mathematical theory of statistics 中文意思是什麼

mathematical theory of statistics 解釋
數理統計學理論
  • mathematical : adj 數學(上)的,數理的;嚴正的,精確的。 mathematical instruments 制圖儀器。 mathematical logic...
  • theory : n. 1. 理論,學理,原理。2. 學說,論說 (opp. hypothesis)。3. 推測,揣度。4. 〈口語〉見解,意見。
  • of : OF =Old French 古法語。
  • statistics : n. 1. 統計學,統計法〈用作單數〉。2. 統計數字[資料],統計表〈用作復數〉。
  1. Based on consider hereinbefore, this dissertation discusses several aspects on the problem of the sustainable and optimum exploitation of groundwater resources as follows : ( 1 ) reviewed entirely the origin and evolvement of the concept " sustainable development ", stated and commented the study status in queue on " sustainable development " around national and international range, thorough discussed the science connotation about the concept " sustainable development " ; ( 2 ) looked back and commented across - the aboard some furthest basic concept and proposition related to groundwater resources, put forward self opinions on a few existent mistake points of view and chaos understandings ; ( 3 ) expatiated entirely on the content and meaning of the theory of changeable groundwater resources system, contrast with the traditional methods of groundwater resources calculation and evaluation, combined example to show the application of this theory ; ( 4 ) thorough analyzed the difficult and complexity to forecast the groundwater resources, fully stated the traditional methods of groundwater resources forecasting, pointed out the characteristic and applying condition of these forecasting method, introduced the main ideas and methods of wavelet analysis developed recently, and the matlab software be known as the fifths era computer language, and its accessory wavelet analysis toolbox, applied these methods and tools to analyze the groundwater dynamic curve, adopted the b - j method and morte - carlo method, combined with the theory of changeable groundwater resources system, discussed the new view on the forecast of groundwater resources ; ( 5 ) synthetically analyzed the characteristics and limitations of the present all kind of groundwater manage model, combined mathematical programming mathematical statistics random process and the theory of variation system of groundwater resources on the unite optimum attempter of surface water and groundwater, emphasized how to make the model more nicety, more simple, more practicality ; ( 6 ) analyzed the inside condition and outside condition to assure the sustainable and optimum exploi tation of groundwater resources, the inside conditions are the follows : correct resources idea, scientific methods of resources calculation and evaluation, credible forecast methods of resources, exercisable measures of resources management, the outside conditions are the follows : the development idea of high layer, the transform of manage system, the matched policy and rule of law, the adjusted of economy lever, the improve of cultural diathesis, the boosting up of water - saving consciousness and detail measures, the control of population rising, the prevention and cure of water pollute, the renew and rebuild of ecology ; ( 7 ) scan the sustainable and optimum exploitation of groundwater resources from the high level of metagalaxy, earth system science, and philosophy ; lint out the more directions on groundwater resources

