词语吧>英语词典>unwinding翻译和用法

unwinding

英 [ˌʌnˈwaɪndɪŋ]

美 [ˌʌnˈwaɪndɪŋ]

v.  解开,打开,松开(卷绕之物); 放松; 轻松
unwind的现在分词

现在分词:unwinding 

计算机化学

COCA.42687

柯林斯词典

  • VERB 放松;减压
    When youunwind, you relax after you have done something that makes you tense or tired.
    1. It helps them to unwind after a busy day at work...
      这有助于他们忙碌一天后放松自己。
    2. Singing is a nice way of unwinding.
      唱歌是一种不错的减压方法。
  • V-ERG 解开;展开
    If youunwinda length of something that is wrapped round something else or round itself, you loosen it and make it straight. You can also say that itunwinds.
    1. One of them unwound a length of rope from around his waist...
      其中一人把绑在腰间的一条绳子解下来。
    2. The thread unwound a little more.
      线又松开了一些。

双语例句

  • Grappling with the unwinding of its interventions would be hard enough for the Fed in any event.
    无论如何,解决撤消干预的问题,对美联储来说都将十分棘手。
  • Francis was unwinding his bandage.
    弗朗西斯正在解开他的绷带。
  • The great unwinding has created a world that is dangerously unpredictable.
    大失控造就了一个危险而不可预测的世界。
  • The unwinding of these trades started amid the eurozone debt crisis and has accelerated this week.
    随着欧元区陷入债务危机,投资者开始撤出此类交易,而本周开始加快撤离步伐。
  • This allows the unwinding and storage of all the code changes related to the task.
    它允许存储所有与任务相关的代码变更。
  • The measured programme facilitates its future unwinding or its offsetting by other policy operations.
    这种有节制的方案,便于日后解除这些措施,或通过其它政策操作对其进行冲消。
  • The eurozone sovereign debt crisis, a defining event of 2010, was the result of the unwinding of the mother of all such credit bubbles.
    欧元区主权债务危机是2010年的一个标志性事件,正是所有此类信贷危机根源问题的展开,造成了这一危机。
  • For financial markets, the unwinding of the global boom in consumer spending entails more volatility and more downside risks for global equities.
    对于金融市场而言,消费支出全球繁荣的落幕,会给全球股市带来更多的波动和下行风险。
  • Unwinding the policies of the crisis will involve complex challenges of timing, co-ordination and credibility.
    解除危机期间的政策将涉及到时机、协调和可信度方面的复杂挑战。
  • Rising worries over a global recession, the unwinding of trades made by hedge funds with borrowed money and instability in emerging economies combined to trigger forced selling in loan, bond and credit derivatives markets.
    对全球经济衰退的担忧加剧,对冲基金用借入资金达成的交易逐渐解除,以及新兴经济体的不稳定,这些因素结合在一起,在贷款、债券和信用衍生品市场引发了被迫抛售。