預定偏差 的英文怎麼說

中文拼音 [dìngpiānchā]
預定偏差 英文
target offset
  • : Ⅰ副詞(預先; 事先) in advance; beforehand Ⅱ動詞(參與) take part in
  • : Ⅰ形容詞1 (平靜; 穩定) calm; stable 2 (已經確定的; 不改變的) fixed; settled; established Ⅱ動詞...
  • : Ⅰ形容詞1 (不正; 歪斜) inclined to one side; slanting; leaning 2 (只側重一面) partial; prejudi...
  • : 差Ⅰ名詞1 (不相同; 不相合) difference; dissimilarity 2 (差錯) mistake 3 [數學] (差數) differ...
  • 預定 : 1. (預先規定或約定) fix in advance; predetermine; schedule 2. [計算機] reserve
  1. The size of baking the positive pole over a slow fire in advance allows the deviation to accord with the following regulations

    焙陽極的尺寸允許應符合以下規: a長度,不大於0 . 1 %
  2. In collaboration with the department of physicis and material science of the city university of hong kong and the electronic and engineering department of the chinese university, the faculty of medicine has conducted research on different aspects of computer - aided navigation such as brain shift prediction with finite element model, three - dimensional ultrasound based correction for brain shift, accuracy verification, robotic system, surface identification and matching

    通過與香港城市大學物理及材料科學系及香港中文大學電子工程學系的協作,我們正發展電腦輔助的神經導航技術的多方面研究,例如,採用有限元模型測腦移;除去腦移的誤的立體超聲檢查技術;手術準確性的證實;腦表面區域的位。
  3. The main procedure and steps are following as : according the random characteristic of the time spent by each work procedure, computer simulation is applied to produce the most possible scheduling network. and by corresponding optimization and adjustment on the network, the cost and scheduling construction network can be obtained ; during the practical construction according to the network, the warp between the actual cost and expected scheduling is tracked dynamically. then the computer simulation system is used to predict the future cost and progress operation, and take corresponding precautionary measures to control beforehand

    其主要思想與步驟為:首先運用計算機模擬技術來模擬工序作業時間的隨機特性,產生概率最大的施工網路計劃,並對其進行優化和調整,以獲得滿足工期、質量要求的成本及網路計劃;在施工過程中動態跟蹤施工實際成本與進度與目標計劃所發生的以及質量問題,然後根據已出現的,利用計算機模擬技術對項目未實施部分進行進度、成本的測和分析,根據現有信息對網路計劃未完成部分進行調整和優化,以盡可能把各項費用控制在計劃成本之內或使工程的綜合指標最優。
  4. The essay has also proposed the combined hedging tactics of preventing credit risks and option with option margin and the method of adopting stock option to address the issue of trustee or agent risks. it has constructed its option model relating to rate and exchange risks to manage interest rate risk through the implementation of interest rate guarantee, caps and floors as well as swaption

    綜上,我們認為在經濟學中,風險的義,是指人們由於對未來行為的訣策及客觀條件下的不確性,而導致實際結果與期結果之間的程度,這種不確性既可能帶來正面,也可能帶來負面的影響。
  5. The main reasons of china ' s low household consumption rate for a long time are that : the too - high rate of investment directly leads to the low final consumption rate and extends to the low household consumption rate ; the overall low level of residents " income obstacles the final consumption expenditure and income - gap influence the consumption ratio ; the instabilities of the income anticipation is becoming stronger and the expenditure anticipation is increasing

    我國居民消費率長期低的主要原因有:投資率過高直接導致最終消費率低,從而使居民消費率低;居民整體收入水平不高,收入距過大影響居民消費傾向;收入期的不確性增強,支出期的增加,商品的供給結構不合理,消費環境中還存在諸多問題等。
  6. This paper presents the following innovation : 1. this paper proposes the gray - index moving combined forecast model, which combines the single - index moving method with gray disaster prediction theory. the joint model solves the problem of deviation and lag in single - index moving forecasting method in some degree, and prediction accuracy and reliability is improved

    將灰色災變測與一次指數平滑法相互結合、相互補充,在一程度上控制了一次指數平滑法測時的誤積累,從而修正了用一次指數平滑法測所帶來的和滯后,提高了測結果的可靠性和精度。
  7. In view of the fact that prediction of creep and shrinkage with current bridge provision for specific concrete under specific ambience sometimes has a big discrepancy with real values, a new method to obtain the expressions of creep and shrinkage from newly - built pc bridges short - term test results is presented, and relative equations have been established. therefore, a reliable long - term prediction on effect due to creep and shrinkage in pc bridges holds a firm bearing point

