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value distribution theory相关的网络例句

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

Finishing calculation of mean value, standard deviation, skewness, kurtosis of Beta distribution.(2) Fitting parameters of many kinds of typical distribution and using residual deviation to evaluate fitting precision.(3) Using Beta distribution as an agreed indication distribution applied to many kinds of practical photoelectric measurement distributions.(4) Deriving theory formula of Bayes point estimation about Beta distribution parameters and mean value and standard deviation on the condition of mean square error loss function and supposed the prior distribution is uniform distribution.(5) Generating MCMC sample from post distribution by the method of Gibbs sample algorithm. Calculating bayes point estimation from sample on the condition of mean square error loss function. Calculating confidence interval by an approximate method to complete interval estimation.

本文的主要工作有:(1)解决了Beta分布参数a和b的精确计算以及均值、标准差、偏度、峰度的计算问题;(2)拟合出10余种典型分布的Beta分布的两个参数,并且采用剩余标准差评价该Beta分布的拟合精度;(3)对多种典型的光学与光电测量系统的测量分布进行了Beta分布统示表示;(4)在假设先验分布为均匀分布前提下,得到参数a和b以及均值μ和标准差σ在均方误差损失函数下的贝叶斯点估计理论计算公式;(5)利用直接抽样的Gibbs抽样算法,从后验分布中产生MCMC样本,从样本直接计算均方误差损失函数下的贝叶斯点估计,并使用一种近似方法计算其置信区间,完成区间估计。

This article estimates the extreme loss distribution with extreme value theory, estimates the shape parameter with HKKP estimator, which is unbiased to small sample data, selects the right threshold by selecting smallest mean square error of the estimated cumulative distribution function and empirical cumulative distribution function and based on the extreme value theory method, this article estimates the extreme loss distribution and the p-percentile operational loss under certain believe range for Chinese commercial banks, then calculates the operational risk supervise capital.

本文利用极值理论对中国商业银行操作损失极端值分布进行估计,针对尾参数估计的来用传统Hill佑计对小样本数据容易产生偏倚的情况,提出了采用Hill佑计的改进―小样本无偏估计的HKKP佑计来估计操作损失的尾参数,针对由于阈值确定不准确导致结果偏差大的情况,采用最小化估计的累计概率分布与经验累计概率分布平均平方误差的方法确定较精确的阈值,估计出给定置信水平下操作风险损失的分位数,从而使得中国商业银行操作风险监管资本的测定成为可能。

Since financial asset returns don't often follow the hypothesis of normal distribution, we try to evaluate VaR by mixture of normal distribution and extreme value theory. The purpose of my study uses various Value at Risk models for monitoring the market risk of foreign investment port folio.

本研究主要目的在比较何种方法在估计汇率波动风险值时较具准确性,希望能够提供一客观风险揭露的参考工具,让必须面临汇率风险的企业及金融机构能有效判断目前的风险程度,以采取必要之避险措施。

In traditional measurement model, remuneration distribution that has thick tail phenomenon cannot effective to appear, because of it based on normal distribution supposition, then developing the extreme value theory which is non-regular distribution. Although, extreme value theory has an advantage can get risk degree in moment, but it cannot fully explain long term influence.

在传统的计量模型上,对於报酬具有后尾的现象无法有效的显现,因其建构基础皆架构在常态分配假设之下;而后发展出非固定分配假说的极值理论;虽然极值理论有非特定分配的优点,可以捕捉到瞬间的风险状况,但对长期的影响依然无法获得充分的诠释。

After that, the article expounds how the social labor value theory overcomes the theoretical hard nuts in the financial accountings:(1) it has solved the issue of conformity between the production domain and accounting domain by holding that the social labor creates the value, which decides that the domains of production and accounting should be extended to cover the tertiary industry;(2) it has solved the issue of the valuation standards in the economic accounting by holding that the theoretical value should be converted into the actual value and that only when the price of production is used as the valuation standards can the financial accounting and economic accounting have a true valuation basis;(3) it has solved the issue of creation and distribution of surplus value and explicitly points out that the power of science and technology determines that the surplus value comes mainly from the materialized labor. Only when we have a clear understanding of this point and have realized that the value of product is created jointly by the materialized labor and the laborer can we straighten out the relationship in the distribution of earning inside the enterprise and understand that the distribution on the basis of contributed capital is a reasonable choice at present.

