翻译
Database introduction and ACCESS2000The database is the latest technology of data management, and the important branch of computer science. The database , as its name suggests, is the warehouse to preserve the data. The warehouse to store apparatus in computer only, and data to deposit according to sure forms。
The so-called database is refers to the long-term storage the data acquisition which in the computer, organized, may share。
In the database data according to the certain data model organization, the description, and the storage, has a smaller redundance, the higher data independence and the easy extension, and may altogether shine for each kind of user。
The effective management database, frequently has needed some database management systems (DBMS) is the user provides to database operation each kind of order, the tool and the method, including database establishment and recording input, revision, retrieval, demonstration, deletion and statistics。
英文文献小短文(原文加汉语翻译)
A fern that hyperaccumulates arsenic(这是题目,百度一下就能找到原文好,原文还有表格,我没有翻译)A hardy, versatile, fast-growing plant helps to remove arsenic from contaminated soilsContamination of soils with arsenic,which is both toxic and carcinogenic, is widespread1. We have discovered that the fern Pteris vittata (brake fern) is extremely efficient in extracting arsenic from soils and translocating it into its above-ground biomass. This plant —which, to our knowledge, is the first known arsenic hyperaccumulator as well as the first fern found to function as a hyperaccumulator— has many attributes that recommend it for use in the remediation of arsenic-contaminated soils.We found brake fern growing on a site in Central Florida contaminated with chromated copper arsenate (Fig. 1a). We analysed the fronds of plants growing at the site for total arsenic by graphite furnace atomic absorption spectroscopy. Of 14 plant species studied, only brake fern contained large amounts of arsenic (As;3,280–4,980 p.p.m.). We collected additional samples of the plant and soil from the contaminated site (18.8–1,603 p.p.m. As) and from an uncontaminated site (0.47–7.56 p.p.m. As). Brake fern extracted arsenic efficiently from these soils into its fronds: plants growing in the contaminated site contained 1,442–7,526p.p.m. Arsenic and those from the uncontaminated site contained 11.8–64.0 p.p.m. These values are much higher than those typical for plants growing in normal soil, which contain less than 3.6 p.p.m. of arsenic3.As well as being tolerant of soils containing as much as 1,500 p.p.m. arsenic, brake fern can take up large amounts of arsenic into its fronds in a short time (Table 1). Arsenic concentration in fern fronds growing in soil spiked with 1,500 p.p.m. Arsenic increased from 29.4 to 15,861 p.p.m. in two weeks. Furthermore, in the same period, ferns growing in soil containing just 6 p.p.m. arsenic accumulated 755 p.p.m. Of arsenic in their fronds, a 126-fold enrichment. Arsenic concentrations in brake fern roots were less than 303 p.p.m., whereas those in the fronds reached 7,234 p.p.m.Addition of 100 p.p.m. Arsenic significantly stimulated fern growth, resulting in a 40% increase in biomass compared with the control (data not shown).After 20 weeks of growth, the plant was extracted using a solution of 1:1 methanol:water to speciate arsenic with high-performance liquid chromatography–inductively coupled plasma mass spectrometry. Almostall arsenic was present as relatively toxic inorganic forms, with little detectable organoarsenic species4. The concentration of As(III) was greater in the fronds (47–80%) than in the roots (8.3%), indicating that As(V) was converted to As(III) during translocation from roots to fronds.As well as removing arsenic from soils containing different concentrations of arsenic (Table 1), brake fern also removed arsenic from soils containing different arsenic species (Fig. 1c). Again, up to 93% of the arsenic was concentrated in the fronds. Although both FeAsO4 and AlAsO4 are relatively insoluble in soils1, brake fern hyperaccumulated arsenic derived from these compounds into its fronds (136–315 p.p.m.)at levels 3–6 times greater than soil arsenic.Brake fern is mesophytic and is widely cultivated and naturalized in many areas with a mild climate. In the United States, it grows in the southeast and in southern California5. The fern is versatile and hardy, and prefers sunny (unusual for a fern) and alkaline environments (where arsenic is more available). It has considerable biomass, and is fast growing, easy to propagate,and perennial.We believe this is the first report of significant arsenic hyperaccumulationby an unmanipulated plant. Brake fern has great potential to remediate arsenic-contaminated soils cheaply and could also aid studies of arsenic uptake, translocation, speciation, distribution and detoxification in plants. *Soil and Water Science Department, University ofFlorida, Gainesville, Florida 32611-0290, USAe-mail: lqma@†Cooperative Extension Service, University ofGeorgia, Terrell County, PO Box 271, Dawson,Georgia 31742, USA‡Department of Chemistry & SoutheastEnvironmental Research Center, FloridaInternational University, Miami, Florida 33199,1. Nriagu, J. O. (ed.) Arsenic in the Environment Part 1: Cyclingand Characterization (Wiley, New York, 1994).2. Brooks, R. R. (ed.) Plants that Hyperaccumulate Heavy Metals (Cambridge Univ. Press, 1998).3. Kabata-Pendias, A. & Pendias, H. in Trace Elements in Soils and Plants 203–209 (CRC, Boca Raton, 1991).4. Koch, I., Wang, L., Ollson, C. A., Cullen, W. R. & Reimer, K. J. Envir. Sci. Technol. 34, 22–26 (2000).5. Jones, D. L. Encyclopaedia of Ferns (Lothian, Melbourne, 1987).积累砷的蕨类植物耐寒,多功能,生长快速的植物,有助于从污染土壤去除砷有毒和致癌的土壤砷污染是非常广泛的。
3-电气工程及其自动化专业 外文文献 英文文献 外文翻译
3-电气工程及其自动化专业外文文献英文文献外文翻译1、外文原文(复印件)A: Fundamentals of Single-chip MicrocomputerThe single-chip microcomputer is the culmination of both the development of the digital computer and the integrated circuit arguably the tow most significant inventions of the 20th century [1].These tow types of architecture are found in single-chip microcomputer. Some employ the split program/data memory of the Harvard architecture, shown in Fig.3-5A-1, others follow the philosophy, widely adapted for general-purpose computers and microprocessors, of making no logical distinction between program and data memory as in the Princeton architecture, shown in Fig.3-5A-2.In general terms a single-chip microcomputer is characterized by the incorporation of all the units of a computer into a single device, as shown in Fig3-5A-3.ProgramInput& memoryOutputCPU unitDatamemoryFig.3-5A-1 A Harvard typeInput&Output CPU memoryunitFig.3-5A-2. A conventional Princeton computerExternal Timer/ System Timing Counter clock componentsSerial I/OReset ROMPrarallelI/OInterrupts RAMCPUPowerFig3-5A-3. Principal features of a microcomputerRead only memory (ROM).ROM is usually for the permanent,non-volatile storage of an applications program .Many microcomputers and microcontrollers are intended for high-volume applications and hence the economical manufacture of the devices requires that the contents of the program memory be committed permanently during the manufacture of chips . Clearly, this implies a rigorous approach to ROM code development since changes cannot be made after manufacture .This development process may involve emulation using a sophisticated development system with a hardware emulation capability as well as the use of powerful software tools.Some manufacturers provide additional ROM options by including in their range devices with (or intended for use with) user programmablememory. The simplest of these is usually device which can operate in a microprocessor mode by using some of the input/output lines as an address and data bus for accessing external memory. This type of device can behave functionally as the single chip microcomputer from which itis derived albeit with restricted I/O and a modified external circuit. The use of these ROMlessdevices is common even in production circuits where the volume does not justify the development costs of custom on-chip ROM[2];there canstill be a significant saving in I/O and other chips compared to a conventional microprocessor based circuit. More exact replacement for ROM devices can be obtained in the form of variants with 'piggy-back' EPROM(Erasable programmable ROM )sockets or devices with EPROM instead of ROM 。
外文文献及翻译