    研究中發現某一特環境下工作的混凝土用現有規范公式測得到的徐變、收縮特性常有較大的現象,由此提出了從新建應力混凝土橋梁短期試驗結果推算梁體相應素混凝土在工作環境下的徐變、收縮特性的思想和方法,並建立了計算式,為新建應力混凝土橋梁可靠的徐變效應分析提供了前提和保證。
  8. Insufficient management controls. before you can keep a project on track, you have to be able to tell whether it ' s on track in the first place

    項目的監督控制和項目計劃一樣重要。項目監督控制的目的就是要及早的發現問題和,分析根源,並第一時間採取糾正措施,使項目按軌道前進。
  9. The circumstance calculated by mm5 forecast system is very near compared with the real one ;. the physical quantity and precipitation calculated by mm5 forecast system should be well used in work ; the area and numeric of the precipitation forecasted by mm5 have some difference compared with the fact, that needs more some more work to make progress

    該模式對這次冷渦暴雨的形勢模擬與實際形勢場極其接近,是一個成功的應用範例; ( 5 ) 、 mm5模式對各種物理量和降水場的模擬結果與實況接近,在精細化的報實踐中具有很好的參考價值; ( 6 ) 、 mm5模式報降水范圍和強度與實況還有一,需要進一步深入的工作來改進。
  10. Interest risk in pricing of life insurance product is defined as the loss probability resulting from unfavorable variation of real investment return rate of life insurance capital from policy ordered fixed credit interest rate

    本論文的研究對象是壽險價利率風險,壽險價利率風險是指壽險資金實際收益率與保單利率之不利引起的虧損的可能性。
  11. At the case of cam - follower system at high speed, the inertia of kinetic components is bound to increase to a leap compared with the system at low speed, the elastic deformation of these components will affect the precision of the driven parts at special position, so the dynamic departure is inevitable

    當凸輪機構的運轉速度較高時,系統中運動構件的慣性力劇增,所產生的構件彈性變形的影響將導致工作端運動規律的要求,產生不容忽視的動態運動。因此,高速凸輪機構的研究正日益受到廣泛關注。
  12. Subcircuit models are designed and simulated, which includes bias current source, voltage reference, error amplifier, pwm comparator, driver circuit, protection circuits for over - temperature, over - current. at last, combined with periphery component, the circuit is simulated, and the result meets the anticipant requirement

    並對集成電路內的各個模塊包括電流置電路、基準電壓電路、誤放大電路、三角波振蕩發生電路、 pwm比較電路、驅動電路、過熱保護電路和過流保護等進行了具體的設計和模擬,並對整體應用電路進行了模擬,結果均達到了先設的指標。
  13. Top - directly as a basis and foundation of the bearing surface as the top - embedded steel bearings or bearing surface, the supporting surface, the anchor bolt ( anchor ) position should be consistent with the allowable deviation of norms

    基礎頂面直接作為柱的支承面和基礎頂面埋鋼板或支座作為柱支承面時,其支承面、地腳螺栓(錨栓)位置的允許應符合規范的規
  14. Then, this paper empirically tested the validation and predictive accuracy of different var risk management model in the domestic financial market. finally, with the analysis of modem financial risk management development trend and the current domestic financial risk management situation, this paper made a prospect for the application of this model in the construction of domestic financial risk management system. through the analysis, the main conclusions are as follows : ( l ) the traditional mean - variance model is the special example of the portfolio selection based on the var risk management model for the case that the returns of the portfolio are assumed to be normally distributed ; compared with the mean - variance model, the var risk management model is more comprehensive and accurate in the measurement of the portfolio risk, so based on the var model, the investors can allocate the asset more effectively. ( 2 ) the var risk management model can provide the timely and comprehensive risk information for the top risk manager, so it is very helpful to the improvement of total risk management efficiency. ( 3 ) based on the var model, the raroc performance valuation approach can reflect the real performance of the portfolio manager and provide the coherent standard for the allocation of risk limitation and the construction of the incentive compatibility constraint mechanism in the financial instiutions

