estimation of parameter 中文意思是什麼

estimation of parameter 解釋
參量估計
  • estimation : n. 1. 估計,評價。2. 預算,預算額;概算。3. 尊重,尊敬。4. 意見,判斷。5. 【化學】估定;測定。
  • of : OF =Old French 古法語。
  • parameter : n. 1. 【數學】參數,變數;參詞;參項。2. 【物理學】參量;(結晶體的)標軸。3. 〈廢語〉【天文學】通徑。vt. -ize 使參數化。
  1. Interval estimation of parameter in binomial distribution

    二項分佈參數的區間估計
  2. The least square estimation in linear model is used to derive the two - stage estimation of the item parameter vector 1 of j th item as follows : noting that xj consists of the nuisance parameters s, j, j, were updated so that the estimation of 6 s could be renewed

    修正進而修正x _ j和,從而形成一種新的估計方法?雙重兩步迭代估計蒙特卡洛模擬結果顯示,雙重兩步迭代估計提高了估計對真值的恢復能力。
  3. With estimating the numerator of the new simo model transfer function first and the common denominator later, the parameter estimation of the original siso model is obtained

    再估計出這個新的單輸入多輸出系統的傳遞函數,最後得到原單輸入單輸出系統的模型參數。
  4. The superiority of generalized ridge estimation of regression parameter in growth curve model under pitman closeness criterion

    準則下生長曲線模型回歸參數陣廣義嶺估計的優良性
  5. 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的在矩陣非負定意義下的最優估計( blue ) ,研究了它的一個最大概率性質,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的一個相對效率,並給出了它的界。
  6. Moreover, when the parameter is chosen in a certain interval, it is proved that the generalized d - gap function g has bounded level sets for the strongly monotone vip. an error bound estimation of the algorithm is obtained, which partially gives an answer to the question raised by yamashita ( 1997 ) et al

    更進一步,當廣義d -間隙函數g _ ( )中的參數取值于某一區間時,證明了函數g _ ( )對于強單調變分不等式而言,具有有界的水平集,同時,給出了演算法的一個誤差界估計,它部分回答了yamashita等人提出的一個問題。
  7. Parameter estimation of a regression model under censored data

    刪失數據下一類回歸模型的參數估計
  8. Parameter estimation of exponential distribution with two parameters under type i censoring sample

    定時截尾場合下雙參數指數分佈的參數估計
  9. These including : based on the reliability checkout of experiment data, the optimum fit of probability model by finite contrast method can be used to avoid type ii error and the estimation of distribution parameter with extended bayesian method to avoid the phenomenon that the results err from matrix owing to the lack of experiment data

    主要做了以下工作:在土工實驗數據進行可靠性檢驗的前提下,用優度檢驗的有限比較法擬合概率模型,可以避免納偽現象的發生:用經驗bayes方法估計分佈參數可以解決由於實驗數據不足而可能導致的估計結果背離母體的現象。
  10. Abstract : aiming at the variety of modals of nonlinear systems, we proposed a general parameter estimation method based on genetic algorithms ( ga ), which can be used in most kinds of nonlinear system modal. this method was applied to simulating parameter estimation of several different examples of nonlinear systems. the results proved that the method is effective and useable

    文摘:針對非線性系統模型的多樣性,提出適用於多種非線性模型的基於遺傳演算法的參數估計方法,並以多種非線性模型為例作了模擬研究.結果表明,遺傳演算法是非線性系統模型參數估計的有效工具
  11. Secondly, theoretical models for time series, such as garch, egarch, tarch and garch - in mean, and the methods of parameter estimation are introduced. then, these models are employed to test the volatility in shanghai a - share, shanghai b - share, shenzhen a - share and shenzhen b - share. next, in chapter 4, we study the co - integration and test the granger causality between the four share indexes. finally, the spillover of volatility between a - shares and b - shares markets are tested

    第二,通過模型的比較分析,發現殘差基於t分佈的arch類模型較之基於正態分佈和ged分佈的arch模型能更好地刻畫我國股指收益率序列的特徵。第三,滬深a股在兩個階段的變化甚微,保持著非對稱效應,對利空消息的波動大於利好消息的波動,風險補償為正向,且風險補償系數的變化不大。
  12. Second, for robust estimation of camera parameter, we take into account overall color change and focal length adjustment between overlap images

    另外為了對圖像進行可靠的拼接,演算法根據普通數字相機的特性,考慮了圖像整體色彩變化與焦距調整。
  13. The confidence interval ( c. i. ) of unknown parameter represents the range of the value and the reliability about estimation of parameter

    未知參數的置信區間表示該參數的取值范圍及其可信程度,置信區間的長度表示區間估計的精度。
  14. Point estimation of parameter in binomial distribution

    二項分佈參數的點估計
  15. Statistical interpretation of data - point estimation of parameter in binomial distribution

    數據的統計處理和解釋二項分佈參數的點估計
  16. Statistical interpretation of data - estimation of parameter in poisson distribution

    數據的統計處理和解釋泊松分佈參數的估計
  17. Statistical interpretation of data - interval estimation of parameter in binomial distribution

    數據的統計處理和解釋二項分佈參數的區間估計
  18. About and of two normal distribution and of gamma distribution. when sample size is not large, conclusion shows that the precision of the interval estimation of parameter is remarkably increasing if the data from tables in this paper are used

    通過計算比較,得出結論:在小樣本的情況下,用本文所求的置信區間作為未知參數的區間估計將會使估計精度得到顯著的提高。
  19. Admissible estimation of parameter in restricted space under squared - error loss

    限制空間中的參數在平方損失下的容許估計
  20. Estimation of parameter in poisson distribution

    泊松分佈參數的估計
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