sputtering yield

简明释义

溅射效率

英英释义

Sputtering yield refers to the amount of material that is ejected from a target surface during the sputtering process, which is a technique used in thin film deposition.

溅射产量是指在溅射过程中,从目标表面喷射出的材料的数量,这是一种用于薄膜沉积的技术。

例句

1.Despite initial excitement, the technology startup reported a sputtering yield in their new app's user engagement.

尽管最初令人兴奋,这家科技初创公司报告了他们新应用用户参与度的不稳定的产量

2.Investors were concerned about the sputtering yield from the renewable energy project, which had promised high returns.

投资者对可再生能源项目的不稳定的产量感到担忧,该项目曾承诺高回报。

3.The research team noted a sputtering yield in their experiments, prompting a review of their methodology.

研究小组注意到他们实验中的不稳定的产量,促使他们审查方法论。

4.The company's latest product launch was met with a sputtering yield, resulting in lower than expected sales.

该公司的最新产品发布遭遇了不稳定的产量,导致销售低于预期。

5.The factory faced issues that led to a sputtering yield of its production line, affecting overall efficiency.

工厂面临的问题导致其生产线出现了不稳定的产量,影响了整体效率。

作文

In the world of economics and finance, the term sputtering yield often emerges in discussions about investment performance and market behavior. A sputtering yield refers to a situation where an investment or asset is generating returns, but those returns are inconsistent and lack stability. Investors may find themselves experiencing fluctuating gains that can be frustrating and unpredictable. This phenomenon can arise from various factors, including market volatility, economic uncertainty, and changes in consumer behavior.One of the primary reasons for a sputtering yield is the inherent nature of certain markets. For instance, technology stocks may experience rapid growth followed by sudden declines, leading to a scenario where investors see high returns one quarter and minimal returns the next. This unpredictability can deter potential investors who prefer steady and reliable income streams. As a result, they might shy away from sectors known for their sputtering yield, opting instead for more stable investments such as bonds or blue-chip stocks.Moreover, the global economy plays a significant role in influencing yields across various sectors. Economic indicators, such as inflation rates, unemployment figures, and consumer confidence, can all contribute to the overall performance of investments. When these indicators fluctuate, they can lead to a sputtering yield, as businesses struggle to maintain consistent profits amidst changing conditions. For example, during a recession, many companies may cut back on production, resulting in lower revenues and, consequently, lower returns for investors.Investors must also consider the impact of geopolitical events on their portfolios. Political instability, trade wars, and changes in government policies can create an environment where yields become erratic. In such cases, a sputtering yield may be the norm rather than the exception. Investors need to stay informed about global developments and adjust their strategies accordingly to navigate through these turbulent waters.To manage the risks associated with a sputtering yield, diversification is key. By spreading investments across various asset classes, sectors, and geographic regions, investors can mitigate the impact of poor performance in any single area. This strategy allows for a more balanced portfolio that can withstand the ups and downs of the market. Additionally, investors should focus on long-term goals rather than getting caught up in short-term fluctuations. Patience and a well-thought-out investment strategy can help weather the storm of a sputtering yield.In conclusion, understanding the concept of sputtering yield is essential for anyone involved in investing. It highlights the importance of being aware of market conditions and the various factors that can influence investment returns. While a sputtering yield can be frustrating for investors, it also presents opportunities for those willing to adapt and remain resilient in the face of uncertainty. By employing sound investment strategies and maintaining a diversified portfolio, investors can navigate through periods of inconsistency and ultimately achieve their financial objectives.

在经济和金融的世界中,术语 sputtering yield 常常出现在有关投资表现和市场行为的讨论中。 sputtering yield 指的是一种情况,其中投资或资产正在产生回报,但这些回报不稳定且缺乏稳定性。投资者可能会发现自己经历波动的收益,这可能令人沮丧且不可预测。这种现象可能由多种因素引起,包括市场波动、经济不确定性以及消费者行为的变化。造成 sputtering yield 的主要原因之一是某些市场的固有性质。例如,科技股可能经历快速增长,然后突然下跌,导致投资者在一个季度看到高回报,而在下一个季度看到最低回报。这种不可预测性可能会阻止潜在投资者,他们更喜欢稳定和可靠的收入来源。因此,他们可能会避开那些以 sputtering yield 而闻名的领域,而选择更稳定的投资,如债券或蓝筹股。此外,全球经济在影响各个行业收益方面也发挥着重要作用。经济指标,如通货膨胀率、失业率和消费者信心,都可能对投资的整体表现产生影响。当这些指标波动时,可能导致 sputtering yield 的出现,因为企业在不断变化的条件下难以保持稳定的利润。例如,在经济衰退期间,许多公司可能会削减生产,导致收入降低,从而导致投资者的回报降低。投资者还必须考虑地缘政治事件对其投资组合的影响。政治不稳定、贸易战和政府政策的变化可能会造成收益的不稳定。在这种情况下, sputtering yield 可能是常态而非例外。投资者需要及时了解全球发展动态,并相应调整其策略,以应对这些动荡的局面。为了管理与 sputtering yield 相关的风险,分散投资是关键。通过将投资分散到各种资产类别、行业和地理区域,投资者可以减轻任何单一领域表现不佳的影响。这种策略允许投资组合更加平衡,可以抵御市场的起伏。此外,投资者应专注于长期目标,而不是被短期波动所困扰。耐心和经过深思熟虑的投资策略可以帮助度过 sputtering yield 的风暴。总之,理解 sputtering yield 的概念对于任何参与投资的人来说都是至关重要的。它突显了意识到市场条件及其对投资回报影响的各种因素的重要性。尽管 sputtering yield 可能让投资者感到沮丧,但对于那些愿意适应并在不确定性面前保持韧性的人来说,它也提供了机会。通过采用合理的投资策略并保持多样化的投资组合,投资者可以在不一致的时期中航行,最终实现他们的财务目标。

相关单词

sputtering

sputtering详解:怎么读、什么意思、用法