概率相關性 的英文怎麼說

中文拼音 [gàixiāngguānxìng]
概率相關性 英文
probabilistic dependencies
  • : Ⅰ名詞1 (大略) general outline 2 (神氣) manner of carrying and conducting oneself; deportment ...
  • : 率名詞(比值) rate; ratio; proportion
  • : 相Ⅰ名詞1 (相貌; 外貌) looks; appearance 2 (坐、立等的姿態) bearing; posture 3 [物理學] (相位...
  • : Ⅰ動詞1 (使開著的物體合攏) close; shut 2 (圈起來) shut in; lock up 3 (倒閉; 歇業) close down...
  • : Ⅰ名詞1 (性格) nature; character; disposition 2 (性能; 性質) property; quality 3 (性別) sex ...
  • 概率 : [數學] probability; chance概率論 probability theory; theory of chances; 概率曲線 probability curv...
  • 相關性 : a ociation
  • 相關 : be interrelated; be related to; be bound up with; correlation; dependence; relevance; mutuality
  1. This thesis analyzes the mutual, complemental and fit relationship between technology 、 the corporate supply chain and organizational structure of a corporation in a comparably systematic and complete way based on the mode of integrated management by reviewing, analyzing and summarizing relative references. based on practical definitions of the concepts and variables appearing in the analysis of the relationship, investigative papers have been designed and possible development situations of technology 、 the corporate supply chain and organizational structure of different enterprises have been described in the way of determining the nature. by the statistics and analyses of the investigative papers, relativity, with the method of multi - linearity - regress analysis, and by investigating enterprises " performance in different dimensions and establishing a math mode of the relationship between

    本文在企業一體化管理模式的基礎上,通過文獻資料法對文獻進行回顧和總結分析,較系統和全面地論述了企業技術與組織結構、組織結構和供應鏈之間存在的互動、互補和匹配系,對這一系中的念和變量進行操作化定義,設計出三者對應的指標體系的調查問卷,定描述在不同企業的技術、組織結構和供應鏈的發展狀況,通過對調查所得問卷進行統計分析,運用分析和多元線回歸分析等方法,實證調查企業在不同維度狀態下的績效,建立企業技術、組織結構、供應鏈與企業的績效之間系的數學模型,證明企業技術、組織結構、供應鏈和企業績效存在一定的,企業技術、組織結構和供應鏈三者之間的匹配系可以影響和預測企業的績效,只有當企業的各影響因素之間互匹配的時候,企業整體運做的效和效果將最好。
  2. Research on wind is the precondition of wind response, then the section plane of static wind, intensity of onflow, psd function and correlativity of dynamic wind are involved in

    對風的研究是進行風振響應研究的前提,風的基本特徵包括平均風速剖面、湍流強度、脈動風功譜密度函數、脈動風的空間以及極端風速的統計特
  3. The wider range of the directional distribution of wave energy, the shorter of the mean crest lengths and the wider range of the distribution of crest directional angles. the crest height and crest length show a high relativity while the crest heights are low and become independence at very high crest height

    獲得了波峰長度的統計分佈、波峰長度與波峰高度的聯合分佈、波峰高度與波峰長度、波峰長度與波峰方向角的聯合分佈以及波峰在一個大面積海域中的出現等結果。
  4. This paper analyzed the strong relationship between color features and human sensations and showed how high - level emotional representation of painting can be inferred form perceptual level features suited for the particular classes ( elegance vs. flaring )

    分析了服裝圖像的顏色特徵與情感之間的,採用神經網路作為分類演算法來完成情感語義分類。
  5. Our results show that the rate of correlation among the random variables of those output sequences are low although they are not independent ; in addition, the output sequences of those combined generators are homogeneous markov chains which are strictly stationary processes with ergodicity ; the output sequences of those combined generators are also proved to summit to the strong law of large numbers and the central limit theorem ; finally the computation formula of the rate of the accordance between the output sequences and input sequences of those combined generators is given

