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The main conclusions of this chapter are the following: There is no absolute regional convergence since 1978, even the period were divided into two stage: 1978-1991 and 1992-2002; There exists absolute convergence among the provinces in eastern region in the period 1978-1991, the phenomena is alike to the central and western regions, so the club convergence is the fact of the regional economic growth in this stage; From 1992 to 2002, instead of the club convergence, there exists conditional convergence, human capital, capital investment, international trade and FDI influenced the regional economic growth rate markedly; The distribution of income across provinces don't transform from a unimodal into a bimodal distribution.

本章的基本结论是:改革开放以来不存在绝对收敛,即使将整个改革时期划分为1978—1991年和1992—2002年两个区间也是如此;1978—1991年期间,东部地区和中西部地区内部各自存在人均GDP和劳均GDP增长的收敛,从而形成了俱乐部收敛;1992年之后,并不存在俱乐部收敛,但存在一定的条件收敛,人力资本、物质资本投资、国际贸易和FDI对劳均GDP增长有着重要的正向影响;收入分布并没有发生由单峰向双峰分布的转变,总体上单峰的态势依然十分明显。

From the industry to observe,the author discovers that the regional gap of the secondary industry was the primary contributor,but the rate of was descending.The third industry was becoming the important contributor.The industry structure adjusting and the agglomeration of the third industry and the secondary industry are the primary reason of the forming of the disparity of between the east and the rest areas.In the 1978 to 2005,the absolute convergence of economic growth didn't occur,the other way round,the club convergence of economic growth occurred in the east and in the middle.The speed of the economic growth in the east was higher about 1 centigrade than the middle and the developing west,and was higher about 2 centigrade than the west.

从以省区为单元的中国地区经济发展差距形成的产业构成来看,第二产业的地区差距长期以来都是中国地区经济发展差距的主要贡献者,居主导地位:但是随着第三产业产值比重的提高和第三产业地理集聚的非均衡性扩大(1990年以后),第三产业的地区差距正逐渐演变为以省区为单元的中国地区经济发展差距形成的主要贡献者。1978-2005年期间,中国地区经济增长并没有出现绝对收敛趋势,而是表现为东中部地区内部的"俱乐部"收敛。1978-2005年东部地区经济增长速度比中西部地区更快,东部地区平均经济增长速度比中部地区高1个百分点左右,比西部地区高接近2个百分点,地区间经济增长速度存在显著的差异。

The method of the research in the paper is impellent,and the basal research course is the following.Firstly,the author uses the Theil coefficient and Gini coefficient to analyze the regional economic gap,and decomposes the structure in China.At the same time,the author tests theσconvergence,the absoluteβconvergence,the conditionalβconvergence and the club convergence.Secondly, the author analyzes the forming reason and mechanism of the regional economic gap in China.

本文研究过程中采取逐步深入的推进方法,其基本研究思路是:首先,使用基尼系数和泰勒指数对中国地区经济发展差距的历史演变轨迹进行了分析,并对其形成结构进行了分解,同时对中国经济增长的σ收敛、绝对β收敛、条件β收敛和"俱乐部"收敛进行了检验,以此为基础形成了对中国地区经济发展差距的全面了解;其次,以新古典增长理论和新增长理论为基础对中国地区经济发展差距的形成机制进行了分析;再次,以FDI非均衡分布为视角对中国地区经济发展差距的形成机制进行了解释;最后,提出了本文的政策建议。

This paper investigates the absolute convergence of the Fourier Laplace series concerning of some smooth functions defined on the unit sphere in R n,hereinto shows that:if f is 2([n4]+1) th continuously differentiable function on H r P,then the series ∑∞k=0Y kf converges uniformly to f.

讨论了n 维球面上某些可微函数类的Fourier Laplace级数的绝对收敛性,其中指出:设f是Hrp上 2 ( [n4 ]+1)次连续可微函数,则级数∑∞k =0 Ykf一致收敛到f参

As a measure of risk, mean absolute deviation is better than variance in a sense.

作为度量风险的标准,绝对离差比方差更为合适。

In this model we extend absolute deviation to a fuzzy case to measure the risk of portfolio.

为度量投资组合的风险,将绝对偏差扩展到模糊情形。

Chapter 5, an example is given by stochastic simulation method, which is the application of least absolute deviation estimate in location by GPS.

第五章通过随机模拟的方法,给出M估计的特殊情形——最小绝对偏差估计在GPS定位中的应用。

The adaptive learning of neural network can fulfill the minimum absolute deviation criteria, so this dissertation puts forward the algorithm that can be implemented by the neural network.

利用神经网络的自适应学习特性和在处理非线性问题时能够满足最小绝对偏差准则的性质,给出了该算法的神经网络实现方法。

Based on the absolute deviation, a new risk function ω〓 is proposed and an analytical solution for the single period model is derived.

提出了一个新的风险控制函数ω〓,该函数是将所有资产的绝对偏差的平均值作为风险的度量,并给出其单阶段的投资模型的解析解。

Two fund separation is found in mean absolute deviation portfolio choice model.

实证分析还表明,绝对离差模型中有近似的两基金分离现象存在。

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