比值估計量 的英文怎麼說

中文拼音 [zhíliáng]
比值估計量 英文
ratio estimates
  • : Ⅰ動詞1 (比較; 較量高下、 長短、距離、好壞等) compare; compete; contrast; match; emulate 2 (比...
  • : 估構詞成分。
  • : Ⅰ動詞1 (計算) count; compute; calculate; number 2 (設想; 打算) plan; plot Ⅱ名詞1 (測量或計算...
  • : 量動1. (度量) measure 2. (估量) estimate; size up
  • 比值 : specific value; ratio比值法 ratio method; 比值計 ratio meter; 比值檢波器 ratio detector; 比值控制...
  • 計量 : calculate; estimate; meterage; metering; batching; measure
  1. In the end, cluster - analysis - based floating control historical regression method with uniform precipitation and atmospheric precipitable water as metoorological covariates could more validly evaluate efficiency of cloud seeding operations and significant level of ca - fcm method was higher than the other methods, because it adopted cluster analysis which highly improved the correlativity between rainfall distributions in the control area and target area, and used grid interpolation which enhanced exactness of calculating precipitation rainfall, and chose atmospheric precipitable water as the covariant which increased the inferential accuracy of natural rainfall on the cloud seeding operational area

    最後,得到以降水和整層大氣可降水為協變的ca - fcm方法,由於採用聚類分析( ca )方法,提高了對區和影響區相關性;採用網格插技術提高了雨算準確度;引入了不受催化影響的物理協變(整層大氣可降水) ,提高了作業區自然降水的準確性;所以評效果最好,顯著水平高於0 . 05 。
  2. So we consider five financial indexes includes stock b / p, e / p, current stock size, current stock stru and financial levge by the international tradition, then descriptive statistical test method and cross section statistical test method proved that b / p and current stock size have marked effect on the securities yield besides coefficient b. in the third chapter, the article fut forward a risk factor model, estimates yield sequences of every risk factor by weight regression, and then estimates each risk factor coefficient of different stock by time sequence regression, at last we can reckon the portfolio risk o2p and yield rp which consists n stocks

    結合國際慣例,文章考慮了股票的凈市價( b p ) ,市盈率倒數( e p ) ,流通規模( size ) ,流通例( stru )和財務杠桿( levge )等五個財務指標,應用描述性統檢驗和橫截面統檢驗等多種方法,結果表明,除系數以外,凈市價( b p )和流通規模( size )對證券收益率部有重要的影響。在論文的第三章,提出了一個基於多因素的風險因子模型,並用加權回歸和時間序列回歸等方法出了不同證券的各風險因子系數(類似於單指數模型中的系數) ,據此,即可衡出一個包括n只股票的組合的風險_ p ~ 2和收益率r _ p 。
  3. Firstly, by numerical and theoretical analysis, the author compares some existent confidence intervals, for example, " exact " confidence interval, wald confidence interval and bayesian confidence interval, and finds some deficiencies points of the confidence intervals, whose modification version has been proposed. also, several better confidence intervals such as are also presented. secondly, for given confidence coefficient and interval width, the author constructs a class of asymptotical two - stage interval estimate procedures. at the same time, under varies restriction of confidence coefflcientent interval width, the optional sample size of the first stage has been computed by numerical computation. the numerical computation shows that the method considered in this dissertation have good properties and applied value

    同時,由於poisson分佈的特性,我們知道不存在其參數區間長度小於0 . 5的置信區間,基於這些情況,我們主要展開了以下兩個方面的研究:一是利用數算分析與理論分析的方法對現有的若干置信區間如「精確」置信區間, wald置信區間, bayes置信區間等進行分析較,發現了一些缺陷,針對這些缺陷,我們進行適當的修正,並得到幾種性質較好的置信區間如:修正大樣本區間jeffreys原則下置信區間二是針對已給定的置信系數與區間長度,我們提出了一種漸近的兩階段區間程序,並利用數算的方法,在各種置信系數與區間長度限定下,算出了最優的第一階段觀測次數(抽樣) ,大數據表明,本文考慮的方法性態良好,具有應用價
  4. Instrumental method : the estimate value of loq is the concentration when the signal - to - noise ratio is 10 : 1

    儀器分析方法:一般以信噪為10 : 1時相應的濃度作為定限的,然後配製相應定限濃度的樣品,反復測試來確定。
  5. Based on the data recorded of the highest water level in the three survey stations of huangpu river, we give out the parameters estimates by using the eight estimate procedures mentioned above respectively, then we calculated corresponding values of likelihood and goodness - of - fit. we reach the conclusion that maximum - likelihood method performs better and more stable than the others

    本文基於黃浦江三個水文觀測站的歷年最高水位資料,分別利用這八種方法,求出了參數,然後分別算似然函數和擬合優度度w ~ 2 ,對這八種方法進行了較分析。
  6. The above algorithm forms a double - two - stage iteration, as following : the results of monte carlo stimulation show that the double - two - stage iteration algorithm is more effective than empirical logistic regression after item and ability parameters recovery study. there are three advantages about the new method : first. the new method can be applied to estimate fewer items ; secondly, a test including fewer unusual response patterns can also be evaluated ; thirdly, the results compared with homogeneous software dealing with 2plm are accepted using mean absolute error as the criterion