((英文参考文献及译文)二〇一六年六月本科毕业论文 题 目:STATISTICAL SAMPLING METHOD, USED INTHE AUDIT学生姓名:王雪琴学 院:管理学院系 别:会计系专 业:财务管理班 级:财管12-2班 学校代码: 10128 学 号: 201210707016Statistics and AuditRomanian Statistical Review nr. 5 / 2010STATISTICAL SAMPLING METHOD, USED IN THE AUDIT - views, recommendations, fi ndingsPhD Candidate Gabriela-Felicia UNGUREANUAbstractThe rapid increase in the size of U.S. companies from the earlytwentieth century created the need for audit procedures based on the selectionof a part of the total population audited to obtain reliable audit evidence, tocharacterize the entire population consists of account balances or classes oftransactions. Sampling is not used only in audit – is used in sampling surveys,market analysis and medical research in which someone wants to reach aconclusion about a large number of data by examining only a part of thesedata. The difference is the “population” from which the sample is selected, iethat set of data which is intended to draw a conclusion. Audit sampling appliesonly to certain types of audit procedures.Key words: sampling, sample risk, population, sampling unit, tests ofcontrols, substantive procedures.Statistical samplingCommittee statistical sampling of American Institute of CertifiedPublic Accountants of (AICPA) issued in 1962 a special report, titled“Statistical sampling and independent auditors’ which allowed the use ofstatistical sampling method, in accordance with Generally Accepted AuditingStandards (GAAS). During 1962-1974, the AICPA published a series of paperson statistical sampling, “Auditor’s Approach to Statistical Sampling”, foruse in continuing professional education of accountants. During 1962-1974,the AICPA published a series of papers on statistical sampling, “Auditor’sApproach to Statistical Sampling”, for use in continuing professional educationof accountants. In 1981, AICPA issued the professional standard, “AuditSampling”, which provides general guidelines for both sampling methods,statistical and non-statistical.Earlier audits included checks of all transactions in the period coveredby the audited financial statements. At that time, the literature has not givenparticular attention to this subject. Only in 1971, an audit procedures programprinted in the “Federal Reserve Bulletin (Federal Bulletin Stocks)” includedseveral references to sampling such as selecting the “few items” of inventory.Statistics and Audit The program was developed by a special committee, which later became the AICPA, that of Certified Public Accountants American Institute.In the first decades of last century, the auditors often applied sampling, but sample size was not in related to the efficiency of internal control of the entity. In 1955, American Institute of Accountants has published a study case of extending the audit sampling, summarizing audit program developed by certified public accountants, to show why sampling is necessary to extend the audit. The study was important because is one of the leading journal on sampling which recognize a relationship of dependency between detail and reliability testing of internal control.In 1964, the AICPA’s Auditing Standards Board has issued a report entitled “The relationship between statistical sampling and Generally Accepted Auditing Standards (GAAS)” which illustrated the relationship between the accuracy and reliability in sampling and provisions of GAAS.In 1978, the AICPA published the work of Donald M. Roberts,“Statistical Auditing”which explains the underlying theory of statistical sampling in auditing.In 1981, AICPA issued the professional standard, named “Audit Sampling”, which provides guidelines for both sampling methods, statistical and non-statistical.An auditor does not rely solely on the results of a single procedure to reach a conclusion on an account balance, class of transactions or operational effectiveness of the controls. Rather, the audit findings are based on combined evidence from several sources, as a consequence of a number of different audit procedures. When an auditor selects a sample of a population, his objective is to obtain a representative sample, ie sample whose characteristics are identical with the population’s characteristics. This means that selected items are identical with those remaining outside the sample.In practice, auditors do not know for sure if a sample is representative, even after completion the test, but they “may increase the probability that a sample is representative by accuracy of activities made related to design, sample selection and evaluation” [1]. Lack of specificity of the sample results may be given by observation errors and sampling errors. Risks to produce these errors can be controlled.Observation error (risk of observation) appears when the audit test did not identify existing deviations in the sample or using an inadequate audit technique or by negligence of the auditor.Sampling error (sampling risk) is an inherent characteristic of the survey, which results from the fact that they tested only a fraction of the total population. Sampling error occurs due to the fact that it is possible for Revista Română de Statistică nr. 5 / 2010Statistics and Auditthe auditor to reach a conclusion, based on a sample that is different from the conclusion which would be reached if the entire population would have been subject to audit procedures identical. Sampling risk can be reduced by adjusting the sample size, depending on the size and population characteristics and using an appropriate method of selection. Increasing sample size will reduce the risk of sampling; a sample of the all population will present a null risk of sampling.Audit Sampling is a method of testing for gather sufficient and appropriate audit evidence, for the purposes of audit. The auditor may decide to apply audit sampling on an account balance or class of transactions. Sampling audit includes audit procedures to less than 100% of the items within an account balance or class of transactions, so all the sample able to be selected. Auditor is required to determine appropriate ways of selecting items for testing. Audit sampling can be used as a statistical approach and a non- statistical.Statistical sampling is a method by which the sample is made so that each unit consists of the total population has an equal probability of being included in the sample, method of sample selection is random, allowed to assess the results based on probability theory and risk quantification of sampling. Choosing the appropriate population make that auditor’ findings can be extended to the entire population.Non-statistical sampling is a method of sampling, when the auditor uses professional judgment to select elements of a sample. Since the purpose of sampling is to draw conclusions about the entire population, the auditor should select a representative sample by choosing sample units which have characteristics typical of that population. Results will not extrapolate the entire population as the sample selected is representative.Audit tests can be applied on the all elements of the population, where is a small population or on an unrepresentative sample, where the auditor knows the particularities of the population to be tested and is able to identify a small number of items of interest to audit. If the sample has not similar characteristics for the elements of the entire population, the errors found in the tested sample can not extrapolate.Decision of statistical or non-statistical approach depends on the auditor’s professional judgment which seeking sufficient appropriate audits evidence on which to completion its findings about the audit opinion.As a statistical sampling method refer to the random selection that any possible combination of elements of the community is equally likely to enter the sample. Simple random sampling is used when stratification was not to audit. Using random selection involves using random numbers generated byRomanian Statistical Review nr. 5 / 2010Statistics and Audit a computer. After selecting a random starting point, the auditor found the first random number that falls within the test document numbers. Only when the approach has the characteristics of statistical sampling, statistical assessments of risk are valid sampling.In another variant of the sampling probability, namely the systematic selection (also called random mechanical) elements naturally succeed in office space or time; the auditor has a preliminary listing of the population and made the decision on sample size. “The auditor calculated a counting step, and selects the sample element method based on step size. Step counting is determined by dividing the volume of the community to sample the number of units desired. Advantages of systematic screening are its usability. In most cases, a systematic sample can be extracted quickly and method automatically arranges numbers in successive series.”[2].Selection by probability proportional to size - is a method which emphasizes those population units’recorded higher values. The sample is constituted so that the probability of selecting any given element of the population is equal to the recorded value of the item;Stratifi ed selection - is a method of emphasis of units with higher values and is registered in the stratification of the population in subpopulations. Stratification provides a complete picture of the auditor, when population (data table to be analyzed) is not homogeneous. In this case, the auditor stratifies a population by dividing them into distinct subpopulations, which have common characteristics, pre-defined. “The objective of stratification is to reduce the variability of elements in each layer and therefore allow a reduction in sample size without a proportionate increase in the risk of sampling.” [3] If population stratification is done properly, the amount of sample size to come layers will be less than the sample size that would be obtained at the same level of risk given sample with a sample extracted from the entire population. Audit results applied to a layer can be designed only on items that are part of that layer.I appreciated as useful some views on non-statistical sampling methods, which implies that guided the selection of the sample selecting each element according to certain criteria determined by the auditor. The method is subjective; because the auditor selects intentionally items containing set features him.The selection of the series is done by selecting multiple elements series (successive). Using sampling the series is recommended only if a reasonable number of sets used. Using just a few series there is a risk that the sample is not