模型選擇準則 的英文怎麼說

中文拼音 [xíngxuǎnzháizhǔn]
模型選擇準則 英文
model select criteria
  • : 模名詞1. (模子) mould; pattern; matrix 2. (姓氏) a surname
  • : Ⅰ動詞1. (挑選) select; choose; pick 2. (選舉) elect Ⅱ名詞(挑選出來編在一起的作品) selections; anthology
  • : 擇動詞(挑選) select; pick; choose
  • : Ⅰ名詞1 (標準) standard; guideline; criterion; norm 2 (目標) aim; target Ⅱ動詞1 (依據; 依照)...
  • : Ⅰ名詞1 (規范) standard; norm; criterion 2 (規則) regulation; rule; law 3 (姓氏) a surname Ⅱ...
  • 模型 : 1 (仿製實物) model; pattern 2 (制砂型的工具) mould; pattern3 (模子) model set; mould patter...
  • 選擇 : select; choose; opt; election; choice; culling; alternative
  • 準則 : norm; standard; criterion; rule; formula; square
  1. Model seeking. the method electee is applied to model optimum seeking. sets of model quality and their weighted conefficint are determined

    :利用多決策進行了工作,採用了electre方法,確定了品性集及其加權系數。
  2. Thirdly, comprehensive attribute method and risk coefficient are used to comprehensively evaluate the risk of the three sites so as to identify key risk factors and evluate the whole risk probability. fourthly, optimal scheme is selected via comparing schemes of the three plant sites through using investment model based on maximum shannon rule. lastly, measures to monitor and control risk consisting in this project are analyzed

    在對該項目三個備廠址的風險識別的基礎上,利用極大熵對各廠址存在的風險進行估計,得出各風險發生的概率,然後利用綜合屬性度法和風險系數對各廠址存在的風險進行綜合評價,找出了關鍵風險,並得到了該項目的整體風險水平,進而通過基於極大熵的大工程投資決策對該項目的廠址方案進行決策,出了最優方案,最後,分析了該項目中存在的風險的應對監控措施。
  3. Then we define criterions including a series of software practice process and method and tools, which are also fit most of home software corporation to application software exploration and fit them to improve their software exploration engineering management before passing evaluation of cmm. the criterions we defined using a series normative process and document to engineer software exploration, which include " project management criterion ", " configuration management criterion ", " software test criterion ", " document writing criterion ", " software exploration and maintenance criterion ", ' software life cycle guide ", etc. " project management criterion " defines area and principle of software research management, which is practiced to manage the people, technology, resources, software, process and so on to improve efficiency and to ensure quality and increase income

    《項目管理規程》定義軟體研發管理的范圍、原,通過實施該規程來對項目中的人員、技術、資源、軟體、過程等進行全方位的管理,一西南石油學院碩卜學位畢業論文以達到提高效率、保證質量、降低消耗、增加收益的最終目的; 《配置管理規程》 ,通過實施該規程對項目開發過程中的所有資源進行控制; 《軟體測試規程》定義對軟體系統測試所用工具、過程和責任: 《文檔編制規程》提供滿足國家《計算機軟體文檔編制規范gb8567 》標的各種文檔板來建立統一的文檔編制規范; 《軟體開發和維護規程》定義了軟體開發過程以及採取的方法和工具; 《軟體生命周期指南》 ,根據軟體項目管理的經驗,將典軟體過程形成軟體過程,用於指導以後軟體周期的; 《年度公司規劃》 ,對需要公司總體安排的資源統一調度的過程。
  4. Based on the theory of cooperation between foundation and structure, paper uses ansys finite element software forming three - dimensional finite element model of. paper also anglicized element type choose, material attribute choose, loading determination, terminal condition determination, anyslys type determination and solution choose, etc. correcting buildings with the method of drawing out soil was analyzed through ninth aspects listed below

