模型契合度 的英文怎麼說

中文拼音 [xíng]
模型契合度 英文
model fit
  • : 模名詞1. (模子) mould; pattern; matrix 2. (姓氏) a surname
  • : 合量詞(容量單位) ge, a unit of dry measure for grain (=1 decilitre)
  • : 度動詞[書面語] (推測; 估計) surmise; estimate
  • 模型 : 1 (仿製實物) model; pattern 2 (制砂型的工具) mould; pattern3 (模子) model set; mould patter...
  1. The method of crack - division is used to make radial cracks at the edge of cavity. a series of integral equations for determining the dsif at tips of anti - plane crack are set up in terms of the green ' s function

    按「」的方式和採用裂紋切割技術構造出孔邊徑向界面裂紋對sh波散射的,利用green函數建立直接求解m裂紋尖端動應力強因子的定解積分方程組。
  2. Using the net assets per capital, the investment return rate, the t - m model, the h - m model, the single factor evaluating model which consists of the treynor index, the jensen index, the sharpe index and the square m index, we evaluate the performance of the twelve mutual funds. and we come to the following conclusions : ( 1 ) after the modification of the risk factor, our mutual funds in the recent one year outguess the market ; ( 2 ) better performance comes from the aid of the government, the improvement of the investment environment and the hard, smart work of the managers especially in the way of selecting some securities in the capital market. ( 3 ) though we make progress, there are still many problems which prevent the further development of our mutual funds such as the devise of the management fee and the characteristics of different funds, all of them divided into the subjective ones and the objective ones

    通過使用投資基金單位凈資產和投資收益率指標、單因素整體績效評估,包括treynor指數、 jensen指數、 sharpe指數和業績的m ~ 2測以及t - m 、 h - m對12隻樣本基金進行實證研究,實證研究表明: ( 1 )經過風險調整后,在最近的一年中,我國證券投資基金的業績總體上優於市場基準組; ( 2 )基金業績的提高得益於管理層的重視、投資環境的改善和基金經理的經營,而基金經理的良好業績是通過一定的證券選擇來獲得的; ( 3 )已成為證券市場上舉足輕重力量的基金在發展過程中雖然取得了一定的成績但其進一步發展還面臨著許多問題,有主觀存在的諸如管理費率的設定、基金風格方面的問題等等,也有客觀存在的諸如證券市場現階段的不完善等等,所以,我們應該抓住《證券投資基金法》問世帶給基金業發展的機,大力促進證券投資基金規范發展,採取各種措施做大、做優和做強基金業。
  3. In the first part, we established a linear regression model, which has the three accounting hypothesis, security market supervision policy, industry factors, etc as its independent variables, chooses the 631 listed companies in the shanghai a share market in 2001, as its target. spss is applied to the descriptive analysis and regression analysis. finally, we give the explanation with the combination of internal political and economic environment in the second part, we choose the " st " company as the sample and make tendency and comparison analysis of the sample companies while implementing the policies on impairment of assents within 5 years

    在實證研究部分,我們選取橫向和縱向兩個截面對上市公司選擇執行資產減值政策的影響因素進行分析,在橫向分析部分,首先建立了回歸,該約論的三大會計假設、證券市場監管政策、行業因素等作為自變量,選取《企業會計制》開始執行的2001年滬市a股符樣本條件的631家上市公司作為研究對象,然後運用spss進行描述性分析和回歸分析,最後結我國特殊的政治和經濟環境作出解釋。
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