representative. This type of sampling can be used in addition to other samples, where there is a high probability of occurrence of errors. At the arbitrary selection, no items are selected preferably from the auditor, Revista Română de Statistică nr. 5 / 2010Statistics and Auditthat regardless of size or source or characteristics. Is not the recommended method, because is not objective.That sampling is based on the auditor’s professional judgment, which may decide which items can be part or not sampled. Because is not a statistical method, it can not calculate the standard error. Although the sample structure can be constructed to reproduce the population, there is no guarantee that the sample is representative. If omitted a feature that would be relevant in a particular situation, the sample is not representative.Sampling applies when the auditor plans to make conclusions about population, based on a selection. The auditor considers the audit program and determines audit procedures which may apply random research. Sampling is used by auditors an internal control systems testing, and substantive testing of operations. The general objectives of tests of control system and operations substantive tests are to verify the application of pre-defined control procedures, and to determine whether operations contain material errors.Control tests are intended to provide evidence of operational efficiency and controls design or operation of a control system to prevent or detect material misstatements in financial statements. Control tests are necessary if the auditor plans to assess control risk for assertions of management.Controls are generally expected to be similarly applied to all transactions covered by the records, regardless of transaction value. Therefore, if the auditor uses sampling, it is not advisable to select only high value transactions. Samples must be chosen so as to be representative population sample.An auditor must be aware that an entity may change a special control during the course of the audit. If the control is replaced by another, which is designed to achieve the same specific objective, the auditor must decide whether to design a sample of all transactions made during or just a sample of transactions controlled again. Appropriate decision depends on the overall objective of the audit test.Verification of internal control system of an entity is intended to provide guidance on the identification of relevant controls and design evaluation tests of controls.Other tests:In testing internal control system and testing operations, audit sample is used to estimate the proportion of elements of a population containing a characteristic or attribute analysis. This proportion is called the frequency of occurrence or percentage of deviation and is equal to the ratio of elements containing attribute specific and total number of population elements. WeightRomanian Statistical Review nr. 5 / 2010Statistics and Audit deviations in a sample are determined to calculate an estimate of the proportion of the total population deviations.Risk associated with sampling - refers to a sample selection which can not be representative of the population tested. In other words, the sample itself may contain material errors or deviations from the line. However, issuing a conclusion based on a sample may be different from the conclusion which would be reached if the entire population would be subject to audit.Types of risk associated with sampling:Controls are more effective than they actually are or that there are not significant errors when they exist - which means an inappropriate audit opinion. Controls are less effective than they actually are that there are significant errors when in fact they are not - this calls for additional activities to establish that initial conclusions were incorrect.Attributes testing - the auditor should be defining the characteristics to test and conditions for misconduct. Attributes testing will make when required objective statistical projections on various characteristics of the population. The auditor may decide to select items from a population based on its knowledge about the entity and its environment control based on risk analysis and the specific characteristics of the population to be tested.Population is the mass of data on which the auditor wishes to generalize the findings obtained on a sample. Population will be defined compliance audit objectives and will be complete and consistent, because results of the sample can be designed only for the population from which the sample was selected.Sampling unit - a unit of sampling may be, for example, an invoice, an entry or a line item. Each sample unit is an element of the population. The auditor will define the sampling unit based on its compliance with the objectives of audit tests.Sample size - to determine the sample size should be considered whether sampling risk is reduced to an acceptable minimum level. Sample size is affected by the risk associated with sampling that the auditor is willing to accept it. The risk that the auditor is willing to accept lower, the sample will be higher.Error - for detailed testing, the auditor should project monetary errors found in the sample population and should take into account the projected error on the specific objective of the audit and other audit areas. The auditor projects the total error on the population to get a broad perspective on the size of the error and comparing it with tolerable error.For detailed testing, tolerable error is tolerable and misrepresentations Revista Română de Statistică nr. 5 / 2010Statistics and Auditwill be a value less than or equal to materiality used by the auditor for the individual classes of transactions or balances audited. If a class of transactions or account balances has been divided into layers error is designed separately for each layer. Design errors and inconsistent errors for each stratum are then combined when considering the possible effect on the total classes of transactions and account balances.Evaluation of sample results - the auditor should evaluate the sample results to determine whether assessing relevant characteristics of the population is confirmed or needs to be revised.When testing controls, an unexpectedly high rate of sample error may lead to an increase in the risk assessment of significant misrepresentation unless it obtained additional audit evidence to support the initial assessment. For control tests, an error is a deviation from the performance of control procedures prescribed. The auditor should obtain evidence about the nature and extent of any significant changes in internal control system, including the staff establishment.If significant changes occur, the auditor should review the understanding of internal control environment and consider testing the controls changed. Alternatively, the auditor may consider performing substantive analytical procedures or tests of details covering the audit period.In some cases, the auditor might not need to wait until the end audit to form a conclusion about the effectiveness of operational control, to support the control risk assessment. In this case, the auditor might decide to modify the planned substantive tests accordingly.If testing details, an unexpectedly large amount of error in a sample may cause the auditor to believe that a class of transactions or account balances is given significantly wrong in the absence of additional audit evidence to show that there are not material misrepresentations.When the best estimate of error is very close to the tolerable error, the auditor recognizes the risk that another sample have different best estimate that could exceed the tolerable error.ConclusionsFollowing analysis of sampling methods conclude that all methods have advantages and disadvantages. But the auditor is important in choosing the sampling method is based on professional judgment and take into account the cost / benefit ratio. Thus, if a sampling method proves to be costly auditor should seek the most efficient method in view of the main and specific objectives of the audit.Romanian Statistical Review nr. 5 / 2010Statistics and Audit The auditor should evaluate the sample results to determine whether the preliminary assessment of relevant characteristics of the population must be confirmed or revised. If the evaluation sample results indicate that the relevant characteristics of the population needs assessment review, the auditor may: require management to investigate identified errors and likelihood of future errors and make necessary adjustments to change the nature, timing and extent of further procedures to take into account the effect on the audit report.Selective bibliography:[1] Law no. 672/2002 updated, on public internal audit[2] Arens, A şi Loebbecke J - Controve …Audit– An integrate approach”, 8th edition, Arc Publishing House[3] ISA 530 - Financial Audit 2008 - International Standards on Auditing, IRECSON Publishing House, 2009- Dictionary of macroeconomics, Ed C.H. Beck, Bucharest, 2008Revista Română de Statistică nr. 5 / 2010Statistics and Audit摘要美国公司的规模迅速增加,从第二十世纪初创造了必要的审计程序,根据选定的部分总人口的审计,以获得可靠的审计证据,以描述整个人口组成的帐户余额或类别的交易。
英文文献翻译(1)