    基於以上考慮,論文主要從以下幾方面對地下水資源可持續開發問題進行了比較深入的探討:全面回顧了「可持續發展」概念的由來與演變,對國內外「可持續發展」的研究現狀進行了述評,並對「可持續發展」概念的科學內涵進行了深入探討;對涉及地下水資源的一些最基本的概念和命題進行了全面的回顧和評述,對目前仍然存在的一些錯誤觀點和混亂認識提出了自己的見解;全面闡述了地下水資源變值系統理論的內容和意義,並與傳統的地下水資源計算評價方法進行了對比分析,結合實例具體說明了方法的應用;深入分析了地下水資源預測預報工作的極端重要性和復雜性,對傳統的地下水資源動態預測方法進行了全面的評述,指出了各類預測預報方法的特點及適用條件,對最近二十多年剛發展起來的小波分析技術的主要思想和方法及其應用范圍,以及號稱第五代計算機語言的matlab軟體和附帶的小波分析工具箱進行了介紹,並應用於地下水動態過程線的分析,採用時間序列中的b ? j法,蒙特卡羅方法,與地下水資源變值系統理論相結合,探討了地下水動態資料分析和地下水資源預測預報的新思路;綜合分析了現今各類地下水管理模型的特點及缺陷,將數學規劃、數理統計、隨機過程等與地下水變值系統理論相結合進行地表水地下水或多水源的聯合優化調度,使模型更準確、更實用;對保證地下水資源可持續開發的內部條件和外部條件進行了分析,內部河海人學博卜學位論文前言、摘要、目錄條件主要是正確的資源觀,科學的資源計算與評價方法,可靠的資源預測預報技術,可操作的資源管理措施,外部條件主要是高層發展思路、管理體制的變革、配套的政策法規、經濟杠桿的調節、人文素質的提高、節水意識的增強及具體節水措施、人口增長的控制、水體污染的防治、生態的恢復和重建等;從宇宙科學、地球系統科學及哲學的高度審視地下水資源的可持續開發;指出了地下水資源可持續開發的進一步研究方向。
  2. 2. according to the characteristic of airborne gravity survey, several statistic variables are derived from theory of probability and mathematical statistics combined with knowledge of errors principles. these statistic variables are applie to the significance test of systematic errors in every surveying line

    2 、根據概率論和數理統計的理論與方法及誤差理論,結合航空重力測量的特點,建立了有關檢驗統計量,並將其應用於航空重力測量測線系統誤差的顯著性檢驗。
  3. Based on the count of failure in the samplers, this paper analyzes the weak link of the quality of domestic automobile products. with the help of mathematical statistics and automobile reliability theory, we get the failure law of bus, truck and car of the domestic automobile industry and their failure distribution function, reliability function, probability density function, and failure rate function. accordingly, the present situation of reliability in domestic automobile products is expounded

    本文通過對樣車的故障進行統計,分析了我國汽車產品質量的薄弱環節,並藉助數理統計手段和汽車可靠性理論,得出了國產客車、載貨汽車以及轎車的故障規律和相應的故障分佈函數、可靠度函數、故障密度函數及故障率函數,論述了國產汽車產品的可靠性現狀。
  4. Application of thought on the probability theory and mathematical statistics

    概率論與數理統計思想的應用
  5. All this is to be done through actuarial science takes probability theory and mathematical statistics as its standing point, evaluates the outcome of risky events, the future financial balance as well as debt level for various economic programs. in this way, the actuarial science can help us put these programs onto a safety financial basis for future development

    精算科學是現代保險業和社會保障事業建立和正常運作的數理基礎,它以概率論與數理統計為基礎,與人口、社會、經濟有關科學相結合,對風險事件進行評價,對各種經濟安全方案的未來財務收支和債務水平進行估計,使經濟安全方案建立在穩定發展的財務基礎上。
  6. Stochastics ; probability theory, common fundamental concepts of mathematical and of descriptive statistics ; concepts, signs and symbols

    隨機學.概率論.數理統計學和敘述統計學的通用基本概
  7. In the second chapter, basic theory about the mathematical statistics and the structural reliability in this paper. such as parameter estimation types of statistics distribution tests of distribution hypothesis methods of linear - second order moment, ect

    數理統計學原理主要包括:參數估計、統計分佈類型、分佈擬合檢驗;工程結構可靠度理論主要介紹了一次二階矩方法。
  8. The homogeneous degree of the glass batch is analysed and the formula for calculating the homogeneous degree is derived using the mathematical statistics theory in this paper. the measurement of the homogeneous degree of the batch of pittsburgh glass is made based on the analysis and the formula. the factors to influence the homogeneous degree and the measurement are analysed

    根據數理統計理論對玻璃配合料的均勻度作了分析並導出了計算公式,在此基礎上對無槽平板玻璃配合料的均勻度作了測試,並對影響均勻度及其測定的因素作了分析。
  9. Abstract : the homogeneous degree of the glass batch is analysed and the formula for calculating the homogeneous degree is derived using the mathematical statistics theory in this paper. the measurement of the homogeneous degree of the batch of pittsburgh glass is made based on the analysis and the formula. the factors to influence the homogeneous degree and the measurement are analysed

