測度標 的英文怎麼說

中文拼音 [biāo]
測度標 英文
calendar scale
  • : 動詞1. (測量) survey; fathom; measure 2. (測度; 推測) conjecture; infer
  • : 度動詞[書面語] (推測; 估計) surmise; estimate
  • : Ⅰ名詞1 [書面語] (樹梢) treetop; the tip of a tree2 (枝節或表面) symptom; outside appearance; ...
  1. Based on buoyance and force of gravity principle, the practical and economical test measure of overflowing water has been made

    摘要依據浮力和重力的原理,製作了實用經濟的池外尺,提高了讀數的精確
  2. This is the fifth part of “ a guide to the measurement of mammal skull ”. in this paper we introuced the special measurements for insectivora and chiroptera

    本文為《獸類頭骨準》第五部分,在第一部分基本量的基礎上著重介紹了食蟲目和翼手目各類群特有的量量方法。
  3. And then, some common methods of gdm, such as the ahp method, the weighted geometric mean method ( wgmm ), the borda - kendall method, the minimum variance ( mv ) method, the clustering analytic method, the cook - seiford distance measure, cb measure, the maximum and the minimum expected values, the concordance and discordance indices, etc., are used to discuss some consensus problems of gdm, including the consistency of the complex judgment matrix in ahp, the consensus methods of the aggregation of individual preferences ; the aggregation of analytic hierarchy process methods based on similarities in decision makers " preferences, a consensus measure on multiple criteria group decision making

    接著本文採用了群體決策中常用的一些方法(如: ahp法,加權幾何平均法, borda - kendall方法,最小方差法,聚類分析法, cook - seiford距離法, c _ b法,最大最小期望值法,一致性非一致性指法等)對群體決策中的幾個一致性問題進行了研究,這些問題包括: ahp中復合判斷矩陣的一致性,個體偏好序集結的一致化方法,基於決策者偏好相似性的層次分析模型的集結中的一致性問題和多準則群體決策的一致性
  4. During the calibration, a regress - analyse method is used to get the weight of the different channel based on equational coefficient, the weight represents the sensitivity of each channel

    為了提高量的可靠性和精確性,對9通道數據同時採集,在定時採用回歸分析方法,根據靈敏得到不同通道的權值。
  5. In the research, a set of simulation equipment is developed to examine the drivers " static and dynamic fatigue. recur to the apparatus, contrast and control experiment are made among different ages, workload intension and workload factors group. the endings summarize as following : ( 1 ) driving sensation fatigue investigation ( investigation of psychological and physiologic index and contrast investigation of fatigue ) ; continuous driving load and discrete driving load investigation of fatigue

    ? ?門)駕駛疲勞平衡穩定性是通過在力檢臺上描繪人體重心軌跡的方法,提出檢駕駛員疲勞平衡穩定指數,在不同狀態下(傾斜15 30 『以及閉目等狀態下)對不同負荷、不同年齡分別進行試,建立駕駛疲勞客觀試評價體系; n )經實驗室研究與現場調查,通過對駕駛疲勞與駕駛時間、駕駛速等關系的研究,提出了不同年齡、不同條件下的最大連續安全駕駛時間準,日駕駛時間準,最大安全行車速準等。
  6. Geodetic leveling should be done with staves in which the divisions are marked on a strip of invar.

    大地水準量必須使用刻于不脹鋼片上的水準尺。
  7. Standard test method for measurement of thickness of anodic coatings on aluminum and of other nonconductive coatings on nonmagnetic basis metals with eddy - current instruments

    用渦流儀器量鋁陽極鍍層及其它非磁性基底金屬絕緣鍍層的厚準試驗方法
  8. Ophthalmic optics. visual acuity testing. standard optotype and its presentation

    眼科光學.視覺敏銳驗.準驗光字體及其演示
  9. However, the movement of radar platform aggravates the complexity and difficulty of the target detection

    然而雷達平臺運動的影響,加重了艦載oth雷達中檢的復雜性和難
  10. 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、單因素整體績效評估模型,包括treynor指數、 jensen指數、 sharpe指數和業績的m ~ 2以及t - m 、 h - m模型對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合; ( 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契機,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。
  11. In astronomical coordinates ( reference mark is north latitude 43. 9 ), analyzed is the effect of azimuth angular velocity, acceleration and altitude angular velocity, acceleration etc. some formulae were given to compute all correlative quantities. with regard to the course of data processing beforehand, the thesis focuses on outliers eliminating technology because of outlier increasing acutely of high - elevation tracking ( approaches 10 - 20 % )