    本文借鑒結構設計中的基礎與上部結構共同作用理念,運用ansys有限元分析軟體,在探討了單元類別的、材料屬性、載荷、邊界條件和分析類別的確定、求解器、求解方法與收斂等與有限元建相關內容的基礎上,建立了上部結構和土體共同作用的三維有限元
  5. After exposing the internal relations of competition and cooperation among the parties of the joint venture the author studies the management of joint venture from internal aspects and project management through the aspects of maintaining trust, creating internal culture, managing internal resources and managing the major element of joint venture together with the process of joint venture. then the author attains importance on description two new cooperative modes in the world - - - - - partnering and alliancing - - - - and analyzes and exposes the trend of contracting joint venture on the market of international contracting projects. finally in the thesis the author proposes the strategies of chinese construction enterprises ’ establishing joint venture, implementing joint venture, being on the new position of international contracting project ’ s market and gives beneficial ideas about the application of project contracting joint venture in order that chinese construction enterprises are plowing in the market of international contracting projects

    在論文中,對聯營體的概念、主體和法律特徵、特點、成因和類等一般特徵進行詳盡分析;從聯營體的組建目的和原、夥伴、組織架構確立及聯營協議等聯營體組建最核心的方面進行了論述,並提出了一些有可操作性的標、原和步驟;在揭示聯營體內部競爭與合作關系的基礎上,從保持合作信任、構建聯營體內部文化、聯營體內部資源管理、聯營體運營過程中的主要管理元素等管理要點對聯營體的內部管理和項目管理的要素進行論述;然後,論文主要介紹了目前世界上兩種新的合作式,即partnering和alliancing式,並分析和揭示了在國際工程承包市場上,聯營體這種經營式發展的趨勢;在以上分析研究的基礎上,提出了我國建築企業在組建聯營體、運營聯營體、應對新形勢時應採取的策略。
  6. At first, starting from the relevant theories on accounting standards making, we choose four most important environmental factors influencing accounting standard making, namely economic factor, legal factor, political factor and cultural factor. at the same time we choose the representative country - france for european continent mode and u. s. a. for great britain & american ' s mode to carry on the international comparison of china and these two representative countries, in the hope of drawing the partiality degree of china ' s present accounting environment to these two typical accounting standards modes " environment

    首先從討論會計制定的相關理論出發,取影響會計的四個最重要的環境因素,即經濟因素、法律因素、政治因素和文化因素,同時取歐洲大陸會計式的代表國家?法國和英美會計式的代表國家?美國,進行中國與這兩個典國家的國際比較,以期得出中國目前的會計環境對兩大會計式的會計環境的偏好程度。
  7. The model includes three aspects ( 1 ) objective : aspect. regional leading industry choice ( 2 ) criterion aspect : comparative advantage criterion, industrial relationship criterion, technology advancement criterion, market potential criterion ( 3 ) norm aspect : location quotient, comparative labor productivity, comparative fund profit and tax rate, area ’ s added value proportion, industrial influence coefficient, industrial sensitivity coefficient, technology advancement speed, technology progresses contribution rate, growth rate, demand income elasticity

    共分三層:目標層? ?區域主導產業;層? ?比較優勢基、產業關聯基、技術進步基、市場潛力基;指標層? ?區位商、比較勞動生產率、比較資金利稅率、區內增加值比重、產業影響力系數、產業感應度系數、技術進步速度、技術進步貢獻率、增長率、需求收入彈性。
  8. This thesis uses the mean square error method, and it constructs the revised msb criterion. by reviewing the revised msb, we can choose the independent variables of the regression model and decrease the calculation

    以前的文獻中在考慮到的問題時,多會應用到已有的,例如: aic, bic, cp以及逐步法。
  9. Then, this paper empirically tested the validation and predictive accuracy of different var risk management model in the domestic financial market. finally, with the analysis of modem financial risk management development trend and the current domestic financial risk management situation, this paper made a prospect for the application of this model in the construction of domestic financial risk management system. through the analysis, the main conclusions are as follows : ( l ) the traditional mean - variance model is the special example of the portfolio selection based on the var risk management model for the case that the returns of the portfolio are assumed to be normally distributed ; compared with the mean - variance model, the var risk management model is more comprehensive and accurate in the measurement of the portfolio risk, so based on the var model, the investors can allocate the asset more effectively. ( 2 ) the var risk management model can provide the timely and comprehensive risk information for the top risk manager, so it is very helpful to the improvement of total risk management efficiency. ( 3 ) based on the var model, the raroc performance valuation approach can reflect the real performance of the portfolio manager and provide the coherent standard for the allocation of risk limitation and the construction of the incentive compatibility constraint mechanism in the financial instiutions

