statistical sum 中文意思是什麼

statistical sum 解釋
統計和
  • sum : SUM =surface to underwater missile 艦對水下導彈[飛彈]。n 1 總數,總計,總額;【數學】和。2 〈the...
  1. Through the statistical analysis and comparative study on the offensive and defensive techniques and tactics between china and korea in 2004 2nd asian under 19 years young women championship, the paper makes an analysis between the korean young women football team the chinese young women football team on the characteristics of techniques and tactics, in the to find out the insufficiency of chinese women ' s football, offer some guiding rules for its development rapidly and sum up experiences for chinese women ' s football in the future

    摘要通過對第二屆u - 19亞洲青年女足錦標賽中國隊與韓國隊兩場比賽進攻與防守技戰術有關數據的統計、對比和研究,分析了韓國青年女足和中國青年女足的技戰術特點,找出中國青年女足存在的問題與差距,為中國女足的重新崛起提供參考。
  2. The dissertation is divided into six chapters. chapter 1, summary, which explain the importance of the topic and suggest the system, method, and main contents of this dissertation. chapter 2 : the research of the theory of national debt and the practice of the debts issuing in china, in this part, we sum up the theory of national debts and the method of researching moderate scale in china and other countries. chapter 3 : the analysis of burden of national debts in china, which analyze the debts " burden by the rate of debts " burden and the rate of repayment of debts and the degree dependence of debts and so on. chapter 4 : influence factor study of the reasonable limit of national debts " quantity, in this chapter we get the factors that mostly affect the scale. using the actual datum and modern econometric and statistical analysis method, we conclude that the repayment of capital and interest and the finance deficit are the most important factors

    第二章國債理論研究進展和我國的國債實踐,綜述國內外國債理論研究的進展和我國國債發行的實踐以及國債適度規模的研究方法。第三章我國國債債務負擔分析,主要從政府償債能力和社會應債能力兩方面,選取了債務依存度、國債負擔率和國債償債率等指標,通過橫縱對比,對我國國債債務負擔進行了分析。第四章債務負擔合理數量界限的影響因素分析,選取了九個與國債密切相關的指標,通過多重共線性診斷、最佳回歸模型的選擇分析,最後選定國債還本付息額和財政赤字兩個與國債規模最密切的指標。
  3. The study on the development model of agricultural science and technology park : make a comprehensive survey of the agricultural science and technology park development, statistical data on the agricultural science and technology park in the year of 2002 was applied to do macro analysis, with the result of development problems and propose the settlement. this study is conducted based on typical case study and theoretical analysis from the aspects of growing background, overall effect, operating model and the driving force in four national agricultural science and technology parks : shandong vegetables demonstrating park, henan xuchang national park, gansu dingxi park and beijing shunyi three - hi agricultural pilot model area. then analyse and sum up the general laws and different points. the creative research of this paper lines in raising the new theory of sci - tech agricultural industry organization for the first time, build up the theory analysis framework for agricultural science and technology park ; according to the theory analysis framework, sum up the development general model from choosing the national agricultural park in typical region ; build up th

    運用典型案例剖析與理論分析總結相結合的方法,分區域按照發展成效在全國范圍內選取山東壽光蔬菜高科技示範園、河南許昌農業科技園區、甘肅定西旱作生態型農業科技園區和北京順義三高農業示範區,從園區的成長背景、建設發展的總體成效、運作模式和園區發展的動力等幾個方面對農業科技園區的發展進行了深入研究,並對園區發展模式的共性規律和差異之處進行了分析歸納;本文創造性的研究在於:首次提出了科技農業產業組織理論,構建了農業科技園區理論分析框架;根據這一理論分析框架,通過選取典型區域的國家農業科技園區進行實證研究,總結歸納了園區發展模式共同特徵並進行了差異分析;首次提出了適用於不同評價對象和評價意圖的三套國家農業科技園區評價指標體系,並創造性運用多元統計分析方法和系統分析方法對國家農業科技園區進行綜合評價。
  4. In this thesis, abundant statistical data are contained, two methods are employed to give a positive analysis on the elasticity of demand ( eod ) of i & e in china during the period from 1990 to 2001 from the following three aspects : firstly, regression analysis is applied to calculate the average eod of the general i & e. generally speaking, the export is rich in price eod while the import has a poor one. in addition, the absolute value of the sum of these two kinds of elasticity is higher than 1, which accords with marshall - lener condition and proves that devaluation of rmb should be helpful to improve the trade balance. suggestion is further provided such as cutting off producing cost of export, improving technology and implementing strategy of import substitution to improve trade balance

