方差的最優值 的英文怎麼說

中文拼音 [fāngchādezuìyōuzhí]
方差的最優值 英文
optimum value of variance
  • : Ⅰ名詞1 (方形; 方體) square 2 [數學] (乘方) involution; power 3 (方向) direction 4 (方面) ...
  • : 差Ⅰ名詞1 (不相同; 不相合) difference; dissimilarity 2 (差錯) mistake 3 [數學] (差數) differ...
  • : 4次方是 The fourth power of 2 is direction
  • : 副詞(表示某種屬性超過所有同類的人或事物) most; best; worst; first; very; least; above all; -est
  • 最優 : optimal; optimum最優策略 optimal policy; optimal strategy; 最優設計 optimum design; 最優值 optima...
  1. And then facing the problem of the channel estimation of the adaptive modulation system, we conclude out the channel estimation algorithms on maximum likelihood ( ml ) estimation and maximum a posteriori ( map ) estimation under the condition of flat fading channel and selective fading channel in detail. to meet flat fading channel, we simulate the relationship of the ratio between the error covariance in map estimation and ml estimation and pilot symbol message length. the conclusion can be drawn from these results

    接著,對自適應調制系統中通道估計問題難點,詳細推導了平衰落通道條件下和選擇性衰落通道條件下大似然( ml )估計和大后驗概率( map )估計演算法,針對平衰落通道,我們模擬了map估計和ml估計與導頻符號長度關系,模擬結果表明,錯誤受多譜勒頻率變化影響大,並且對實際自適應調制系統,導頻符號長度超過20個符號長度時, map通道估計明顯于ml通道估計。
  2. Optimized association rules are permitted to contain uninstantiated attributes. the optimization procedure is to determine the instantiations such that some measures of the roles are maximized. this paper tries to maximize interest to find more interesting rules. on the other hand, the approach permits the optimized association rule to contain uninstantiated numeric attributes in both the antecedence and the consequence. a naive algorithm of finding such optimized rules can be got by a straightforward extension of the algorithm for only one numeric attribute. unfortunately, that results in a poor performance. a heuristic algorithm that finds the approximate optimal rules is proposed to improve the performance. the experiments with the synthetic data sets show the advantages of interest over confidence on finding interesting rules with two attributes. the experiments with real data set show the approximate linear scalability and good accuracy of the algorithm

    化關聯規則允許在規則中包含未初始化屬性.化過程就是確定對這些屬性進行初始化,使得某些度量大化.大化興趣度因子用來發現更加有趣規則;另一面,允許化規則在前提和結果中各包含一個未初始化屬性.對那些處理一個數屬性演算法進行直接擴展,可以得到一個發現這種化規則簡單演算法.然而這種性能很,因此,為了改善性能,提出一種啟發式法,它發現是近似規則.在人造數據集上實驗結果表明,當化規則包含兩個數屬性時,化興趣度因子得到規則比化可信度得到規則更有趣.在真實數據集上實驗結果表明,該演算法具有近似線性可擴展性和較好精度
  3. The thesis, somehow, is a summary, which expounds the main contents of traditional portfolio theory ( tpt ) and mpt, also gives a comparison between tpt and mpt ; analyses two aspects of markowitz theory, one is the effects of risk disperses and the demonstration, the other is how to make an optimal portfolio strategy ; researches into capital assets pricing model ( capm ), factor model ( fm ) and arbitrage pricing theory ( apt ) respectively in three parts ; studies another two parts, one is the premise of mpt, which is the efficient market hypothesis ( emh ), the other analyses the behavior finance theory ( bft ) produced in the background of challenging and querying to emt and capm. the thesis finally discusses the researching and applying prospects of mpt in china

    論文對現代資產組合理論與傳統資產組合理論分別進行了分析,並對兩者進行了比較研究,對馬克維茨? ?理論從資產組合風險分散效應和資產組合選擇兩面進行了重點分析,對資本資產定價模型、因素模型、套利定價理論進行了一定深度分析和研究,對現代資產組合理論前提假設? ?有效市場理論及在對有效市場理論和資本資產定價模型形成挑戰和質疑背景下提出行為金融理論進行了論述,論文後分析了現代資產組合理論在我國研究及其應用廣闊前景。
  4. The algorithm for finding cirtical value of normal population variance under unbiassed tests with uniform dominance