    這種新方法有以下三個優點:項目數很少時參數的結果也較穩定;能處理測驗中含有少特殊反應模式(見第二章)的參數;以和真之差的絕對(平方)的平均作為對真的修復能力為指標,新方法的參數結果與同類流行軟體相,修復能力不相上下;特別地,新的參數方法可以用於多級評分項目gpcm ,並為題組項目開辟了另一條道路。
  7. We must think of three factors to make a best capital structure. first factor is margin tax shield, namely, the ratio of firm value ' s increment for liability and the increment of liability blow. second factor is finance crisis net lost that is bought in future. thirdly. we must make much of the market action and adjust capital structure

    確定一個最優的資本結構主要考慮以下三個要素:第一,邊際稅盾,即由於負債導致企業價與負債額的增,以邊際稅盾為零作為界點;第二,未來可能招致的財務危成本;第三,密切關注市場的反應,不斷調整資本結構。
  8. Abstract : the sample breakdown point of a test is defined as the smallest proportion of arbitrary outlier in the sample that reverses the test decision. in this paper, wegive the sample breakdown point of a test for maximum likelihood estimate of exponential distribution parameter and analyze the asymptotically normal characteristic of the sample breakdown point

    文摘:如何化一種統方法對異常的不敏感性一直是穩健統研究的一個重要課題.檢驗的樣本崩潰點是樣本中能逆轉判決的離群的最小例.在研究相關文獻的基礎上,算出指數分佈參數極大似然檢驗的樣本崩潰點,並分析了樣本崩潰點的漸近正態性,為化統方法的穩健性提供了一種新的途徑
  9. Then, on the premise that plerni is known, this paper sets up the relations of protected land increment, plerni and open land value, by assessing open land value to calculate protected land increment and protected land value

    在此基礎上,研究建立了保護地土地增與保護地純收益當、露地地價之間的關系,通過露地地價評算保護地土地增及保護地地價。
  10. Doing the further research on the division frequency stack on the foundation of study of predecessor, at first the residual moveout correction is done to the seismic record, make the phase axle regularity, doing foundation for the same phase stack ; then carried on division scale processing by wavelet transform ; spectrum whitening is done to each scale, the high and low frequency band need to do prolongs, the middle frequency bands only increase the value of the frequency spectrum ; several kinds of methods that estimate the value of signal - noise ratio has been studied further, and summarize their advantage and disadvantage as well as the scope of application ; the seismic record after spectrum whitening is stacked by weighting with the value of the signal - noise ratio ; then estimate the value of signal - noise ratio which is each scale section after stacking, the scale that the signal - noise ratio is big is assigned big weighting, otherwise, the scale that signal - noise ratio value is small is assigned small weight ing, and carried on weighted reconstruct to each scale section

    本文在前人研究的基礎上,在分頻疊加方面做了進一步的研究。首先對地震記錄進行剩餘時差校正,校齊同相軸,為同相疊加做好基礎工作;然後對地震記錄用小波變換的方法進行分尺度處理;對各個尺度分別做譜白化,對于高、低頻段需要做頻帶延拓,中間頻段僅提升頻譜;對于幾種信噪的方法進行了深入的研究,並且總結了它們的優缺點以及適用范圍;對譜白化后的地震記錄用信噪作為加權系數進行加權疊加;對于各尺度的疊加剖面也進行信噪,對于信噪大的尺度給予大的加權系數,反之,信噪小的尺度給予小的加權系數,對各尺度疊加剖面進行加權重構。
  11. In addition, effects of several factors such as local site conditions, focal mechanism, epicentral distance and seismic magnitude on these parameters are discussed, and several significative results and conclusions are obtained. in all records there are about 1 / 3 vertical ground motion ’ s peak acceleration bigger than 2 / 3 of the corresponding horizontal one, so the action of vertical ground motion should not to be underestimated. vertical design response spectrum equals that the horizontal design response spectra times 65 % is probably unsafe when period is short, and suggest adopting different coefficients when at different periods

    本文基於對大歐洲強震記錄的研究,分析了地震動豎向與水平向分在峰加速度、反應譜、頻譜周期等參數方面的差異,以及這些參數與場地、震源機制、震級和震中距的關系,得到了以下有意義的結果和結論:在本文分析的地震記錄中大約1 / 3的記錄加速度峰大於2 / 3 ,豎向地震動分的作用不可低;在短周期,豎向地震動影響系數的最大僅取為水平向地震動影響系數最大的65 %是偏於不安全的,可以考慮按周期分段採用不同的折減系數;我國現行抗震規范中設反應譜特徵周期的取偏低,可能是偏於不安全的;豎向與水平向地震動分卓越周期的在0 . 7 - 0 . 9之間,豎向設反應譜的特徵周期應有單獨規定。
  12. A new cumulant based algorithm of estimating signal to noise ratio ( snr ) and reference phase is proposed for likelihood ratio classification of mpsk signals, which is blind to unknown phase order of mpsk signals. the asymptotic statistic distribution characteristics of cumulant function estimation of mpsk signals are given