其次,着重阐述了社会劳动价值论如何解决经济核算中的理论难题:一是解决了生产范围与核算范围的统一问题,认为社会劳动创造价值,决定了生产范围与核算范围都必须扩大到第三产业;二是解决了经济核算的计价标准问题,认为必须从理论价值转化为实际价值,用生产价格作为计价标准,才能使会计核算和经济核算真正具有计价基础;三是解决了剩余价值的创造与分配问题,并明确指出,科技的力量决定了剩余价值主要来自于物化劳动,只有认清这点,承认企业的产品价值是物、活劳动共同创造的,才能真正理顺企业的利益分配关系,才能理解按资分配是现实合理的选择。

The primary studying works and characteristics:1 To summarize reinforcing theory of cement mixing pile composite foundation2 To analyze the primary mechanics characters and changing rules of cement mixing pile, based on analysis of test data both indoor and outdoor.3 To discuss siding frictional resistance, ending resistance, ultimate bearing capacity of simple mixing pile and effectiveness factor of grouped piles, loading ratio of soil between piles under cushion cap of grouped piles and stress ratio of pile and soil and so on, and use many computation method and experimentation method to ensure bearing capacity of mixing piles composite foundation.4 To point out and analyze eight sides flaws and problems of the bearing capacity calculation method of mixing pile compositefoundation which ensured by national and normative method/ formula.5 To apply test results of loading tests and a few settlement observation data, use gray theory to predicate ultimate bearing capacity of deep mixing piles, actual example demonstrate engaging between theoretical predicted value and actual value.6 To apply groovy layerwise summation method to discuss entity piles method, double foundation method, equivalent layerwise summation method and consolidation theoretical method and so on, especially by combination of engineering example, use FEM to calculate or discuss the settlement and changing rules of composite foundation.7 To discuss problems of critical length of composite foundation by combination of engineering example and numerical analysis method, and analyze the contrast of critical length between simple pile load and most area load of composite foundation, not only critical length of composite foundation is relative to modulus ratio between piles and soil, but also upside load distribution area of composite foundation.

主要的研究工作与特色为:(1)总结了水泥搅拌桩复合地基的加固原理;(2)在对室内外试验资料进行统计分析的基础上,系统分析了搅拌桩水泥土的主要力学特性及其变化规律;(3)探讨了搅拌单桩的侧摩阻力、端阻力、极限承载力及群桩效率系数、群桩承台下桩间土荷载分担比及桩土应力比等,提出用多种计算方法并结合试验方法来综合确定搅拌桩复合地基的承载力;(4)明确指出和分析了按国家有关规范的方法确定搅拌桩复合地基承载力所存在的八个方面的缺陷与问题;(5)利用过去没有加载至破坏阶段的载荷试验成果和较少的沉降观测数据,尝试了用灰色理论预测深层搅拌桩的极限承载力,实例表明理论预测值与实测值吻合较好;(6)在常规分层总和法的基础上,探讨了复合地基沉降计算的实体墩基法、双层地基法、等效作用分层总和法、固结理论法等,特别是结合工程实例,用有限元数值计算等方法计算和讨论了搅拌桩复合地基的沉降及其变化规律;(7)结合工程实例,用数值分析方法探讨了复合地基临界桩长的问题,指出和分析了单桩荷载下的临界桩长与复合地基大面积荷载下的临界桩长存在很大的差别,复合地基的临界桩长不仅与桩土模量比有关,而且与复合地基上部荷载分布面积有关。

With the development of market economy and the evolvement of Chinese social class structure, a great change with respect to the labor form, labor main body, value origins and distribution theory has taken place.

市场经济的发展和当代中国社会阶层结构的演变,使劳动形式、劳动主体、价值源泉和分配理论等方面都发生了新的变化,这要求对马克思劳动价值论进行新的思考。

In the tremendous amount of the definitions of fair, there are Law and Order Theory, Contract Theory, Public Welfare Theory, Ethics Theory, Distribution of Value Theory, and Freedom and Equality Theory, ect.

在西方思想史浩如烟海的有关公正的定义中,主要有法律秩序说、契约说、公共福利说、道德价值说、价值分配说、自由平等说等6大流派。

Several decades, the further and new development of the value distribution of meromorphic functions would always be based on Nevanlinna's theory.

几十年来,亚纯函数的值分布理论的新发展都是以Nevanlinna理论为基础的。

In this thesis, by using the theory and method of value distribution, we mainlyinvestigate the definitions and relationships among the except values and except valuessets of the meromorphic functions.

中文摘要:本文运用值分布理论和方法整理了亚纯函数各种例外值的概念,并且总结了例外值集之间的相互关系。

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