英文文献翻译二〇一四年月日科技文章摘译Preventing electricity-stolen smart metersWith the development, it has been increasingly used in smart instrumentation equipment, so that the instrument performance have been greatly improved. This article describes the preventing electricity-stolen smart meters is to the ATMEL AT89C51 microcontroller as the core of the design, it achieves 32 power measurement and touring shows, and other functions, but also preventing electricity-stolen, anti-submarine-moving, high-precision, long-life And low power consumption and other characteristics of the new residential areas and is the preferred meter in the urban network reform.Hardware design(l) Signal acquisition and conversion of the electric circuit is more complicated measures, the traditional way is to sample the respective current, voltage, the AID conversion after their multiplication. This approach is not only to analog circuit design of high demand, the software programming requirements are also high, but it is difficult to achieve multiple users on the measure. Therefore, we choose BL0932B as a signal acquisition and conversion circuit core, it is an electronic power meter ASIC. BL0932B design based on the signal acquisition and conversion external circuit board with simple, high precision and stability, and other characteristics, especially for single-phase two-line power users of energy metering.BLO932B within the buffer amplifier, analog multiplier, VIF converters, counting circuit and drive circuit, can accurately measure positive and negative direction of the two active power and computing power in the same direction. The output in two ways: rapid pulse output and slow output for the former computer data processing, the latter used to drive pulse motor work.As the signal acquisition and conversion circuit board as well as the high-voltage 220 v, there Baidoa v order of magnitude of the small-signal, which requires the printed circuit board design and production process to be very scientific and rational. In addition, in order to protect the motherboard, BL0932B rapid pulse of the photoelectric sent to isolation after the SCM.(2) MCU control circuitSCM control circuit, including analog switch arrays, display and keypad circuit, datastorage, serial communications interface and watchdog circuit.l) analog switch array Preventing electricity-stolen smart meters are centralized meter, the MCU to the multi-pulse signals in real-time detection, therefore, it uses an Analog Switches CD405I of four eight-select and a 3 to 8 decoder 74 LS138 common Composed of analog switch arrays,ang it achieve a 32-way pulse of the cycle of detection.2) And show circuit as a key focus on smart meters, need to show the contents of many. Main form of households, electricity, the status of various instructions and error information. To this end, we designed the LED display, from 10 strings and static converters 74 LSl64 drive so you can at least take up the MCU resources. In addition, the signal input terminal also designed the 25 LED indicator, to display the 25 electricity capacity.The meters are "checking" and "cleared" two function keys are directly linked to the P3 in 89 C51 on the mouth. Through a combination of the two keys, can easily achieve the MCU cleared meter, single households cleared, online check, such as locking and unlocking operation.3) Data storage because of the configuration of the table need to record a large number of important data, in order to ensure data security, we designed the two data memory: parallel data memory and serial data memory. Parallel data memory by 6264, it has SK bytes of storage space, to fully meet the requirements of the table. In order to prevent power-down when the data loss, to the 6264 allocation of the 3.6 v backup battery. Backup battery switch and the 6264 election signals the film, by special worship P MAx691 provide monitoring chip. Serial data memory by 24 LC65, it also has a SK bytes of storage space, and through IZC bus connected with the MCU. Although there is no IZC 89C51 microcontroller bus interface, but through software programming, P1 I can simulate the two lines of its timing, completion of the 24 LC65 read and write operations. 24LC65 is a serial EZPROM, without battery backup, data can be safely stored in 200 years.4) Serial communication interface 89 C51 has a full-duplex serial interface, used in this meter for meter reading and communication interface. In order to achieve far more concentrated form clusters copied, in the serial interface on the basis of plus RS485 driver chips 75 LBC184. This can be through various meter RS485 bus and data acquisition system for communication links, and concentrate meter reading, remote meter reading.4) watchdog circuit watchdog circuit used for monitoring chip mix P MAX691, it has a power-on reset, brownout detection, backup battery switch and watchdog timer input output, and other functions. To determine whether the cumulative electricity. This part of the programming is mainly used in order to achieve the operation, with fewer bytes RAMoccupation, the code simple and fast, and other advantages.(3) Data validation and multi-site storage of data directly related to electricity users and property management departments of vital interests, is the most important data, we must ensure that its security is absolutely right and, therefore, in the real data storage, all of the electricity Check to ensure the accuracy of the data. Data in 6264 and 2465 have been taken in the multi-site storage, backup each other to ensure that data foolproof. Practice has proved that these measures, the data will no longer be an error or lost, the effect is very obvious.(4) of electricity and stepping roving show that the normal operation procedure, the pulse measurement, shows that various tour operators, and its power, when the last one shows that the electricity consumption, to calculate the unit's total electricity consumption and display, and then To start from scratch cycle show. In order to facilitate the spot meter reading, specially designed step show: that is, each press a button detection, household electricity consumption, and also shows the integral part.防偷电智能电表随发展,它已被越来越多地用于仪器仪表中构成智能仪器,从而使仪器仪表的性能得到极大改善。
中英文文献以及翻译(化工类)
Foreign material:Chemical Industry1.Origins of the Chemical IndustryAlthough the use of chemicals dates back to the ancient civilizations, the evolution of what we know as the modern chemical industry started much more recently. It may be considered to have begun during the Industrial Revolution, about 1800, and developed to provide chemicals roe use by other industries. Examples are alkali for soapmaking, bleaching powder for cotton, and silica and sodium carbonate for glassmaking. It will be noted that these are all inorganic chemicals. The organic chemicals industry started in the 1860s with the exploitation of William Henry Perkin’s discovery if the first synthetic dyestuff—mauve. At the start of the twentieth century the emphasis on research on the applied aspects of chemistry in Germany had paid off handsomely, and by 1914 had resulted in the German chemical industry having 75% of the world market in chemicals. This was based on the discovery of new dyestuffs plus the development of both the contact process for sulphuric acid and the Haber process for ammonia. The later required a major technological breakthrough that of being able to carry out chemical reactions under conditions of very high pressure for the first time. The experience gained with this was to stand Germany in good stead, particularly with the rapidly increased demand for nitrogen-based compounds (ammonium salts for fertilizers and nitric acid for explosives manufacture) with the outbreak of world warⅠin 1914. This initiated profound changes which continued during the inter-war years (1918-1939).Since 1940 the chemical industry has grown at a remarkable rate, although this has slowed significantly in recent years. The lion’s share of this growth has been in the organic chemicals sector due to the development and growth of the petrochemicals area since 1950s. The explosives growth in petrochemicals in the 1960s and 1970s was largely due to the enormous increase in demand for synthetic polymers such as polyethylene, polypropylene, nylon, polyesters and epoxy resins.The chemical industry today is a very diverse sector of manufacturing industry, within which it plays a central role. It makes thousands of different chemicals whichthe general public only usually encounter as end or consumer products. These products are purchased because they have the required properties which make them suitable for some particular application, e.g. a non-stick coating for pans or a weedkiller. Thus chemicals are ultimately sold for the effects that they produce.2. Definition of the Chemical IndustryAt the turn of the century there would have been little difficulty in defining what constituted the chemical industry since only a very limited range of products was manufactured and these were clearly chemicals, e.g., alkali, sulphuric acid. At present, however, many intermediates to products produced, from raw materials like crude oil through (in some cases) many intermediates to products which may be used directly as consumer goods, or readily converted into them. The difficulty cones in deciding at which point in this sequence the particular operation ceases to be part of the chemical industry’s sphere of activities. To consider a specific example to illustrate this dilemma, emulsion paints may contain poly (vinyl chloride) / poly (vinyl acetate). Clearly, synthesis of vinyl chloride (or acetate) and its polymerization are chemical activities. However, if formulation and mixing of the paint, including the polymer, is carried out by a branch of the multinational chemical company which manufactured the