    文摘:根據數理統計理論對玻璃配合料的均勻度作了分析並導出了計算公式,在此基礎上對無槽平板玻璃配合料的均勻度作了測試,並對影響均勻度及其測定的因素作了分析。
  10. By applying related theory of gas discharge and mathematical statistics, this paper more in - depth and systemic study the influence of the length of air gap, ice state, water conductivity and air pressure on the inception corona and pulse discharge characteristics, included the discharge frequency, discharge amplitude and time interval

    根據試驗結果,用氣體放電和數理統計方法,分析了覆冰水電導率、冰的狀態(乾冰和濕冰) 、空氣間隙長度、氣壓和施加電壓等參數的變化對間隙模型的起始放電電壓、脈沖放電特性、放電頻率、放電幅值和時間間隔等的影響。
  11. In this article we firstly puts forward and discusses the quantitative analysis of real estate investment systematic risk and earnings with the investment economics theory and the probability and mathematical statistics method, secondly puts and discusses the quantitative analysis of real estate investment nonsystematic risk and earnings with monte carlo method and the probability and mathematical statistics method, finally discusses the quantitative analysis of real estate investment total risk and earnings with the probability and mathematical statistics method

    文中首先提出並論述了利用投資經濟學理論和概率數理統計方法對房地產投資系統風險及其收益進行定量分析;其次提出並闡述了利用蒙特卡洛方法和概率數理統計方法對房地產投資非系統風險及其收益進行定量分析;最後論述了利用概率數理統計方法對房地產投資綜合風險及其收益數值的定量分析方法。
  12. Using probability theory and mathematical statistics, probabilistic model on randomicity of the dynamic stability analysis system are built

    應用概率論和數理統計方法,建立了無縫線路動力穩定性分析系統中的隨機不確定性的概率模型。
  13. First of all, study the meaning of securities investment and class the risk. secondly, measure the risk of investment product from the probabilities & statistics angle, and makes conclusion by mathematical induction, provide theory support for evaluate risk of open - end fund investment portfolio

    首先研究了證券投資的含義,並對風險進行了分類;其次,從數理統計的角度對投資產品的風險進行了統計測定,通過數理推導得出了相關結論。
  14. On the basis of quality control theory - statistical process control ( spc ) and process capability index ( cpk ) are integrated with mathematical statistics technology to execute the comprehensive quality control over the whole production process of plastics pipe ( pvc - u double - wall corrugated pipe ). aiming at each process characteristics of the production, it has adopted different controlling models and formed a set of the production quality control system of pvc - u double - wall corrugated pipe. this thesis points out the structure principal and project ideas of the production quality control system of pvc - u double - wall corrugated pipe, which is based on computer technology

    運用質量控制理論? ?統計過程式控制制( spc )和工序能力指數( cpk ) ,結合數理統計技術,對塑料管材( pvc - u雙壁波紋管)整個生產過程質量進行全面控制。針對pvc - u雙壁波紋管生產線的各個工序特點,採用不同的控制模式,形成了一套pvc - u雙壁波紋管生產質量控制系統。並提出了基於計算機技術的pvc - u雙壁波紋管生產質量控制系統的構建原理和設計思路。
  15. Mathematical statistics is widely used in incentive theory, to some extent the design of incentive mechanism is to solve the inferential problem on agents ' ability and effort under asymmetric information

    摘要數理統計在激勵理論中廣泛應用,一定程度上激勵機制的設計就是為了解決不對稱信息下對代理人能力與努力的推斷問題。
  16. The mathematical expressions of variable dependence relation can be afforded by regression analysis in mathematical statistics and the availability of the expressions established can be judged by analysis with probability theory

