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stochastic相关的网络例句

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与 stochastic 相关的网络例句 [注:此内容来源于网络,仅供参考]

And computer technology makes it possible for us to analyze complicated structures with stochastic parameters.

随着计算机的发展和普及,对于大型复杂结构的随机有限元分析成为可能。

In Chapter 1, some basic theories of stochastic functional differential equations of Ito-type are developed.

第一章,建立了伊藤随机泛函微分方程的一些基本定理。

Futhermore, the method presented in this paper also could be used with stochastic system structures.

同时,本文提出的研究方法同样适用于作为随机系统的防护结构。

First of all, we study the membrane features and frequency characteristics by effect of stochastic noise.

首先,我们研究了不同随机因素对神经元膜特性和频率特性的影响。

Based on the phenomenon that moving objects move stochastically in transport networks, a new network model, stochastic moving network, is proposed.

摘要基于流动单元在网络中随机流动的特点,提出一种新的网络模型-随机流动网络

The simulation results demonstrated the algorithm is stable, convergent and fair, and robust with respect to variants of stochastic delay and stochastically accessed users.

仿真证明,算法保证了闭环系统的稳定性、收敛性和公平性,对传输延迟的时变特性和用户的动态变化引起的测量误差具有较好的鲁棒性。

Stochastic inventory model ; inventory service level ; inventory strategy ; average stockout ; purchase batch

随机存贮模型;存贮服务水平;存贮策略;平均缺货额;订购批量

There are two widely-used inventory service-level measuring func- tions in the stochastic inventory model,i.e,the average stockout per unit time F_1and average outstanding backorders F_2.

在随机存贮模型中有两个被广泛应用的标志存贮服务水平的度量函数,即单位时间的平均缺货额 F_1和平均未偿还的延迟交货额 F_2。

Based on the classic theory of the capital structure and the three theorem of Modigliani-Miller, I use the stochastic equation as a tool to get the model of the capital structure.

在分析和借鉴西方资本结构理论的基础下,结合连续时间的Modjgliani-Miller的三个定理,考虑到市场的不确定性及汇率的波动性,利用随机偏微分方程理论,对企业的资本结构进行分析,从而得到企业总价值的模型。

Stochastic convex programming; Monte Carlo methods; Financial optimization; Convergence with probability one; Optimality condition; Monte Carlo penalty function methods; Nonsmooth optimization; Directional derivative; Subdifferential; Confident interval; Conditional Value-at-Risk; Optimal reinsurance

基础科学,数学,运筹学随机凸规划; Monte Carlo方法;金融优化;以概率1收敛;最优性条件; Monte Carlo罚函数法;非光滑优化;方向导数;次微分;置信区间;条件风险价值;最优再保险

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The split between the two groups can hardly be papered over.

这两个团体间的分歧难以掩饰。

This approach not only encourages a greater number of responses, but minimizes the likelihood of stale groupthink.

这种做法不仅鼓励了更多的反应,而且减少跟风的可能性。

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