ingredients, is this still part of the chemical industry of does it mow belong in the decorating industry?It is therefore apparent that, because of its diversity of operations and close links in many areas with other industries, there is no simple definition of the chemical industry. Instead each official body which collects and publishes statistics on manufacturing industry will have its definition as to which operations are classified as the chemical industry. It is important to bear this in mind when comparing statistical information which is derived from several sources.3. The Need for Chemical IndustryThe chemical industry is concerned with converting raw materials, such as crude oil, firstly into chemical intermediates and then into a tremendous variety of other chemicals. These are then used to produce consumer products, which make our livesmore comfortable or, in some cases such as pharmaceutical produces, help to maintain our well-being or even life itself. At each stage of these operations value is added to the produce and provided this added exceeds the raw material plus processing costs then a profit will be made on the operation. It is the aim of chemical industry to achieve this.It may seem strange in textbook this one to pose the question “do we need a chemical industry?” However trying to answer this question will provide(ⅰ) an indication of the range of the chemical industry’s activities, (ⅱ) its influence on our lives in everyday terms, and (ⅲ) how great is society’s need for a chemical industry. Our approach in answering the question will be to consider the industry’s co ntribution to meeting and satisfying our major needs. What are these? Clearly food (and drink) and health are paramount. Other which we shall consider in their turn are clothing and (briefly) shelter, leisure and transport.(1)Food. The chemical industry makes a major contribution to food production in at least three ways. Firstly, by making available large quantities of artificial fertilizers which are used to replace the elements (mainly nitrogen, phosphorus and potassium) which are removed as nutrients by the growing crops during modern intensive farming. Secondly, by manufacturing crop protection chemicals, i.e., pesticides, which markedly reduce the proportion of the crops consumed by pests. Thirdly, by producing veterinary products which protect livestock from disease or cure their infections.(2)Health. We are all aware of the major contribution which the pharmaceutical sector of the industry has made to help keep us all healthy, e.g. by curing bacterial infections with antibiotics, and even extending life itself, e.g. ß–blockers to lower blood pressure.(3)Clothing. The improvement in properties of modern synthetic fibers over the traditional clothing materials (e.g. cotton and wool) has been quite remarkable. Thus shirts, dresses and suits made from polyesters like Terylene and polyamides like Nylon are crease-resistant, machine-washable, and drip-dry or non-iron. They are also cheaper than natural materials.Parallel developments in the discovery of modern synthetic dyes and the technology to “bond” th em to the fiber has resulted in a tremendous increase in the variety of colors available to the fashion designer. Indeed they now span almost every color and hue of the visible spectrum. Indeed if a suitable shade is not available, structural modification of an existing dye to achieve this canreadily be carried out, provided there is a satisfactory market for the product.Other major advances in this sphere have been in color-fastness, i.e., resistance to the dye being washed out when the garment is cleaned.(4)Shelter, leisure and transport. In terms of shelter the contribution of modern synthetic polymers has been substantial. Plastics are tending to replace traditional building materials like wood because they are lighter, maintenance-free (i.e. they are resistant to weathering and do not need painting). Other polymers, e.g. urea-formaldehyde and polyurethanes, are important insulating materials f or reducing heat losses and hence reducing energy usage.Plastics and polymers have made a considerable impact on leisure activities with applications ranging from all-weather artificial surfaces for athletic tracks, football pitches and tennis courts to nylon strings for racquets and items like golf balls and footballs made entirely from synthetic materials.Like wise the chemical industry’s contribution to transport over the years has led to major improvements. Thus development of improved additives like anti-oxidants and viscosity index improves for engine oil has enabled routine servicing intervals to increase from 3000 to 6000 to 12000 miles. Research and development work has also resulted in improved lubricating oils and greases, and better brake fluids. Yet again the contribution of polymers and plastics has been very striking with the proportion of the total automobile derived from these materials—dashboard, steering wheel, seat padding and covering etc.—now exceeding 40%.So it is quite apparent even from a brief look at the chemical industry’s contribution to meeting our major needs that life in the world would be very different without the products of the industry. Indeed the level of a country’s development may be judged by the production level and sophistication of its chemical industry4. Research and Development (R&D) in Chemical IndustriesOne of the main reasons for the rapid growth of the chemical industry in the developed world has been its great commitment to, and investment in research and development (R&D). A typical figure is 5% of sales income, with this figure being almost doubled for the most research intensive sector, pharmaceuticals. It is important to emphasize that we are quoting percentages here not of profits but of sales income, i.e. the total money received, which has to pay for raw materials, overheads, staff salaries, etc. as well. In the past this tremendous investment has paid off well, leading to many useful and valuable products being introduced to the market. Examplesinclude synthetic polymers like nylons and polyesters, and drugs and pesticides. Although the number of new products introduced to the market has declined significantly in recent years, and in times of recession the research department is usually one of the first to suffer cutbacks, the commitment to R&D remains at a very high level.The chemical industry is a very high technology industry which takes full advantage of the latest advances in electronics and engineering. Computers are very widely used for all sorts of applications, from automatic control of chemical plants, to molecular modeling of structures of new compounds, to the control of analytical instruments in the laboratory.Individual manufacturing plants have capacities ranging from just a few tones per year in the fine chemicals area to the real giants in the fertilizer and petrochemical sectors which range up to 500,000 tonnes. The latter requires enormous capital investment, since a single plant of this size can now cost $520 million! This, coupled with the widespread use of automatic control equipment, helps to explain why the chemical industry is capital-rather than labor-intensive.The major chemical companies are truly multinational and operate their sales and marketing activities in most of the countries of the world, and they also have manufacturing units in a number of countries. This international outlook for operations, or globalization, is a growing trend within the chemical industry, with companies expanding their activities either by erecting manufacturing units in other countries or by taking over companies which are already operating there.化学工业1.化学工业的起源尽管化学品的使用可以追溯到古代文明时代,我们所谓的现代化学工业的发展却是非常近代(才开始的)。
儿童教育外文翻译文献
儿童教育外文翻译文献(文档含中英文对照即英文原文和中文翻译)原文:The Role of Parents and Community in the Educationof the Japanese ChildHeidi KnipprathAbstractIn Japan, there has been an increased concern about family and community participation in the child’s educat ion. Traditionally, the role of parents and community in Japan has been one of support and less one of active involvement in school learning. Since the government commenced education reforms in the last quarter of the 20th century, a more active role for parents and the community in education has been encouraged. These reforms have been inspired by the need to tackle various problems that had arisen, such as the perceived harmful elements of society’spreoccupation with academic achievement and the problematic behavior of young people. In this paper, the following issues are examined: (1) education policy and reform measures with regard to parent and community involvement in the child’s education; (2) the state of parent and community involvement at the eve of the 20th century.Key Words: active involvement, community, education reform, Japan, parents, partnership, schooling, supportIntroduction: The Discourse on the Achievement GapWhen western observers are tempted to explain why Japanese students attain high achievement scores in international comparative assessment studies, they are likely to address the role of parents and in particular of the mother in the education of the child. Education mom is a phrase often brought forth in the discourse on Japanese education to depict the Japanese mother as being a pushy, and demanding home-bound tutor, intensely involved in the child’s education due to severe academic competition. Although this image of the Japanese mother is a stereotype spread by the popular