    通過研究分析,本文主要得出如下結論: ( 1 )傳統的markowitz均值? ?方差僅僅是在資產組合收益率正態分佈假設條件下基於var風險管理進行資產組合的特例,與均值? ?方差中的方差風險度量方法相比, var風險管理能夠更全面、更貼切地衡量資產組合的風險,且基於此能夠更有效地進行資產配置決策; ( 2 ) var風險管理能夠滿足更高層次風險管理者對風險信息的需求,有助於整體風險管理效率的提高; ( 3 )基於var風險管理的raroc績效評價能夠反映資產組合管理人的真實業績,從而為金融機構風險限額的分配和激勵約束機制的制定提供統一的標; ( 4 )國內證券市場資產組合收益率服從正態分佈的假設明顯不成立,實證檢驗表明基於資產組合收益率正態分佈假設條件下的方差? ?協方差對國內資產組合風險的預測存在較大的偏差,由於文中證明在收益率正態分佈假設條件下基於方差? ?協方差進行資產組合的結果等價于markowitz的均值? ?方差,因此,均值? ?方差對國內資產組合風險的預測同樣會存在著較大的偏差,而半參數var風險管理能夠取得較好的預測衡量效果; ( 5 ) var風險管理符合未來金融風險管理的發展趨勢,基於var風險管理建立內容提要風險限額內控體系、風險信息披露體系和業績評價體系,並進行金融監管,將有助於國內金融機構內部風險管理方法和外部監管技術跟上國際金融風險管理的發展潮流。
  10. Moreover, a novel method is also proposed to using pdp driving ic to perform the traditional pwm modulation. the shared platform is also discussed. besides the circuit design and program, in the paper, according to the typical equivalent pixel unit circuit, analyze the key parameter of the circuit by the support of theory formula deduction, analysis and simulation. it ’ s favorable to improve the high - frequence property of fed sample and enhance the display quality

    實際上,文中還提出了採用pdp驅動晶元進行pwm調制的控制方法和相應驅動波形設計,並就與子行灰度調制方法共享有關硬體和軟體平臺來驅動fed顯示屏進行了有益的探討。除了電路製作和控制編程外,本文從fed顯示屏典像元的等效電路入手,採用理論公式推導、分析和擬結合,指出了驅動電路設計中的關鍵參數。這有利於改善fed整機的高頻特性,提高fed的顯示質量。
  11. In chapter 3, the selection of the nni model, input signal and error rule are discussed. then the nni of the nonlinear system is studied. the static and the dynamic problem are clarified separately, and two examples are presented correspondingly

    第三章首先對神經網路的辨識、輸入信號的以及誤差進行討論,然後對非線性系統的神經網路辨識擬進行研究,將其中的靜態問題和動態問題分開進行論述,最後針對靜態問題和動態問題給出相應的實例擬。
  12. Aimed at strengths and weakness of mssse, the life - cycle of sa model, operational framework, sa partner selection model, sa organization choice model and are systematically designed. firstly, sa partner selection model utilizes a three - stage structure, resorts to relationship theory, fuzzy clustering, simple target evaluation and adaptive genetic algorithm and chooses ideal partners. secondly, sa organization choice model presents three kinds of basic organization pattern of msssesa and mapping relationship between sa type and organization pattern

    針對中小軟體企業的優勢與劣勢,設計了中小軟體企業戰略聯盟生命周期及基於的戰略聯盟運作框架,系統設計了聯盟夥伴、聯盟組織、績效評估:夥伴:在明確中小軟體企業戰略聯盟目標分解原與聯盟夥伴遴的前提下,用三階段法,運用關系理論、糊聚類、單目標評價、自適應遺傳綜合優化來完成對理想聯盟夥伴的;聯盟組織:提出了適合中小軟體企業戰略聯盟的三種組織式及與聯盟類之間的映射關系;績效評估:運用糊綜合評判的思想對聯盟績效進行糊評估。
  13. In the thesis, first, with the view to new institutional economics, the author researched the asset appraisal standards and deeply analyzed its character, function, making and etc. second, the author made a theory model of demand - supply, and then analyzed the affect factors on the demand and supply of assets appraisal standards so to find the reason of its imbalance. after that, the author studied the cost and profit of the making of assets appraisal standards as well as many affect factors, so that the profit will be the most on the conditions of fixing cost. at last, on the basis of theoretical analysis, the author brought forward some suggestive conclusion such as : reasonable location of standards making ; the process of making should be full played ; choose the china appraisal society as the organization of making the assets appraisal standards through the comparing of many institution of standards making ; consult to the foreign assets appraisal standards so as to lower the cost of standards making ; streng then the theoretical preparation of assets appraisal ; standards making should be in a long run ; making standards as early as ; strengthen teaching on standards ; attach importance to macro - environment analyzing

