非負概率 的英文怎麼說

中文拼音 [fēigài]
非負概率 英文
nonnegative probability
  • : Ⅰ名詞1 (錯誤) mistake; wrong; errors 2 (指非洲) short for africa 3 (姓氏) a surname Ⅱ動詞1 ...
  • : Ⅰ名詞1 (負擔) burden; load 2 (虧損) loss 3 (失敗) defeat Ⅱ動詞1 [書面語] (背) carry on th...
  • : Ⅰ名詞1 (大略) general outline 2 (神氣) manner of carrying and conducting oneself; deportment ...
  • : 率名詞(比值) rate; ratio; proportion
  • 概率 : [數學] probability; chance概率論 probability theory; theory of chances; 概率曲線 probability curv...
  1. We make the following assumption for when 2 is positive definite matrix, different estimators about matrix of regression coefficients and inefficiency of least squares estimate have been discussed in many documents. considered 2 is nonnegative definite matrix, this thesis derives best linear unbiased estimate of parameter matrix b and estimable parameter function kbl under the meaning of matrix nonnegative definite and the property of maximum probability of blue is investigated. next, we discuss some necessary and sufficient conditions of the equality of the lse and blue, then we derive the estimation of the deviation bet - ween the least squares and the best linear unbias estimators of the mean matrix, meanwhile a relative efficiency of lse ofb is proposed and its bound is given

    當0時,眾多文獻討論了回歸系數陣的各種估計及lse的有效性,本文考慮了當0的情形,給出了回歸系數陣b及其可估參數函數kbl的在矩陣定意義下的最優估計( blue ) ,研究了它的一個最大性質,並且討論了最小二乘估計成為最佳線性無偏估計的充分必要條件,在此基礎上給出了均值矩陣的最小二乘估計與blue的偏差估計,定義了lse相對于blue的一個相對效,並給出了它的界。
  2. Taking load uncertainties, infeasibility problem and multiple objection of the reactive power optimization in the radial distribution system into consideration, loads are modeled as fuzzy interval numbers. fuzzy power flow is proposed based on fuzzy interval load for the more practical membership function of line losses rate and maximal voltages offset. this thesis presents multiple objection model of the reactive power optimization considering uncertainties using the fuzzy set theory

    對配電網電壓無功優化問題中荷的性的不確定性問題、多目標問題、約束不可行性問題進行了研究,用模糊區間來描述實際的荷情況,並用荷的模糊區間值計算配電網的潮流,得到有功功損耗和電壓的模糊區間值,使網損和節點電壓最大偏移量的隸屬函數更接近實際情況;將改進遺傳演算法與模糊集理論相結合,通過求解多目標函數和約束條件的模糊集合的交集,得出網損和節點電壓最大偏移量最小的最優運行狀態。
  3. We have investigated transport properties of electrons in magnetic quantum structures under an applied constant electric field. the transmission coefficient and current density have been calculated for electron tunneling through structures consisting of identical magnetic barriers and magnetic wells and structures consisting of unidentical magnetic barriers and magnetic wells. it is shown that the transmission coefficient of electrons in a wider nonresonance energy region is enhanced under an applied electric field. the resonance is suppressed for electron tunneling through double - barrier magnetic ( dbm ) structures arranged with identical magnetic barriers and magnetic wells. incomplete resonance at zero bias is changed to complete resonance at proper bias for electron tunneling through dbm structures arranged with different magnetic barriers and magnetic wells. the results also indicate that there exist negative conductivity and noticeable size effect in dbm structures

    對磁量子結構中電子在外加恆定電場下的輸運性質進行了研究.分別計算了電子隧穿相同磁壘磁阱和不同磁壘磁阱構成的兩種磁量子結構的傳輸和電流密度.計算結果表明,在相當寬廣的共振電子入射能區,外加電場下電子的傳輸比無電場時增加.對于電子隧穿相同磁壘磁阱構成的雙磁壘結構,共振減弱;對于電子隧穿不同磁壘磁阱構成的雙磁壘結構,無電場作用時的完全共振在適當的偏置電壓下轉化為完全共振,這時的電子可實現理想的共振隧穿.研究同時表明,磁量子結構中存在著顯著的量子尺寸效應和微分電導
  4. The paper explored the pdf of the spatial distribution of the day precipitation. the result shows that the weibull distribution is good on describing the heterogeneous of the spatial distribution of the day precipitation in china. the exponential distribution is n ' t ideally suited to the day precipitation