mass media in Japan and abroad, and the extent by which Japanese mothers are absorbed in their children is exaggerated (Benjamin, 1997, p. 16; Cummings, 1989, p. 297; Stevenson & Stigler, 1992, p. 82), Stevenson and Stigler (1992) argue that Japanese parents do play an indispensable role in the academic performance of their children. During their longitudinal and cross-national research project, they and their collaborators observed that Japanese first and fifth graders persistently achieved higher on math tests than American children. Besides reciting teacher’s teaching style, cultural beliefs, and organization of schooling, Stevenson and Stigler (1992) mention parent’s role in supporting the learning conditions of the child to explain differences in achievement between elementary school students of the United States and students of Japan. In Japan, children receive more help at home with schoolwork (Chen & Stevenson, 1989; Stevenson & Stigler, 1992), and tend to perform less household chores than children in the USA (Stevenson et al., 1990; Stevenson & Stigler, 1992). More Japanese parents than American parents provide space and a personal desk and purchase workbooks for their children to supplement their regular text-books at school (Stevenson et al., 1990; Stevenson & Stigler, 1992). Additionally, Stevenson and Stigler (1992) observed that American mothers are much more readily satisfied with their child’s performance than Asian parents are, have less realistic assessments of their child’s academic perform ance, intelligence, and other personality characteristics, and subsequently have lower standards. Based on their observation of Japanese, Chinese and American parents, children and teachers, Stevenson and Stigler (1992) conclude that American families can increase the academic achievement of their children by strengthening the link between school and home, creating a physical and psychological environment that is conducive to study, and by making realistic assessments and raising standards. Also Benjamin (1997), who performed ‘day-to-day ethnography’ to find out how differences in practice between American and Japanese schools affect differences in outcomes, discusses the relationship between home and school and how the Japanese mother is involved in the academic performance standards reached by Japanese children. She argues that Japanese parents are willing to pay noticeable amounts of money for tutoring in commercial establishments to improve the child’s performance on entrance examinations, to assist in ho mework assignments, to facilitate and support their children’s participation in school requirements and activities, and to check notebooks of teachers on the child’s progress and other school-related messages from the teacher. These booklets are read and written daily by teachers and parents. Teachers regularly provide advice and reminders to parents, and write about homework assignments of the child, special activities and the child’s behavior (Benjamin, 1997, p. 119, p. 1993–1995). Newsletters, parents’ v isits to school, school reports, home visits by the teacher and observation days sustain communication in later years at school. According toBenjamin (1997), schools also inform parents about how to coach their children on proper behavior at home. Shimahara (1986), Hess and Azuma (1991), Lynn (1988) and White (1987) also try to explain national differences in educational achievement. They argue that Japanese mothers succeed in internalizing into their children academic expectations and adaptive dispositions that facilitate an effective teaching strategy, and in socializing the child into a successful person devoted to hard work.Support, Support and SupportEpstein (1995) constructed a framework of six types of involvement of parents and the community in the school: (1) parenting: schools help all families establish home environments to support children as students; (2) communicating: effective forms of school-to-home and home-to-school communications about school programs and children’s progress; (3) volu nteering: schools recruit and organize parents help and support; (4) learning at home: schools provide information and ideas to families about how to help students at home with homework and other curriculum-related activities, decisions and planning; (5) decision making: schools include parents in school decisions, develop parent leaders and representatives; and (6) collaborating with the community: schools integrate resources and services from the community to strengthen school programs, family practices, and student learning and development. All types of involvement mentioned in studies of Japanese education and in the discourse on the roots of the achievement gap belong to one of Epstein’s first four types of involvement: the creation of a conducive learn ing environment (type 4), the expression of high expectations (type 4), assistance in homework (type 4), teachers’ notebooks (type 2), mother’s willingness to facilitate school activities (type3) teachers’ advice about the child’s behavior (type 1), observ ation days by which parents observe their child in the classroom (type 2), and home visits by the teachers (type 1). Thus, when one carefully reads Stevenson and Stigler’s, Benjamin’s and other’s writings about Japanese education and Japanese students’ high achievement level, one notices that parents’ role in the child’s school learning is in particular one of support, expected and solicited by the school. The fifth type (decision making) as well as the sixth type (community involvement) is hardly ever mentioned in the discourse on the achievement gap.In 1997, the OECD’s Center for Educational Research and Innovation conducted a cross-national study to report the actual state of parents as partners in schooling in nine countries, including Japan. In its report, OECD concludes that the involvement of Japanese parents in their schools is strictly limited, and that the basis on which it takes place tends to be controlled by the teacher (OECD, 1997, p. 167). According to OECD (1997), many countries are currently adopting policies to involve families closely in the education of their children because (1) governments are decentralizing their administrations; (2) parents want to be increasingly involved; and (3) because parental involvement is said to be associated with higher achievement in school (p. 9). However, parents in Japan, where students already score highly on international achievement tests, are hardly involved in governance at the national and local level, and communication between school and family tends to be one-way (Benjamin, 1997; Fujita, 1989; OECD, 1997). Also parent–teacher associations (PTA, fubo to kyoshi no kai ) are primarily presumed to be supportive of school learning and not to participate in school governance (cf. OECD, 2001, p. 121). On the directionsof the occupying forces after the second world war, PTA were established in Japanese schools and were considered with the elective education boards to provide parents and the community an opportunity to participate actively in school learning (Hiroki, 1996, p. 88; Nakata, 1996, p. 139). The establishment of PTA and elective education boards are only two examples of numerous reform measures the occupying forces took to decentralize the formal education system and to expand educational opportunities. But after they left the country, the Japanese government was quick to undo liberal education reform measures and reduced the community and parental role in education. The stipulation that PTA should not interfere with personnel and other administrative tasks of schools, and the replacement of elective education boards by appointed ones, let local education boards believe that parents should not get involved with school education at all (Hiroki, 1996, p. 88). Teachers were regarded to be the experts and the parents to be the laymen in education (Hiroki, 1996, p. 89).In sum, studies of Japanese education point into one direction: parental involvement means being supportive, and community involvement is hardly an issue at all. But what is the actual state of parent and community involvement in Japanese schools? Are these descriptions supported by quantitative data?Statistics on Parental and Community InvolvementTo date, statistics of parental and community involvement are rare. How-ever, the school questionnaire of the TIMSS-R study did include some interesting questions that give us a clue about the degree of involvement relatively compared to the degree of involvement in other industrialized countries. The TIMSS-R study measured science and math achievement of eighth graders in 38 countries. Additionally, a survey was held among principals, teachers and students. Principals answered questions relating to school management, school characteristics, and involvement. For convenience, the results of Japan are only compared with the results of those countries with a GNP of 20650 US dollars or higher according to World Bank’s indicators in 1999.Unfortunately, only a very few items on community involvement were measured. According to the data, Japanese principals spend on average almost eight hours per month on representing the school in the community (Table I). Australian and Belgian principals spend slightly more hours and Dutch and Singaporean principals spend slightly less on representing the school and sustaining communication with the community. But when it comes to participation from the community, Japanese