    本文從新制度經濟學角度研究資產評估,對資產評估的性質、功能及制定等進行了深入分析;通過構建供需分析理論,對影響資產評估的需求和供給的因素進行系統分析,剖析資產評估供需不平衡的成因;對資產評估制定的成本收益進行研究,全面分析影響成本和收益的諸多要素,達到成本一定的情況下,收益相對最大;在理論分析的基礎上結合中國資產評估的宏觀環境,分析了我國宏觀環境對制定的影響;提出了我國資產評估制定的對策定位:制定要合理定位;制定過程要充分博弈;對制定機構的;借鑒國外資產評估;加大資產評估理論備;制定要有前瞻性;制定應有緊迫性;強化培訓力度;需明確宏觀環境分析。
  14. Based on rum ( random utility maximization ) logit model is disaggregate method in modern traffic planning theory. because of small investigating capability with accurate prediction logit model is valuable in mode - split research

    Logit是基於最大效用原的離散。由於其不需要很大的調查樣本卻同樣能提供較確的分類信息,它在交通方式劃分研究上有著廣泛的應用前景。
  15. Then, based on the summarization and evaluation of the fruits and shortage other scholars made, this paper brings forward the research hypotheses. on the base of fully understanding of various research models of value relevance, this paper chooses the feltham - ohlson model and the balance sheet model as the basic mod els and adjusts the two models to test the value relevance of accounting data of listed a share corporations in china. the research result shows : ( 1 ) in the period from 1996 to 2001 the value relevance of accounting information in china is falling with the implementation and changing of every financial accounting standard ; ( 2 ) when testing listed corporations suffering loss the feltham - ohlson model is invalid ; ( 3 ) compared with 2000, the accounting data of 2001 is n ' t more conservative but more aggressive ; and ( 4 ) this paper ca n ' t judge whether the book value of corporation assets after computing the asset reduction required by " accounting regulation of corporations " is closer to that before computing, and it needs further researching

    在對各種價值相關研究充分理解的基礎上,本文有針對性地feltham - ohlson和資產負債表作為研究的基本,並根據所研究的具體問題對進行了修正,用以檢驗我國a股上市公司會計數據的價值相關性,研究結論如下: 1 、 1996 2001年我國會計信息的價值相關性沒有隨各項具體會計的頒布和變更逐年提高,反而逐年降低; 2 、 feltham - ohlson在檢驗虧損上市公司時失效,這可能是我國資本市場中特有因素造成的; 3 、與2000年相比, 2001年會計數據不但沒有更謹慎,反而更「激進」 ; 4 、本文檢驗結果無法判斷計提《企業會計制度》新要求的四項資產減值備后計算出的企業資產帳面價值是否比未計提資產減值備計算出的資產帳面價值更接近企業真實的經濟價值,有待今後做進一步的研究。
  16. In the qualitative, quantitative and directional way, successful factors, such as the superiority of marketing, the superiority of resource, the superiority of consumption, and the advantage of corporations supporting, etc, were described, and six important background factors, include of the increasing consumption, the competition from milk market, the challenge of joining into wto, the adjustment of industry structure, the winning against oneself, and accelerating development, were analyzed. new objects were put forward, that is, high quality, rationalizatio n of region distribution, having a core of brand, trade penetrating into various area, diversification of product exploitation, internationalization of preponderant product, and orientating function in market. development of tianjin milk industry should be based on materials and base, take resource integrating and market regulating as means, take trade infiltrating and product development as support, take specialization, industrialization, collectivization and internationalization as orientation, take the development of international milk corporation as mode, and take " creating name brand, entering the first - ten corporation of milk industry " as object