    我們的研究結論表明:雖然這些序列中隨機變量之間不具有互獨立,但它們的程度卻比較低;證明了「停走」生成器, km _ 1m _ 2型組合生成器和加法型組合生成器的模型輸出序列都是強平穩的和遍歷的齊次馬氏鏈;討論了這些序列的極限質,證明了它們均服從強大數定律和中心極限定理;還分別給出了各類生成器的輸出序列與輸入序列之間的符合的計算公式。
  6. The former combines enumeration and sample technique and is easy to implement, but only definite failure modes are simulated, which may be inaccuracy with bulk power system in which high order failures and protection failures are the main cause to instability

    基於蒙特卡羅抽樣的穩定模擬演算法可以考慮電力系統的高重隨機故障,並考慮故障間的。模擬法可以模擬多重、連鎖故障對系統暫態穩定能的影響。
  7. But now in the process of real estate investment analysis, the traditional methods of risk analysis to investigate the risk are the sensitivity analysis and balanced analysis ; these methods primarily include the following deficiencies : ( 1 ) they can only analyze the impact of risk, but it will overlook the possibility of the risk, so it can only evaluate impact for the project of the risk factor, it can not make the determination for the probability of occurrence

    但是目前在房地產開發投資分析過程中,所使用的風險分析方法還在沿用傳統的風險調查法、敏感分析法和盈虧平衡分析法;這些方法都是假設資源沒有限制的原則下,側重數學分析和解析計算,由於簡化了風險問題本身的和復雜,使得這些方法在實際中的應用受到了限制,主要存在以下不足之處: ( 1 )只能分析風險的影響作用,而忽略了風險本身發生的大小差別,故只能對項目的風險因素作影響程度上的評價,而不能對其作發生大小的測定。
  8. According to the type of buildings, with many data, we draw such conclusion that the equivalent of fixtures n and frequency of use p are interrelated to the design flow qg

    按照住宅類型,進行了大量的數據分析得出:當量總數n與使用p的乘積和設計秒流量q _ g存在很大的的結論。
  9. Abstract : concepts of probability importance and probability sensitivity of sectional constraints of rc frame structure are put forward and studied in this paper, and their calculation methods are given based on the failure correlation and the achievements on reliability of structural system under minor and strong environment hazard respectively. the conclusions of this paper provide a scientific basis for the disaster - resistant maintenance strategy before and after earthquakes, enhancing the reliability of decision - making for the strengthening of existing structure

    文摘:探討了鋼筋混凝土框架結構截面約束的重要度及靈敏度念,利用失效及結構體系可靠度方面的研究成果,給出了鋼筋混凝土框架結構中各個截面效應約束分別在弱災害和強災害環境下的靈敏度與重要度的計算方法,所得結論可以為在役結構在地震前的預防維修加固決策及震后結構的維修加固決策提供科學依據,從而提高了在役結構加固決策的可靠
  10. The research methods are : using the conditional probability theory to work out the moment generating function of process s ( t ) and its distribution function ; using the increasing and declining character and the convexity to compare the lundberg exponent and the ruin probability of different processes

    研究方法為:利用條件證明過程s ( t )的矩母函數以及其分佈函數;利用增減以及凹凸比較lundberg指數,從而比較其對破產的影響。
  11. So there ’ s a great correlation among the second bitplane. so we offered a new arithmetic coding scheme in which the design of context models is based on level and bitplane. considering the difference between luma and chroma coefficients, we will make it separately

    由於abslevel = 1的高出現,使得第二位平面具有很大的,因此文中算術編碼的上下文模型的設計方案主要基於level值和bitplane 。
  12. The paper attempt to applied sequential cluster method to set up the classification standard, then it regards the correlation coefficients of record values as weights and predicts the future loads by using markov chain model with weights. this method make the best of the information comprised in load series and solved the problem of obtaining weather information. not only the concrete value of the monthly sales electric energy but its range in the future is gained

    實際上,各月份的氣象、經濟因素之間具有一定的,這些信息已經包含在負荷序列中,本文嘗試將馬爾可夫鏈理論應用於負荷預測之中,應用聚類分析的方法確定分級標準,將負荷分為不同的狀態,根據狀態之間的轉移來推測未來負荷的發展變化,並將觀測值之間的系數作為權值進行綜合預測,更加合理地利用了負荷序列中包含的信息,不僅可以預測出未來負荷的具體值,而且得到了其所屬的區間,具有一定的實用價值。
  13. In the third chapter, the origin of uncertainty and random field model as well as the probability characteristics of soil parameters, including self - correlation and cross - correlation, are introduced