    求正態總體一致化無偏檢驗臨界演算法
  5. This paper proposed an algorithm for finding critical value of normal population variance under unbiassed tests with uniform dominance

    本文給出了求正態總體一致化無偏檢驗臨界演算法。
  6. Abstract : this paper proposed an algorithm for finding critical value of normal population variance under unbiassed tests with uniform dominance

    文摘:本文給出了求正態總體一致化無偏檢驗臨界演算法。
  7. On the one hand, the author discusses markowitz ' s mean - variance portfolio selection model, single - index portfolio selection model, and simplified model of optimal portfolio selection. at the same time, based on the rules of optimal portfolio selection and other risk - metric indices, the author also discusses mean - absolute deviation model, mean - semivariance model and mean - value at risk model. on the other hand, the author discusses the asset pricing model, including the capital asset pricing model ( capm ), the multi - factor asset pricing model, and the arbitrage pricing model ( apt )

    面,作者討論了馬科維茲-資產組合選擇模型、單指數資產組合選擇模型、資產組合選擇簡化模型,同時根據資產組合選擇原則和其他風險度量指標,討論了均-絕對離、均-半和均-風險價資產組合選擇模型;另一面,作者討論了資產定價模型,包括多因素資產定價模型和套利定價模型,特別是在四種因素變量基礎上,探討多因素資產定價模型。
  8. And the mixed procedure of the sas system provides a rich selection of covariance structures through the random and repeated statements

    Mixed過程提供了豐富結構,可以充分利用重復測量資料信息,又能處理缺失,是重復測量資料統計分析法。
  9. In chapter two, we consider full disceret scheme of mixed finite element methods for the following initial - value problems of linear integro - differential equations of parabolic in this chapter, we give the error analysis of this full discrete scheme and get optimal error estimates for the discrete solutions of u and p

    第二章討論下述線性拋物型積分微分程初邊問題混合有限元全離散格式。給出了該全離散格式分析,得到了離散解逼近未知函數u以及伴隨速度p關于空間和時間階誤估計。
  10. Aiming at such problems in combustion system of homemade middle and miniature boiler, as a complex system with the character of dead zone, time variation, serious non - linearity, large time delay, coupling and a lot of disturbance, this paper presents a new set of optimal control resources. by using well - matched control method on system, stable automatic running is realized. having the serious divulgence coals difference a lot from each other in character, instability of chemistry, value of lowest emission of heat, home - made boiler controller is not at all ideal. instead of traditional model that controls the ratio based on proportional control or with the correct signal of the amount of oxygen, this paper, combined with intellect control theory - - fuzzy control and self - optimizing concept, propounded a kind of fuzzy self - optimizing controller to be used in air supplying system of the boiler, and expatiates on the idea of dividing the control process into two parts, dynamic and static to realize, thus meets the demand of homemade boiler economic running

    本設計針對國產中、小型電站鍋爐燃燒系統參數時變、嚴重非線性、干擾因素復雜、耦合嚴重、模型不易確定特點,提出多變量協調控制案,解決了系統可控性,難以實現穩定自動運行問題;在此基礎上,改變以往以煙氣含氧量控制送風傳統模式,針對國產電站鍋爐設備主體及一、二次送風迴路泄露嚴重,煤種混雜、成分不穩定、燃燒發熱低、燃燒效率不高等問題,應用智能控制理論中模糊控制技術,結合自尋控制思想,設計了一種模糊自尋控制器,應用在電站鍋爐送風控制系統上,並闡述了動靜態兩種實現途徑,通過在線化風煤配比,實現佳經濟燃燒,切實保障了鍋爐經濟運行。
  11. In the second place, it offers an forecasting analysis of gnp, detects the gap between gnp and the expected target and decides the best distribution plan of needed resources ( fixed capital investment and labor input ) to reach the expected object via objective programming