    針對mpsk信號似然分類中的參數問題,提出了在未知調制類型的前提下,基於累分析的(對調制類型)盲的信噪和參考相位演算法,並理論分析了累函數的漸進統分佈特性。
  13. Frequency - domain equalization. at the same time discusses some key problems in ofdm : high ratio of peak - to - average power of output signals, problem of synchronization, channel estimation, adaptive bit, power and subcarrier allocation. emphasize on channel estimation, and present a new algorithm which can filtering more interpolation errors and noise. for the sake of improve the performance of resist narrowband noise and make efficient use of the spectrum apply malvar wavelet division

    同時就ofdm系統中的一些關鍵問題如峰平均功率( papr )太高,同步問題,通道,通道、特與功率必須動態分配進行了研究,著重研究了通道問題並提出一種改進的方法,能濾除更多的噪聲分和插誤差,提高系統的性能;為了提高抗窄帶噪聲的性能和提高通道利用率,用malvar小波變換實現了不等帶寬分配。
  14. The key point is how to use point method and factor comparison method during job evaluation to make out pay points of every single position along with the salary levels

    如何確定不同職位之間的相對價是這部分的重點,我們結合了要素點法和要素較法對達新公司不同崗位的相對價進行化評以確定薪酬水平。
  15. Compared with the traditional detective methodes based on frame difference, the operation of the method is more less. because the threshold based on noise characteristic parameters is adaptive produced, algorithmic adaptability is better

    與傳統的基於像素的幀間差分法相,運算較小。根據相對噪聲的特徵參數所的相對噪聲的閾是在檢測過程中自適應生成的,適用性較強。
  16. Fourthly, respectively using cross correlation method for estimation of time delay, phase spectrum method for estimation of time delay and high order spectrum method for estimation of time delay, this paper measures time delay estimation of the data obtained because time delay between two signals has big importance on the testing result. through comparing three results, accurate time delay is obtained under their own different circumstances

    再次,由於兩信號的時間延遲對測結果有很大的影響,因而研究了用互相關時間延遲、相位譜時間延遲和高階譜時間延遲的方法對測數據進行了時間延遲,結果表明,三種時間延遲方法在各自適應的環境下使用,都能得到較準確的時間延遲
  17. Secondly, measuring arrangement in three - phase distribution systems, decomposing jacobian matrix algorithms and how to choose pseudo - measurement weight are discussed

    其次,對三相系統的測設置,分解雅可三相狀態演算法和偽測權的選取進行了闡述。
  18. This paper looks soil as homogeneous stationary random fields, expatiates the application of the random process in the geotechnical engineering and establishes the basic concept, its assortment and digital feature of random process and random fields, tests whether this random fields is a stationary process and whether it is ergodic, applies correlation function theory and variable function theory in the study of the random fields of soil parameter, acquires the relation of the two theories and draws the conclusion that they are equal essentially, fits the measured curve by using the correlation function method, variable function method and other methods, and acquires the value of correlation distance, applies the random fields theory of soil parameter in actual engineering, estimates the value of elevation and other soil parameters of 92 holes in baoding city and the results are satisfying

    將相關函數理論和變異函數理論分別應用於巖土參數隨機場的研究中,通過運用這兩種理論對巖土參數特性的描述,得出這兩種理論的內在聯系及其本質一致性的結論。分別運用相關函數法、變異函數法及其它求解相關距離的方法對實測函數曲線的擬合,得出描述空間相關程度的度? ?相關距離(或變程) ,對用這幾種不同方法得出的相關距離(或變程)進行了較,並對這幾種方法的優劣和實用性做了評。將巖土參數隨機場理論運用於工程實際,對保定市區某場地的92個鉆孔的各層位的層底標高及其它幾種常見的巖土參數做出了,預測結果較令人滿意。
  19. To rt method, its depth inverse expression can be derived directly from the tb expression. but to dgf method, it is difficult. therefore according to least square method, approximate values of thickness are obtained by comparing simulated measured values and theoretic values

    對于rt方法,從其亮溫表達式即可獲得厚度的反演式;而對于dgf方法,文中根據最小二乘法對多通道輻射的理論與測進行較,從而得到厚度的
  20. Abstract : in this paper, best estimation of combinatorial prediction is constructed by weights reciprocal variances. then their precisions are compared. random error 、 residuals and predicitons by identical precisions are explained

    文摘:文中討論了在方差倒數權為基礎的正權組合預測條件下,最佳的確定及其精度較;並深入闡明隨機誤差、殘余誤差及等精度測的意義和它們之間的關系。
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