theoretical assumption 中文意思是什麼

theoretical assumption 解釋
理論假定
  • theoretical : adj. 1. 理論(上)的,學理上的 (opp. applied)。2. 假設(性)的;純理論的,推理的。3. 空論的 (opp. practical)。adv. -ly
  • assumption : n. 1. 採取,承擔。2. 假設,假定;臆說;想當然。3. 傲慢,僭越。4. 假裝。5. 〈A-〉聖母升天(節)〈8月15日〉。6. 【邏輯學】小前提。
  1. The traditional epistemology is the pioneer to object to the theory of being and reflectionism, and modern systematology, cybernetics, cranial nerve bionomy and cognitive biology, etc. has set up a solid theoretical scientific foundation for its epistemological assumption

    傳統的思辯哲學認識論為其反對客觀主義的實在論和反映論開道,現代系統論、二階控制論、腦神經生理學、認知生物學等科學學科為其認識論假設奠定堅實的科學理論基礎。
  2. The theoretical computations are performed under the assumption that the leptons are point particles.

    理論計算是在假定輕子是點粒子的條件下完成的。
  3. Under the assumption of linear ocean waves, and in the light of the theoretical framework about the probabilistic distribution of wave characteristics ( sun fu 1988 ), several probabilistic distributions of wave characteristics that is necessary for the estimation of breaking probability and whitecap coverage are derived. afterwards, the models of breaking probability and whitecap coverage are set up with these distributions in addition to the kinematical criterion

    在線性海浪假設下,基於孫孚( 1988 )關於三維海浪要素統計分佈的理論框架,具體給出二維海浪波峰處質點水平速度和表觀相速的聯合分佈等分佈函數,在此基礎上,根據運動學判據,分別建立起風浪破碎率和白浪覆蓋率的理論模式。
  4. Specially, based on risk - metric and factor variables, the author discusses multi - factor asset pricing model. in theoretical analysis, the author attempts to release the assumption of index ' s random walk, proves a portfolio selection model suitable for the linear index level moreover, based on assets un - exchangeable, the author brings forward asset pricing models for b - shares, h - shares and non - circulated - shares. the author also brings forward multi - factor asset pricing model based on risk - metric indices, such as coefficient of beta, standard variance, standard semi - variance, average absolute deviation, value at risk, and factor variables, such as circulated market equity, exchange ratio, short - term historical return

    在理論分析時,作者嘗試放鬆指數水平滿足隨機遊走過程的假設,推導出指數水平呈線性趨勢的資產組合選擇模型;此外,作者基於資產不可交易這一假設,提出了b股、 h股和非流通股等情形的資產定價模型,並基於系數、標準差、標準半方差、平均絕對離差和風險價值等風險度量指標以及流通市值、換手率、短期歷史收益率等因素變量提出了四因素資產定價模型。
  5. According to gaseous " molecular kinetic, the mass diffusion rate is within finite value. so theoretical conclusion of mass flux ' s producing and the essential relation of flux vs. force could be drawn. with the assumption that local density states in near equilibrium and the distribution is gradual changed, the classical first pick ' s law was modified considering mass relaxation time

    根據氣體分子運動論對質量傳播速度為有限值情況下的質量流的產生及流與力之間的本構關系作了理論推導,在假定局域濃度處于近平衡態,其分佈為漸進的情況下得到了考慮質量鬆弛作用的經典fick第一定律的修正式。
  6. The first part is the general theory on criterion for sentencing. the second part is the special theory of basic criterion for sentencing. in the first part, i ' ll show the concept of the basic criterion for sentencing ; the theoretical evidence of making the basic criterion for sentencing ; the development and present situation of it and author ' s comments on it ; the theory and the assumption of making the basic criterion for sentencing in china ; the official body of making the basic criterion for sentencing ; the courts carry out the criterion by the way of consulting or by the way of accordance ; the main elements of sentencing when judges try cases according to this criterion etc. 1

    第一部分從第一章到第四章,為量刑基準總論,主要論述量刑基準的概念;制定量刑基準的理論依據;國外、國內有關量刑基準理論的進展、量刑基準的制定情況、實踐情況和作者的評論;我國制定量刑基準的理論和設想;適用性量刑基準應當由什麼機關制定,制定後人民法院是參照執行還是依照執行;依照適用性量刑基準量刑時應當考慮的主要量刑要素;法定量刑要素、酌定量刑要素具體運用時影響量刑幅度的大小,對幾種常見的量刑要素進行分析,如自首、立功、累犯等,確定其影響量刑的幅度等等。
  7. The theoretical framework focuses explicitly on tail returns, thereby properly computing prudent margin level for large levels of risk, this paper finds : ( 1 ) the assumption of normality to impose a smaller margin level since the presence of a fat - tail

    通過實證研究,建議將gpd下的市場風險度量作為確定我國股指期貨保證金水平的依據,且藉助copula方法,運用組合的觀點進行風險控制,並根據市場風險變化特徵進行動態調整。
  8. Kahneman d. new challenges to the rationality assumption. journal of institutional and theoretical economics, 1994, 150 : 18 36

    赫伯特?西蒙: 《現代決策理論的基石》 ,北京經濟學院出版社1989年版
  9. A theoretical assumption and its practice of global supervision

    全球治理的一種理論假設及其實踐
  10. Such theoretical assumption has been tested through the experimentation

    並通過實驗對這一理論構想做了檢驗。
  11. After the retrospection of the enterpiese motivational theories in the second chapter, the paper indicate the distance between the theoretical assumption and what are actually happening

    第二章在回顧企業激勵理論后,指出目前理論假設與民營企業監督機制實際狀況的差距和現實的需要。
  12. For this, this thesis sets out from characteristic of intangible assets and theoretical foundation of intangible assets valuation, studies from the normal operation of whole enterprise, and be based on the assumption of running continuously and open market, to make a objective and sound judgment of the intangible assets market value that belongs to the new high - tech enterprise using the ahp

    為此,本論文從無形資產本身的特點和無形資產評估的理論基礎出發,站在整個企業正常運作的角度,依據持續經營假設和公開市場假設,對高新技術企業所擁有的客觀存在的無形資產在正常情況下所表現的市場價值,運用層次分析法建立評估模型,對其市場價值作出客觀公允的判斷。
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