    本文運用豐富的統計數據資料、兩種方法、從三個層次實證分析了1990 - 2001年我國進出口商品的需求彈性:首先,運用回歸分析法計算總體進出口商品的平均彈性,得出我國出口商品總體富有價格彈性,而進口商品總體缺乏價格彈性,進出口需求價格彈性之和的絕對值大於1 ,符合馬歇爾?勒納條件,人民幣貶值有助於改善貿易收支的結論,並提出降低出口商品生產成本、提高生產技術水平、實施進口替代戰略來改善貿易收支;其次,運用彈性定義法逐年計算約100種主要出口商品和約50種主要進口商品的總體需求價格彈性,對其結果進行分析,進一步驗證了前述結論;再次,運用彈性定義法逐年計算農產品、鋼鐵、汽車、醫藥等五大類八種商品的進出口需求價格彈性,根據其不同的分佈狀況,聯系實際經濟情況,提出相應的匯率、價格及產業政策以改善貿易收支。
  5. Accord ing to the selected data, outcomes of the analyses possesses high correlations with the market values in this model, thus it has evaluated the enterprise values within the range of the data we have collected. according to the principles of statistical samples choosing, we argues that the parameter - determining methods used in the paper are reasonable, so we can predict the populations by the samples. to sum up, using these parameter - determining methods that have satisfied the basic presumes, this model has assessed the values of chinese enterprises properly

    從本文選擇的有限數據資料所做的結果來看,該模型所做結果與市場價值具有高度的關聯關系,因此,在本文所研究的樣本范圍內,該模型很好的估價了企業的價值,根據統計學樣本選擇的原理,從樣本推斷出總體,筆者認為本文中對模型參數的確定方法是可取的,在滿足該模型基本假定的前提下,按本文所述參數確定方法,該模型可以很好地評估我國上市公司的企業價值。
  6. It is why that i conduct the research. there are mainly five methods in the paper. ( l ) the dialectic materialism method : emphasize on variety and contact ; ( 2 ) the method of analyzing experience and demonstration : sum up experience by collecting, classifying, settling, concluding, and analyzing the statistical data. then find out general rules about alteration of investment structure ; ( 3 ) comparison and analysis method : find out the key reasons for the formation and alteration of investment structure by spatio - temporal comparison ; ( 4 ) systemic analysis method : regard investment as a whole organism and study its internal relationship and alteration. ( 5 ) static and dynamic method

    本文的主要研究方法有五種:一是辨證唯物主義的方法,強調運動、變化和聯系;二是經驗實證分析方法,通過對大量統計資料的收集、分類、整理、歸納、分析,做出經驗總結,找出投資結構變動的一般規律;三是比較分析法,通過橫向(空間)和縱向(時間)比較,找到影響投資結構形成和變化的關鍵因素;四是系統分析方法,把投資結構作為一個由很多子系統構成的有機整體,研究其內部的聯系和變化;五是靜態分析和動態分析方法靜態分析是從某一時點考察投資結構變動的橫截面的狀態,這種方法通常用於產業關聯分析;動態分析則更強調考察投資結構的形成和演進的趨勢。
  7. Based on the special property of chaotic signals, we presented the chaotic radar signals. additional, we introduce the chaotic sequence to the digital watermark technique. to sum up, the contribution of this dissertation are as following : the main progress and some statistical results of chaotic signals are summed up, the similarity and distinguish between chaos and noise are discussed and shown out

    總結本文的主要貢獻主要有以下幾點:聖首先對混沌理論的研究現狀和基本數學結論進行了總結和分析,特別是對混沌信號進行了深入地分析,研究了其相關特性(譜特性) 、最大ly即unov指數,對這兩個方面進行了大量的理論推導和數值模擬。
  8. The distribution and structure of the allelic polymorphism data are analyzed and it is pointed out that the distribution of allelic polymorphism data reveals the characteristic of closed data ( also named as compositional data or data of constant sum ) it is interpreted that the correlation structure of the allelic polymorphism data contains null correlations introduced by " closure " and the statistical distribution of the data is not normal because of its constant row sum, which resulted in great difficulties in analyzing the data with traditional multiple linear statistical methods such as principal component analysis, factor analysis, cluster analysis and canonical correlation analysis

    摘要長期以來,對于多維基因多態性數據的多元統計分析,如計算遺傳距離時所用的聚類分析、分析群體遺傳結構時所用的主成分分析、因子分析和典型相關分析等,一直應用為無約束條件數據而設計的經典多元線性分析方法,並沒有注意基因多態性數據的「閉合效應」所帶來的問題。
  9. The main research work includes as following : 1. firstly, we introduce the concept and technique of spc ( statistical process control ), summarize the application and development of spc and sum up it ' s characteristic

    簡單介紹了統計過程式控制制的基本概念以及其類型和基本方法,綜述統計過程式控制制的應用與發展現狀,概括了其發展特點,概述了本文的研究內容。
  10. According to the characteristics of uwb standard channel models, we propose the concept of “ composite lognormal random variables ( rvs ) ”. based on this new concept, a new and precise approach is proposed to approximate the statistical distribution of lognormal rvs ’ sum, which places no restriction on the distributional parameters and correlation between the two branches. then, we

    在此基礎上,提出了一種新的對對數正態隨機變量和的統計特性進行近似的方法,該方法對變量的分佈參數和變量間的相關特性沒有任何限制,且精度較已有方法有了進一步的提高。
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