    本文在廣泛調查研究的基礎上,圍繞天津奶業發展,全面客觀地評價了天津奶業發展現狀,採用定性、定位、定量和定向的方法,描述了天津奶業作為城郊奶業在競爭中形成的市場優勢、資源優勢、消費優勢、龍頭企業依託優勢、外資企業進入優勢、奶類項目援助優勢等眾多成功因素,分析了天津奶業未來保持產業領先地位必須認真對待的消費需求增長、乳業市場競爭、迎接入世挑戰、產業結構調整、克服自身劣勢、促進跨越發展的六大背景因素,提出了天津奶業新一輪發展瞄優質生產無抗化、區域布局合理化、品牌整合核心化、行業滲透多角化、產品開發多樣化、高點對接國際化、市場避強導向化的目標定位和以原料、基地為基礎、以資源整合和市場調整為手段、以行業滲透和產品開發為支撐、以專業化、產業化、集團化、規化、國際化的發展道路為方向,以國際乳品企業的發展為式,以「創造一流品牌、跨入乳業十強」為目標的天津奶業發展思路,以及天津奶業二十一世紀前十年和前二十年兩大階段奶牛養殖的五大奮斗目標和區域布局原,最後有針對性地提出飼養、全流程安全生產、產業化龍頭培育、學生飲用奶推廣、政策扶持等促進天津奶業成長的對策措施。
  17. This paper firstly compares the provisions about torsion effect and anti - torsion design in several codes ( the old and new chinese code for seismic, and some other countries " codes ). then, according to the code for seismic design of buildings ( gb50011 - 2001 ) and the code for concrete structure design ( gb50010 - 2002 ), the paper designs two multi - storied irregular concrete spatial frames, which respectively situated at the area of fortification intensity 8 and 9. subsequently, using the program based on the column - beam element of fiber model, input several ground motion records, which are selected according to the demand of code, to carry the structures " three - dimensional nonlinear analysis in two perpendicular directions at the same time

    本文對比了我國新、舊建築抗震設計規范( gb50011 - 2001 、 gbj11 89 )以及國外設計規范(或指南)中關于結構扭轉效應與抗扭設計的相關規定;按照新建築抗震設計規范和混凝土結構設計規范( gb50010 2002 ) ,設計了設防烈度分別為8度和9度的兩個多層鋼筋混凝土不規空間框架結構,利用纖維樑柱單元的三維非線性動力分析程序,根據新抗震設計規范的要求,在設防地震作用和罕遇地震作用水適當的地震波作為輸入,對結構進行了雙向地震作用下的三維非線性動力反應分析。
  18. With the input of a great number of data and survey information, the mcgdm system adjusted the criteria, comparative importance and weight while taking into consideration of various qualities and quantities such as shipping cost, investment scale, construction condition and development potentials, etc. the comments and recommendations on the options were resulted and a quantitative comparison became possible. it not only analyzed the cost of each option but also optimized the local container transportation network by comparing the shipping cost of each option, with the help of transportation network optimizing model and other techniques

    本文還運用了多群決策分析方法,以大量數據信息採集和多個專家意問卷調查為基礎,對各個基本和評價指標相對重要程度、權值進行了綜合處理,同時有機的融合了包括運輸費用、投資規規、建港條件、發展前景等各種定量和定性分析的指標,提出了布局方案的推薦意見,為規劃方案比較提供了量化比依據,為大集裝箱港口規劃探索了一種更有效的方法和更科學的規劃工作式。
  19. In case of high input dimension system model, taking norm of input vector as the input of wavelet network instead of using tensor product method to construct wavelet network, which could solve the problems of high computation and curse of dimensionality. in the selecting of specific wavelet basis, this thesis first gets initial wavelet basis collection according to spectrum analysis, then gives the least squares regression algorithm to optimize wavelet basis collection based on the least estimation error criteria, which could also initialize the model parameters and increase the speed of convergence

    對于具體的小波基函數,本文首先對樣本數據進行時頻域分析,根據小波基函數時頻空間覆蓋樣本時頻空間的原,在小波框架中所用的函數集,然後根據估計誤差最小,給出最小二乘回歸優演算法以進一步優化小波基函數集。
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