    第三章分析土參數的統計特,包括參數不確定的來源、隨機場理論模型、土參數的自和互等。
  14. First of all, based on studying the transient behavior of refrigeration system, it was deduced of the mathematical models in the stable process of refrigeration system and brought to light of the heavy inertia, hysteresis coupling in refrigeration system. these results were comfirmed to be valid by a large number of experimented results. the second, to couter the characteristics of refrigeration system, reseached many control algorithms for working conditions

    首先,在研究製冷系統動態特的基礎上,推導製冷系統穩定過程各主要變量間的定量系,揭示了製冷系統的大慣、滯后,並進行了大量的實驗加以驗證;然後,針對製冷系統的特點,研究多種工況控制策略,提出d p轉換的軟實現念,在此基礎上,又提出了控制律,並將專家調節器應用於實際控制之中;最後,提供了整個壓縮機測試系統的硬、軟體實現? ? yzc - 500型製冷壓縮機測試系統。
  15. The experiment results above show that mining algorithms in “ support - confidence ” frame miss some valuable information with some high threshold, while if the threshold is low, a mass of meaningless and redundant rules are

    為此,本文進一步引入了聯規則的興趣度,應用基於概率相關性和基於綜合的兩個興趣度參數,對挖掘結果進行評價,排除大量的無趣規則,以得到有價值的聯規則。
  16. Then based on the idea of predictive motion vector, using of spatial correlation of adjacent block and global minimum points probability distribution characteristic, predictive diamond searching ( pds ) and its advanced mode : adaptive pds ( apds ) are introduced. finally the algorithm of pds and apds and its simulation results comparing with conventional me algorithm are given

    然後基於預測運動矢量的念,利用鄰塊運動矢量的和全局極值點分佈特,提出了預測菱形搜索演算法和它的改進演算法:自適應預測菱形搜索法,設計出具體演算法,並給出了與傳統快速塊匹配法比較的計算機模擬結果。
  17. The main conclusions are : the ruin probability of the risk process is increasing according to the relativity of the classes ; and with the initial surplus increasing, the influence of the relativity to the ruin probability is increasing

    主要結論為:隨著類之間的度增加,則應的風險過程的破產也隨著增大,且隨著初始盈餘的的增大,對破產的影響也越來越顯著。
  18. In chapter two, this text compared the relevant liquidity index, and then according to the operation characteristic of the open - ended fund, combining probability with the redeeming rate of the open - ended fund, on the basis of drawing lessons from the famous model " var ", put forward " r _ var ", the liquidity index of the open - ended fund, and it has done the positive research

    在第二章中,本文對的流動指標作了比較,而後根據開放式基金的運作特點,將開放式基金的贖回結合,在借鑒著名的var模型的基礎上,提出了開放式基金的流動指標r _ var ,並作了實證研究。
  19. A method ( vp - prma ) based on the users demand to improve the performance of voice service in packet reservation multiple access ( prma ) system is proposed. after the analysis of prma, the new mothod, using variable contending probability according to the actual condition, is presented. according to the simulation, the probability of packet dropping is reduced

    本文提出了利用用戶自身信息之間的區分用戶,並適當地調整用戶再次競爭通道的允許,來提高分組預約多址( prma )協議中話音業務能的方法,從模擬的結果看,該方法降低了話音分組的丟失
  20. According to the problem that the recovery rate is traditional treated as a constant or an independent stochastic variable by the classical credit risk pricing and management model, and problem that the negative correlation between the default probability and recovery rate is always neglected, this dissertation gets the exponential and logarithm regression models of default probablilty and recovery rate based on some empirical researches, and improves on several broadly applied credit risk models, such as structural hazard rate model, affine structure model, convertible bond pricing model and credit metrics model, and introduce the negative correlation between

    針對傳統的信用風險定價模型及信用風險管理模型將違約回收看成是一個外生的常數或是一個獨立的隨機變量,而忽略回收和違約之間的負這一問題,本文應用實證研究得到了違約和回收的指數和對數回歸模型,並對應用非常廣泛的結構化風險模型、仿射結構模型、可轉換債券定價模型和creditmetrics模型進行了改進和拓展,在新模型中應用指數和對數函數引入了這兩個變量之間的負
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