離散正態分佈 的英文怎麼說

中文拼音 [sǎnzhēngtàifēn]
離散正態分佈 英文
discrete normal distribution
  • : Ⅰ動詞1 (離開) leave; part from; be away from; separate 2 (背離) go against 3 (缺少) dispens...
  • : 散動詞1. (由聚集而分離) break up; disperse 2. (散布) distribute; disseminate; give out 3. (排除) dispel; let out
  • : 正名詞(正月) the first month of the lunar year; the first moon
  • : 名詞1. (形狀; 狀態) form; condition; appearance 2. [物理學] (物質結構的狀態或階段) state 3. [語言學] (一種語法范疇) voice
  • : 分Ⅰ名詞1. (成分) component 2. (職責和權利的限度) what is within one's duty or rights Ⅱ同 「份」Ⅲ動詞[書面語] (料想) judge
  • 離散 : dispersed; scattered about; separated from one another; spread; debunching; straggling; fringing;...
  1. Standard deviation in statistics, a measure of the dispersion of a frequency distribution : it is the average magnitude of deviations from the center of normal curve, calculated by squaring all the deviations, calculating their mean, then finding the square root of the mean

    標準偏差:統計中,一種衡量數據組或變化情況的數據,是偏中間位置數據大小的平均值。
  2. The random mathematical model is described using equivalent markov equations. the time and state parameters are discrete. based on the model, the flow rate distributions along radial and average at any height can be calculated directly, moreover, the probability transition matrix of the flow can be determined via the statistic character of the random cumulate particles, and be corrected by s. cd the random theoretical model shown in fig. l, the section of the bed of tbr is divided into a series of concentric circles

    一、在常溫和常壓下進行滴流床反應器流率的研究,以狀、時間的齊次markov過程描述了滴流床在滴流區的流率,建立了滴流床在滴流區流率的隨機模型,根據此模型可以: 1 、可直接確定任一高度下的液體徑向流率及平衡流率; 2 、液體流動的概率轉移矩陣可由隨機堆積顆粒的統計特性確定,以參數s修
  3. In continuous - lime framework, assuming that asset price follows stochastic diffusion process, it introduces parametric uncertainty, and applies stochastic dynamic programming to derive the closed - form solution of optimal portfolio choice, which maximizes the expected power utility of investor ' s terminal wealth ; in discrete - time framework, continuous compounding monthly returns of risky asset are assumed to be normal i. 1. d., it applies the rule of bayesian learning to do empirical study about two different sample of shanghai exchange composite index

    在連續時間下假設資產的價格服從隨機擴過程,引入參數不確定性,利用隨機動規劃方法推導出風險資產最優配置的封閉解,使投資者的終期財富期望冪效用最大;在時間下假設風險資產的連續復合月收益率服從獨立同,通過貝葉斯學習準則,以上證綜合指數不同區間段的兩個樣本做實證研究。
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