    然後對國內生產總進行了預測分析,從中找出與預期目標距;並運用目標規劃法確定了為達到預期目標,使經濟可持續發展所需資源(固定資產投資和勞動力投入)分配案。
  12. It has been maked for immediate and statistical analysis that the calculation about the work order parameter of the base - bleed - rocket is calculated in the taguchi method, its influencing trend is bring out in the open, the theoretical base is settled for confirming the greatest combination about the work order parameter of the base - bleed - rocket. the multi - objectile optimal design model is established that the indexes have been taked into account first and synthetically, such as physical parameter range lethality power strength and flight stability and so on, the program is compiled and the example is calculated. the true worth of the theoretical work in this paper is validated by flight experimentation of 130mm hybrid base - bleed - rocket extended - range principium projectile

    本文進行了底排?火箭復合增程彈工作時序參數正交試驗設計直觀分析與分析,揭示了每個參數對射程計算影響趨勢,為進一步確定底排?火箭工作時序參數佳匹配組合奠定了理論基礎;建立了底排?火箭復合增程彈多目標化設計模型,該模型首次綜合考慮了底排?火箭復合增程彈結構特徵參量、結構強度性能、飛行穩定性、威力性能和射程指標,編制了相應分析程序,進行了算例計算;完成了130mm底排?火箭復合增程原理樣彈結構設計與飛行試驗,其試驗結果驗證了本文理論研究工作實際應用價
  13. The test result shows that we got the optimum emulsified diesel oil of definite mixing ratio by variance analysis of power smoke and consume oil

    以發動機功率、耗油率和煙度綜合評價為指標進行分析,乳化油配比案。
  14. The final results obtained in this paper contained that the optimal interpolation scheme highlighted by the covariance that the correlation between different time and the correlation between different place being considered ; that the simplification of kalman filter with the singular - value decomposition ( svd ) and the direct construction of state transition matrix pfeceded with " inverse vector expression " ; and that the analysis of t / p data and its blending with theoretical model

    這些成果包括:建立考慮了時間相關矩陣和時空相關演算法;對卡爾曼濾波演算法進行了svd簡化以及建立了顯式狀態轉移矩陣;將t p實時衛星數據進行調和分析並與數模型進行同化處理。
  15. The ga ( genetic algorithm ) is applied to solve the optimal parameters of the mtmd appended in cabin in frequency - domain. 4. the dynamic responses of the cabin with different mtmd are compared under different wind speed

    以基於davenport風速譜位移諧響應根為目標函數,應用遺傳演算法,在頻域上獲得了mtmd參數
  16. There is no consideration of time misfit in traditional optimal interpolation. in this thesis, some researches were done on the methodology of optimal interpolation, in which a new form of the formulae was developed that named dynamic optimal interpolation, the time correlation being introduced

    本文首先推導了既考慮空間相關,又考慮時間相關演算法,由於應用了時間相關矩陣,就使這個演算法具有動態處理時間錯位觀測數據能力。
  17. In chapter 1, the author first study the two - stage confidece intervals for the variance of a normal distribution, then work out the optimal sample size of the first stage by numerical computations and establish a proof for the non - existence of fixed - size sampling

    在第1章里,作者首先研究了正態總體兩步置信區間,並用數計算法給出了第一步抽樣量,且證明了固定樣本抽樣不存在性。
  18. Markowitz ' s mean - variance model indicates that the optimum risk asset being the market portfolio

    Markowitz-模型表明,投資者風險資產為市場投資組合。
  19. Chapter 2 discusses reinsurance optimization model under mean - variance principle. aiming at change stop loss reinsurance, it derives optimal conclusions of both individual model and collective model

    第二章討論了均原理下再保險化模型及其適用條件,針對停止損失再保險,得出個體模型與集合模型下結論。
  20. Based on the simplified principle, the modal shapes of selected structural modes are converted into modal strains. to minimize the calculation error, curve - fitting technique is used in the process. the modal strains are summed together to determine the global distribution of the structure for selected vibration modes so that the position of piezoelectric elements could be optimally determined according to the simplified optimization principle

    通過二階中心分運算將模態振型轉化為模態應變,採用應變曲線擬合法降低離散誤,進而將各階待控模態應變進行疊加,獲取系統整體特徵應變分佈情況;後根據壓電元件位置簡化目標函數,將壓電片位置確定為柔性板疊加模態應變區域。
分享友人