    摘要數理統計中的回歸分析法能提供變量之間相關關系的數學表達式,而且能利用概率知識,對問題進行分析,判明所建立公式的有效性。
  17. Abstract according to the defect of the conventional bayes " method in the geomechanical engineering back analysis, expanding bayes " method was established in this paper. with the applications of the probability theory and the mathematical statistics principle, the geomechanical engineering random back analysis objects function was founded based on the aic criterion of the decision information theory and the maximum entropy criterion, a the matching question between the observed information and the previous information of the conventional bayes " method were proposed. in addition, the least square method, maximum likelihood method and conventional bayes " method were unified in form

    本文針對巖土工程反分析中使用的傳統貝葉斯法中存在的缺陷,提出了擴展貝葉斯法,從概率論和數理統計的原理出發,建立了基於決策信息論中aic準則和最大熵準則的巖土工程隨機反演的準則函數,解決了傳統貝葉斯法的觀測信息與先驗信息的匹配問題,並從形式上完成了目前常用的最小二乘法、最大似然法及傳統貝葉斯法準則函數的統一,並可由觀測數據的質量和數量進行預測模型的辨識。
  18. In thes paper, we set up a risk quantiative appraisal system for the scientific risk management of the real estate invesbent whih is based on the probability theory, mathematial statistics and fmancial anaiysis theorythis system developes the application of the probability theory and mathematical statishcs to the risk appraisal on the base of current risk appraisal methods. what ' s more, in orde to filfulthe need of prachcal application, we create a set of risk - fmance index models in whih we analyze five kinds of twortant risk in the real estate investinen from their orighs, such as the general price fluctuation risk, the markt risk, the interest rate risk, the operation risk and the decision risk. ih the system, standard deviation of the npv ( net present value ) is uesed as the quantitative index of the singe risks and the whole risk. in addition, we connect the system with risk avoiding tactics in the risk managemen of a proect. all these provide a decision basis for risk management

    本文應用概率論、數理統計、財務分析等理論為房地產投資風險的科學管理建立了一套風險定量評價系統。該系統是在現有的風險評價方法的基礎上,將概率論和數理統計的理論在風險評價中的應用進一步深化。並結合房地產投資的實際,從風險形成的原因出發,針對其中影響較大的幾類風險像利率風險、物價風險、行業風險、經營風險、決策風險,建立了一套風險- - -財務指標評價模型,運用凈現值的標準差這一指標將房地產投資所面臨的個體風險和整體風險定量化,同時與項目風險管理中的風險規避策略有機地結合在一起,為房地產投資的風險管理提供了決策的依據。
  19. Basing on the principles dynamics system theory as well as economic and statistics, this article sets up a mathematical model for sichuan ’ s development of science and technology which contains four interacting and interacting and interdependent subsystems : the corresponding computer simulation model is framed by using vensim ple, which is designed for system dynamic only

    本文先根據系統動力學原理,結合經濟學及數理統計,以四川省的科技需求、科技條件支撐、科技產出、科技轉化四個相互作用、互為因果的子系統,建立起四川省科技發展能力評估的數學模型,用系統動力學的專用模擬軟體vensimple構建相應的計算機模擬模型。
  20. Among which, mathematical model is both the best carrier that represents mathematics " solutions to practical problems and mathematical thinking processes and the bridge for the integration of mathematical education theory with practice ; fractal geometry enables students to have better understanding of the new development of geometry and exploit new space of geometric thinking ; probability and statistics, by means of the collection, coordination, description and analysis of data as well as the portrayal of the possibility of uncertain phenomena and events, provide evidences and suggestions for people ' s better decision - making, which is essential to people ' s life

    分形幾何學使得學生能更多地了解幾何學的新發展,開拓幾何思維的新空間。概率與統計則通過對數據的收集、整理、描述和分析以及對不確定現象和事件發生可能性的刻畫,為人們更好地制定決策提供依據和建議。研究過程中,就課程的整合作了大量針對性、操作性強的教育教學案例,對轉變學生的學習方式,促進師生、學生間的交流與合作,培養學生創造性思維和實踐能力有一定的指導作用。
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