schools report a nearly absence of involvement (Table II). Religious groups and the business community have hardly any influence on the curriculum of the school. In contrast, half of the principals report that parents do have an impact in Japan. On one hand, this seems a surprising result when one is reminded of the centralized control of the Ministry of Education. Moreover, this control and the resulting uniform curriculum are often cited as a potential explanation of the high achievement levels in Japan. On the other hand, this extent of parental impact on the curriculum might be an indicator of the pressure parents put on schools to prepare their children appropriately for the entrance exams of senior high schools.In Table III, data on the extent of other types of parental involvement in Japan and other countries are given. In Japan, parental involvement is most common in case of schools volunteering for school projects and programs, and schools expecting parents to make sure that thechild completes his or her homework. The former is together with patrolling the grounds of the school to monitor student behavior most likely materialized through the PTA. The kinds and degree of activities of PTA vary according to the school, but the activities of the most active and well-organized PTA’s of 395 elementary schools investigated by Sumida (2001)range from facilitating sport and recreation for children, teaching greetings, encouraging safe traffic, patrolling the neighborhood, publishing the PTA newspaper to cleaning the school grounds (pp. 289–350). Surprisingly, less Japanese principals expect from the parents to check one’s child’s completion of homework than principals of other countries. In the discourse on the achievement gap, western observers report that parents and families in Japan provide more assistance with their children’s homework than parents and families outside Japan. This apparent contradiction might be the result of the fact that these data are measured at the lower secondary level while investigations of the roots of Japanese students’ high achievement levels focus on childhood education and learning at primary schools. In fact, junior high school students are given less homework in Japan than their peers in other countries and less homework than elementary school students in Japan. Instead, Japanese junior high school students spend more time at cram schools. Finally, Japanese principals also report very low degrees of expectations toward parents with regard to serving as a teacher aid in the classroom, raising funds for the school, assisting teachers on trips, and serving on committees which select school personnel and review school finances. The latter two items measure participation in school governance.In other words, the data support by and large the descriptions of parental of community involvement in Japanese schooling. Parents are requested to be supportive, but not to mount the territory of the teacher nor to be actively involved in governance. Moreover, whilst Japanese principals spend a few hours per month on communication toward the community, involvement from the community with regard to the curriculum is nearly absent, reflecting the nearly absence of accounts of community involvement in studies on Japanese education. However, the reader needs to be reminded that these data are measured at the lower secondary educational level when participation by parents in schooling decreases (Epstein, 1995; OECD, 1997; Osakafu Kyoiku Iinkai, unpublished report). Additionally, the question remains what stakeholders think of the current state of involvement in schooling. Some interesting local data provided by the Osaka Prefecture Education Board shed a light on their opinion.ReferencesBenjamin, G. R. (1997). Japanese lessons. New York: New York University Press.Cave, P. (2003). Educational reform in Japan in the 1990s: ‘Individuality’ and other uncertainties. Comparative Education Review, 37(2), 173–191.Chen, C., & Stevenson, H. W. (1989). Homework: A cross-cultural examination. Child Development, 60(3), 551–561.Chuo Kyoiku Shingikai (1996). 21 seiki o tenbo shita wagakuni no kyoiku no arikata ni tsu-ite [First Report on the Model for Japanese Education in the Perspective of theCummings, W. K. (1989). The American perception of Japanese parative Education, 25(3), 293–302.Epstein, J. L. (1995). School/family/community partnerships. Phi Delta Kappan , 701–712.Fujita, M. (1989). It’s all mother’s fault: childcare and the socialization of working mothers in Japan. The Journal of Japanese Studies , 15(1), 67–91.Harnish, D. L. (1994). Supplemental education in Japan: juku schooling and its implication. Journal of Curriculum Studies , 26(3), 323–334.Hess, R. D., & Azuma, H. (1991). Cultural support for schooling, contrasts between Japanand the United States. Educational Researcher , 20(9), 2–8, 12.Hiroki, K. (1996). Kyoiku ni okeru kodomo, oya, kyoshi, kocho no kenri, gimukankei[Rights and duties of principals, teachers, parents and children in education. InT. Horio & T. Urano (Eds.), Soshiki toshite no gakko [School as an organization](pp. 79–100). Tokyo: Kashiwa Shobo. Ikeda, H. (2000). Chiiki no kyoiku kaikaku [Local education reform]. Osaka: Kaiho Shup-pansha.Kudomi, Y., Hosogane, T., & Inui, A. (1999). The participation of students, parents and the community in promoting school autonomy: case studies in Japan. International Studies in Sociology of Education, 9(3), 275–291.Lynn, R. (1988).Educational achievement in Japan. London: MacMillan Press.Martin, M. O., Mullis, I. V. S., Gonzalez, E. J., Gregory, K. D., Smith, T. A., Chrostowski,S. J., Garden, R. A., & O’Connor, K. M. (2000). TIMSS 1999 Intern ational science report, findings from IEA’s Repeat of the Third International Mathematics and ScienceStudy at the Eight Grade.Chestnut Hill: The International Study Center.Mullis, I. V. S., Martin, M. O., Gonzalez, E. J., Gregory, K. D., Garden, R. A., O’Connor, K. M.,Chrostowski, S. J., & Smith, T. A.. (2000). TIMSS 1999 International mathemat-ics report, findings from IEA’s Repeat of the Third International Mathematics and Science Study at the Eight Grade.Chestnut Hill: The International Study Center. Ministry of Education, Science, Sports and Culture (2000).Japanese government policies in education, science, sports and culture. 1999, educational reform in progress. Tokyo: PrintingBureau, Ministry of Finance.Monbusho Ed. (1999).Heisei 11 nendo, wagakuni no bunkyoshisaku : Susumu kaikaku [Japanese government policies in education, science, sports and culture 1999: Educational reform in progress]. Tokyo: Monbusho.Educational Research for Policy and Practice (2004) 3: 95–107 © Springer 2005DOI 10.1007/s10671-004-5557-6Heidi KnipprathDepartment of MethodologySchool of Business, Public Administration and TechnologyUniversity of Twente P.O. Box 2177500 AE Enschede, The Netherlands译文:家长和社区在日本儿童教育中的作用摘要在日本,人们越来越关心家庭和社区参与到儿童教育中。
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原文:Serial Communication via RS232 PortBy Harsha Perla and Veena Pai from: /index.htmlRS232 is the most known serial port used in transmitting the data in communication and interface. Even though serial port is harder to program than the parallel port, this is the most effective method in which the data transmission requires less wires that yields to the less cost. The RS232 is the communication line which enables the data transmission by only using three wire links. The three links provides …transmit‟, …receive‟ and common ground...The …transmit‟ and …receive‟ line on this connecter send and receive data between the computers. As the name indicates, the data is transmitted serially. The two pins are TXD & RXD. There are other lines on this port as RTS, CTS, DSR, DTR, and RTS, RI. The …1‟ and …0‟ are the data which defines a voltage level of 3V to 25V and -3V to -25V respectively.The electrical characteristics of the serial port as per the EIA (Electronics Industry Association) RS232C Standard specifies a maximum baud rate of 20,000bps, which is slow compared to today‟s standard speed. For this reason, we have chosen the new RS-232D Standard, which was recently released.The RS-232D has existed in two types. i.e., D-TYPE 25 pin connector and D-TYPE 9 pin connector, which are male connectors on the back of the PC. You need a female connector on your communication from Host to Guest computer. The pin outs of both D-9 & D-25 are show below.D-Type-9 pin no. D-Type-25pin no.Pin outs Function3 2 RD Receive Data (Serial data input)2 3 TD Transmit Data (Serial data output)7 4 RTS Request to send (acknowledge tomodem that UART is ready toexchange data8 5 CTS Clear to send (i.e.; modem is readyto exchange data)6 6 DSR Data ready state (UART establishesa link)5 7 SG Signal ground1 8 DCD Data Carrier detect (This line isactive when modem detects a carrier4 20 DTR Data Terminal Ready.9 22 RI Ring Indicator (Becomes activewhen modem detects ringing signalfrom PSTNAbout DTE & DCE:Devices, which use serial cables for their communication, are split into two categories. These are DCE (Data Communications Equipment) and DTE (Data Terminal Equipment.) Data Communications Equipments are devices such as your modem, TA adapter, plotter etc while Data Terminal Equipment is your Computer or Terminal. A typical Data Terminal Device is a computer and a typical Data Communications Device is a Modem. Often people will talk about DTE to DCE or DCE to DCE speeds. DTE to DCE is the speed between your modem and computer, sometimes referred to as