    通過研究分析,本文主要得出如下結論: ( 1 )傳統的markowitz均值? ?方模型僅僅是在資產組合收益率正態分佈假設條件下基於var風險管理模型進行資產組合選擇的特例,與均值? ?方模型中的方風險度量方法相比, var風險管理模型能夠更全面、更貼切地衡量資產組合的風險,且基於此模型能夠更有效地進行資產配置決策; ( 2 ) var風險管理模型能夠滿足更高層次風險管理者對風險信息的需求,有助於整體風險管理效率的提高; ( 3 )基於var風險管理模型的raroc績效評價能夠反映資產組合管理人的真實業績,從而為金融機構風險限額的分配和激勵約束機制的制提供統一的標準; ( 4 )國內證券市場資產組合收益率服從正態分佈的假設明顯不成立,實證檢驗表明基於資產組合收益率正態分佈假設條件下的方? ?協方模型對國內資產組合風險的測存在較大的,由於文中證明在收益率正態分佈假設條件下基於方? ?協方模型進行資產組合選擇的結果等價于markowitz的均值? ?方模型,因此,均值? ?方模型對國內資產組合風險的測同樣會存在著較大的,而半參數var風險管理模型則能夠取得較好的測衡量效果; ( 5 ) var風險管理模型符合未來金融風險管理的發展趨勢,基於var風險管理模型建立內容提要風險限額內控體系、風險信息披露體系和業績評價體系,並進行金融監管,將有助於國內金融機構內部風險管理方法和外部監管技術跟上國際金融風險管理的發展潮流。
  15. Use the quantitative analysis tools to valuate use trend extrapolation to forecast sales revenue, linear regression to forecast the future cash flows, tow ? stage discounting cash flow model to valuate the physical assets of zte co. and black ? scholes option pricing model to valuate its growth opportunity or real option. and from the qualitative perspective analyze the reasons for deviations from the enterprise value

    用趨勢外推法測銷售收入,用線性回歸法測未來現金流量,用兩階段折現現金流量模型評估中興現有資產價值;用布萊克-斯克爾斯期權價模型測在競爭條件下中興的增長機會價值;在結尾處,從性分析的角度研究產生估價的原因。
  16. The purposes of this technical reform are to raise the measurement accuracy of the miss - targets and to improve the system error of the axis, hence increase the space pointing accuracy of satellites. it can offer a measurement means for high accuracy measurement orbit, forecast and method research on the space targets

    本項改造提高了脫靶量的測量精度和減小了軸系的系統,從而提高衛星的空間位精度,為空間目標高精度測軌報和方法研究提供了測量手段。
  17. The aboe - mentioned ctl epitope prediction results exist certain deiation, due to difference of their database source of building matrix motifs and form of scoring function

    上述這些ctl表位測程序,依據其建立矩陣的數據來源和打分函數形式的不同,測結果也會有一
  18. These uncertain factors may already be the finance inside perfecting the wrong behavior, it may be the change of the environment of external economy too, can make the financial policy and relevant measure take place and expect that the deviations of the result and actual effect are even deviated from in the course of implementing, therefore has produced the financial risk

    這些不確因素既可能是財政內部的不完善或錯誤行為,也可能是外部經濟環境的改變,可使財政政策和相關措施在實施過程中發生期效果與實際效果的甚至背離,由此產生了財政風險。
  19. The experimental results show that the effect of ib is much larger than that of the noise on estimating ionospheic delay, and ib can cause ionospheric delay measurements to include systematic errors of the order of several meters. therefore, one must significantly take notice of ib and remove its negative effect, and should not casually consider ib as part of noise whenever gps data are used to fit ionospheric model or to directly calculate ionospheric delay. ( 3 ) stability of ib is studied with a refined method for separating it from ionospheric delay using multi - day gps phase - smoothed code data

    算例表明,新方法通過採用平均去噪分離方法后處理相位丞于g陀的電官唇監剝及延遲改正工論與方法的研究平滑測碼數據,求出儀器並對需要實時處理儀器的觀測數據進行報改止,直接利用觀測值確電離層延遲量,待估參數少、能消除儀器的大部分影響,具有較好的精度,可作為waas及其他gps網路系統確電離層延遲的可行的參考方案。
  20. The main results are : ( 1 ) the imc structure of the dual - rate predictive control system is derived, and its robust stability and zero steady state error characteristics are analyzed

    論文的主要結果有: ( 1 )對雙速率采樣測控制系統的性能進行了分析.推導雙速率采樣測控制系統具有內模結構,研究了雙速率采樣測控制系統的魯棒穩性和零穩態特性
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