    利用指數分佈和weibull分佈擬合全國范圍內的逐日降水水平空間分佈模式,發現指數分佈模式並不能很好的擬合大范圍區域逐日降水量場空間分佈型,而weibull分佈的擬合效果很好,表明用weibull分佈描述中國區域逐日降水量空間分佈均勻性的分佈律是常適宜的。
  5. The engendering source of traffic volumes and their general influential factors have been presented, and the situation of nowadays highway transportation has been discussed. according to the introduction of traffic distribution theory and classical assignment method, analysis of traffic flow path selection among cities and that of special influential factors for traffic flow on toll highways, initial analysis to the forming mechanism of traffic volume on road sections has been made, and a probability model for path selection has been set up with the maximum - utility theory and disaggregating model. detailed analysis to impedances on road sections and their functions ( especially to three main composing factors of the impedances as cost of time, transport and toll and to the functional relations with traffic loads ) was made, at the same time, the relative cost calculating model was set up on the basis of the state - of - art achievements in both international and national researches

    主要研究內容包括:交通量的產生根源及一般影響因素分析和當前公路運輸地位討論;從交通分配理論及經典配流方法著手,通過分析城市間交通流路徑選擇行為和收費公路路段交通量特殊影響因素,初步提出路段交通量的形成機理,並採用效用極大原理和集結模型理論( disaggregationmodel ) ,建立用戶出行路徑選擇模型;對路段阻抗及路阻函數(尤其對行程時間費用、車輛營運費用和道路收費這三個構成路段阻抗的主要因素及其與交通荷間的函數關系)進行較為詳盡的分析,並以現階段國內外較為先進的研究成果為依據建立相應的成本測算模型,其中,特別提出了兩種確定客貨車輛時間價值的分析方法;離散分析法和時間-費轉換法,後者是在目前基礎調查、統計數據資料不夠齊全的現實下提出的一種確定道路系統內務車型時間價值的較為實用的新方法;對我國公路收費政策的背景和理論、實踐依據及費的各種影響因素進行重點分析;從數學的角度證明合理費的存在性,並以最優化理論為基礎,建立在普通收費公路和擁擠路段交通調控型收費公路兩種模式下合理費的計算模型等。
  6. Wang rongming ( 1993 ) calculated the extinction probabilities for a clas s of random walk in a random environment with the set of non - negative integers as state space

    汪榮明( 1993 )求出了狀態空間為整數集的隨機環境中隨機游動的滅絕,並得到明確的表達式。
  7. The bivariate poisson models of contingent claim times about the homogeneous portfolios are studied, and an independent condition of the two variables is proved, and then the mixed bivariate poisson models of contingent claim times about the heterogeneous portfolios with dependent risks are studied, and the last, the optimum bms formula about the heterogeneous portfolios with dependent risks are reached

    研究了同質風險相依條件下的二元poisson索賠次數模型,得到了二元poisson索賠次數模型獨立的充分必要條件同時研究了同質風險相依條件下二元混合poisson索賠次數模型,得到了相應的同質風險保單組合的索賠次數模型為雙變量二項分佈的函數在此基礎上將保險精算中的最優bms由獨立情形推廣到了風險相依的情形,並得到了相應的最優bms的計算公式。
  8. In chapter l, we introduce the relative background on this paper and give some simple expressions of the work which have been studied. in chapter 2, in virtue of the notion of likelihood ratio the limit properties of the sequences of dependent nonnegative continuous random variables are studied, and a class of strong limit theorems represented by inequalities are obtained. the bounds given by these theorems depend on positive constant c. in chapter 3, by means of the notion of log likelihood ratio, a kind random strong deviation theorem are obtained, and the bounds given by these theorems depend on r ( )

    第一章,介紹本論文的選題背景,對已有的工作進行扼要的介紹;第二章,利用似然比的念研究相依連續型隨機變量序列的極限性質,得到一類強偏差定理,其偏差界依賴于正常數c ;第三章,利用對數似然比的念得到一類隨機偏差定理,其偏差界依賴于r ( ) ,證明中引進了尾和尾的laplace變換的念;第四章,利用對數似然比的念,得到了一類關于任意連續型隨機變量序列的泛函的強偏差定理。
  9. Extinction probabilities for the generalized random walk in random environments with the set of non - negative integers as state space

    求出了狀態空間為整數集的隨機環境中廣義隨機游動的滅絕
  10. According to the problem that the recovery rate is traditional treated as a constant or an independent stochastic variable by the classical credit risk pricing and management model, and problem that the negative correlation between the default probability and recovery rate is always neglected, this dissertation gets the exponential and logarithm regression models of default probablilty and recovery rate based on some empirical researches, and improves on several broadly applied credit risk models, such as structural hazard rate model, affine structure model, convertible bond pricing model and credit metrics model, and introduce the negative correlation between

    針對傳統的信用風險定價模型及信用風險管理模型將違約回收看成是一個外生的常數或是一個獨立的隨機變量,而忽略回收和違約之間的相關性這一問題,本文應用相關實證研究得到了違約和回收的指數和對數回歸模型,並對應用常廣泛的結構化風險模型、仿射結構模型、可轉換債券定價模型和creditmetrics模型進行了改進和拓展,在新模型中應用指數和對數函數引入了這兩個變量之間的相關性。
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