your terminal speed. This should run at faster speeds than the DCE to DCE speed. DCE to DCE is the link between modems, sometimes called the line speed.Most people today will have 28.8K or 33.6K modems. Therefore, we should expect the DCE to DCE speed to be either 28.8K or 33.6K. Considering the high speed of the modem we should expect the DTE to DCE speed to be about 115,200 BPS. (Maximum Speed of the 16550a UART) . The communications program, which we use, has settings for DCE to DTE speeds. However, the speed is 9.6 KBPS, 144 KBPS etc and the modem speed.If we were transferring that text file at 28.8K (DCE- DCE), then when the modem compresses it you are actually transferring 115.2 KBPS between computers and thus have a DCE- DTE speed of 115.2 KBPS. Thus, this is why the DCE- DTE should be much higher than the modem's connection speed. Therefore, if our DTE to DCE speed is several times faster than our DCE to DCE speed the PC can send data to your modem at 115,200 BPS.What is NULL MODEM?Null modem is used to connect two DTE's together. This is used to transfer files between the computers using protocols like Zmodem protocol, xmodem protocol, etcFigure :Above shows the connections of the Null modem usingRS-232D connecterAbove-mentioned figure shows the wiring of the null modem. The main feature indicated here is that the to make the computer to chat with the modem rather than another computer. The guest & host computer connected through the TD, RD, and SG pins. Any data that is transmitted through TD line from the Host to Guest is received on RD line. The Guest computer must have the same setup as the Host. The signalground (SG) line of the both must be shorted so that grounds are common to each computer.The Data Terminal Ready (DTR) is looped back to Data Set Ready and Carrier Detect on both computers. When the Data Terminal Ready is asserted active, then the Data Set Ready and Carrier Detect immediately become active. At this point, the computer thinks the Virtual Modem to which it is connected is ready and has detected the carrier of the other modem.All left to worry about now is the Request to Send and Clear To Send. As both computers communicate together at the same speed, flow control is not needed thus these two lines are also linked together on each computer. When the computer wishes to send data, it asserts the Request to Send high and as it is hooked together with the Clear to Send, It immediately gets a reply that it is ok to send and does so.The Ring indicator line is only used to tell the computer that there is a ringing signal on the phone line. As we do not have, a modem connected to the phone line this is left disconnectedTo know about the RS232 ports available in your computer, Right click on "My Computer", Goto 'Properties', Select tab 'Device Manager', go to Ports( COM & LPT ), In that you will find 'Communication Port(Com1)' etc. If you right click on that and go to properties, you will get device status. Make sure that you have enabled theport( Use this port is selected).How to program the Serial Port using C/C++?There are two popular methods of sending data to or from the serial port in Turbo C. One is using outportb(PORT_ID, DATA) or outport(PORT_ID,DATA) defined in “dos.h”. Another method is using bioscom() function defined in “bios.h”. Using outportb() :The function outportb () sends a data byte to the port …PORT_ID‟. The function outport() sends a data word. These functions can be used for any port including serial port, parallel ports. Similarly to receive data these are used.· inport reads a word from a hardware port·inportb reads a byte from a hardware port·outport outputs a word to a hardware port·outportb outputs a byte to a hardware portDeclaration:· int inport(int portid);·unsigned char inportb(int portid);·void outport(int portid, int value);·void outportb(int portid, unsigned char value);Remarks:·inport works just like the 80x86 instruction IN. It reads the low byte of a word from portid, the high byte from portid + 2.·inportb is a macro that reads a byte·outport works just like the 80x86 instruction OUT. It writes the low byte of value to portid, the high byte to portid + 1.·outportb is a macro that writes value Argumentportid:·Inport- port that inport and inportb read from;·Outport- port that outport and outportb write to value:·Word that outport writes to portid;·Byte- that outportb writes to portid.If you call inportb or outportb when dos.h has been included, they are treated as macros that expand to inline code.If you don't include dos.h, or if you do include dos.h and #undef the macro(s), you get the function(s) of the same name.Return Value:# inport and inportb return the value read# outport and outportb do not returnFor more details of these functions read article from Using bioscom:The macro bioscom () and function _bios_serialcom() are used in this method in the serial communication using RS-232 connecter. First we have to set the port with the settings depending on our need and availability. In this method, same function is used to make the settings using control word, to send data to the port andcheck the status of the port. These actions are distinguished using the first parameter of the function. Along with that we are sending data and the port to be used to communicate.Here are the deatails of the Turbo C Functions for communication ports. Declaration:bioscom(int cmd, char abyte, int port)_bios_serialcom(int cmd ,int port, char abyte)bioscom() and _bios_serialcom() uses the bios interrupt 0x14 to perform various communicate the serial communication over the I/O ports given in port.cmd: The I/O operation to be performed.cmdcmd(_bios_serialcom) Action(boiscom)0 _COM_INIT Initialise the parameters to the port1 _COM_SEND Send the character to the port2 _COM_RECEIVE Receive character from the port3 _COM_STATUS Returns rhe current status of thecommunication portportid: port to which data is to be sent or from which data is to be read.0: COM11: COM22: COM3abyte:When cmd =2 or 3 (_COM_SEND or _COM_RECEIVE) parameter abyte is ignored.When cmd = 0 (_COM_INIT), abyte is an OR combination of the following bits (One from each group):value of abyte Meaning Bioscom _bios_serialcom0x02 0x03 _COM_CHR7_COM_CHR87 data bits8 data bits0x00 0x04 _COM_STOP1_COM_STOP21 stop bit2 stop bits0x00 0x08 0X10 _COM_NOPARITY_COM_ODDPARITY_COM_EVENPARITYNo parityOdd parityEven parity0x00 0x20 0x40 0x60 0x80 0xA0 0xC0 0xE0 _COM_110_COM_150_COM_300_COM_600_COM_1200_COM_2400_COM_4800_COM_9600110 baud150 baud300 baud600 baud1200 baud2400 baud4800 baud9600 baudFor example, if abyte = 0x8B = (0x80 | 0x08 | 0x00 | 0x03) = (_COM_1200 | COM_ODDPARITY | _COM_STOP1 | _COM_CHR8)he communications port is set to1200 baud (0x80 = _COM_1200)Odd parity (0x08 = _COM_ODDPARITY)1 stop bit (0x00 = _COM_STOP1)8 data bits (0x03 = _COM_CHR8)To initialise the port with above settings we have to write bioscom(0, 0x8B, 0); To send a data to COM1, the format of the function will be bioscom(1, data, 0). Similarly bioscom(1, 0, 0 ) will read a data byte from the port.The following example illustrate how to serial port programs. When a data is available in the port, it inputs the data and displays onto the screen and if a key is pressed the ASCII value will be sent to the port.#include <bios.h>#include <conio.h>#define COM1 0#define DATA_READY 0x100#define SETTINGS ( 0x80 | 0x02 | 0x00 | 0x00)int main(void){int in, out, status;bioscom(0, SETTINGS, COM1); /*initialize the port*/cprintf("Data sent to you: ");while (1){status = bioscom(3, 0, COM1); /*wait until get a data*/if (status & DATA_READY)if ((out = bioscom(2, 0, COM1) & 0x7F) != 0) /*input a data*/putch(out);if (kbhit()){if ((in = getch()) == 27) /* ASCII of Esc*/break;bioscom(1, in, COM1); /*output a data*/}}return 0;}When you compile and run the above program in both the computers, The characters typed in one computer should appear on the other computer screen and vice versa. Initially, we set the port to desired settings as defined in macro settings. Thenwe waited in an idle loop until a key is pressed or a data is available on the port. If any key is pressed, then kbhit() function returns non zero value. So will go to getch function where we are finding out which key is pressed. Then we are sending it to the com port. Similarly, if any data is available on the port, we are receiving it from the port and displaying it on the screen.To check the port, If you have a single computer, you can use loop-back connection as follows. This is most commonly used method for developing communication programs. Here, data is transmitted to that port itself. Loop-back plug connection is as follows.Fig:Loop-back plug connectionIf you run the above program with the connection as in this diagram, the character entered in the keyboard should be displayed on the screen. This method is helpful in writing serial port program with single computer. Also you can make changes in the port id if your computer has 2 rs232ports. You can connect the com1 port to com2 of the same computer and change the port id in the program. The data sent to the port com1 should come to port com2. then also whatever you type in the keyboard should appear on the screen.The program given below is an example source code for serial communication programmers. It is a PC to PC communication using RS232. Download the code, unzip and run to chat in dos mode between two computers. Use the program to get more idea about serial port programming.译文:RS232串口通讯RS-232 简介RS232是一种常用的串口设备,它一般在通信和人机交互领域用于传输数据。