    在觀系中推導出確定天頂盲區理論范圍公式和滿足過天項跟蹤條件的關系式;在天文坐系中以長春衛星觀站(北緯43 . 9 )作為計算基準,分別討論了方位、俯仰方向的角速、角加速等對天頂盲區的影響,在理論分析上為解決過天頂跟蹤問題打下了基礎。
  12. En 101 ceramic tiles. determination of scratch hardness of surface according to mohs

    瓷磚.根據mohs硬定表面硬
  13. Aiming at the calibration of traffic radar, this paper analyzed shortcomings of conventional calibration method which be used in radar speed gun calibration regulations ( jjg528 - 2004 ) and put forward two new methods to verify it and developed speed standard instrument

    摘要針對公路交通中雷達速儀的檢定問題,分析了《雷達速儀檢定規程》 ( jjg528 - 2004 )中規定的檢定方法的不足之處,提出了兩種新的雷達速儀檢定方案試數據記錄比對法和試數據實時比對法,並研製了相應的速準裝置(速誤差0 . 5 % ) 。
  14. The appraisal takes the ecology material, the environment material, chemistry material, the toxicology material as the foundation, through the project analysis, the source strong analysis sets a target the pollutant, distinguishes its hazardous nature, the probability, the degree, the scope which the computation risk occurs and so on, the choice appraisal end point, the use appraisal model forecast goal pollutant exposed density, the analysis risk source to the acceptor the harm degree, carries on the risk attribute

    評價以生態資料、環境資料、化學資料、毒理學資料為基礎,通過工程分析、源強分析,確定目污染物,鑒別其危害性,計算風險發生的概率、程、范圍等,選擇評價終點,利用評價模型預污染物的暴露濃,分析風險源對受體的危害程,進行風險表徵。
  15. Standard test method for determining luminance of a membrane switch backlit with diffuse light source

    帶漫射光源的薄膜開關背面照明的亮準試驗方法
  16. The author has finished the following several jobs in core of the centre : 1 ) the active compensation method based on bang - bang control was put forward to realize the wide range current transformer. the method converts the complex statement space to i / o description by the two - stage current transformer. with the compensation method, the accuracy of 0. 2 grade current transformer can be improved to less than the 0. 1 grade standard at 100 % rating when the primary side current is changed from 2 % to 120 % of the rating

    圍繞這一工作核心,作者完成了以下幾項工作: ( 1 )以實現寬量程電流互感器為目,提出了基於bang - bang控制的有源補償方法,採用雙級電流互感器,將復雜的狀態控制分量轉化為偏差控制,該方法結構簡單,調試方便,有源補償器輸出電流小,可以將0 . 2級的電流互感器經過補償后提高到一次電流從額定值的2變化到120時,量誤差不超過一次電流額定值100時準確為0 . 1級的準。
  17. Study on blood level monitoring of csa for liver transplantation patients

    血藥濃探討
  18. Brilliancy test charts for projection lenses

    放映鏡頭用耀
  19. The results were following : ( l ) generally, all four indices showed the similar variation patterns in species diversity ; ( 2 ) generally speaking, the order of species diversity indices changed with the pattern : shrub layer tree layer herb layers ; ( 3 ) the species diversity of evergreen broadleaved forests was larger than that of warm conifer forests ; ( 4 ) the species diversity of forests in meizi lake area has been affected by human factors

    結果表明: ( 1 )梅子湖森林植被樣地物種多樣性的結果,上述4種指總體上表現出相同的變化趨勢。門)總體看來, 14個樣地的物種多樣性指數在群落不同層次的變化規律為:灌木層喬木層草本層。 ( 3 )不同植被類型的物種多樣性特徵是:常綠闊葉林暖性針葉林。
  20. In regards to techniques employed in active asset allocation, the author found that models applied in asset allocation can be divided into the optimal mean - variance model and risk averse asset allocation model, according to their different risk levels, and they can also be divided into linear asset allocation model and non - linear asset allocation model according to whether the asset return follows a normal distribution

    關于積極資產配置的技術,作者研究結論認為,積極資產配置模型按對風險的不同測度標準可區分為,均值方差最優化框架下的資產配置模型和下偏風險厭惡框架下的資產配置模型兩類;按是否假定資產收益服從正態分佈,可區分為線性資產配置模型和非線性資產配置模型。
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