絕對論假設 的英文怎麼說

中文拼音 [juéduìlúnjiǎshè]
絕對論假設 英文
absolutistic hypothesis
  • : Ⅰ動詞(斷絕) cut off; sever Ⅱ形容詞1 (完全沒有了; 窮盡; 凈盡) exhausted; used up; finished 2 ...
  • : Ⅰ動詞1 (回答) answer; reply 2 (對待; 對付) treat; cope with; counter 3 (朝; 向; 面對) be tr...
  • : 論名詞(記錄孔子及其門徒的言行的「論語」) the analects of confucius
  • : 假名詞1. (按照規定不工作或不學習的時間; 假期) holiday; vacation 2. (經過批準暫時不工作或不學習的時間; 休假) leave of absence; furlough
  • : Ⅰ動詞1 (設立; 布置) set up; establish; found 2 (籌劃) work out : 設計陷害 plot a frame up; fr...
  • 絕對 : absolute
  1. 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

    在理分析時,作者嘗試放鬆指數水平滿足隨機遊走過程的,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,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。
  2. The behavioral finance assumes that investors are partly rational, not absolutely rational. it combines human psychology and behavior into the framework of financial theory, which make it possible to eliminate the gap between financial theory and reality

    行為金融學投資者只具有部分理性,而非理性,將人類心理與行為納入金融的研究框架,使得金融理與實際之間的溝壑有了彌合的可能。
  3. With the standardization of china financial market, there are more and more researchers applying modern financial theory into china financial market the conventional financial theory is based on the assumption that investors are absolutely rational, which is challenged in the current ever - changing market situation

    隨著我國證券市場的逐漸規范化,應用現代金融理國內市場的研究也逐漸增多。傳統的金融學理投資者是理性的,這個前提在市場不斷的發展中遇到了無法解釋的現象, 20世紀60年代行為金融學在這種情況下興起。
  4. The stock market in our country is influenced greatly by policy ; individual investors are in a great proportion in this market ; the exchange rate and p / e of stocks are comparatively much higher ; information asymmetry is also very serious. for the reasons mentioned above, the modern finance theory which is based on emh is not a appropriate tool to analyze this market

    於我國這樣一個素有「政策市」之稱,投資者中個人投資者占大多數比重,有著較高換手率和市盈率,且信息嚴重不稱的新興股票市場,用基於投資者完全理性和有效市場的主流金融理去研究並不是很合適。
  5. The demonstration of heat - transfer measuring techniques and prospect of infrared thermal mapping techniques, main parts and performance indexes of a infrared camera, functional blocks and implementation of infrared processing software, experimental facility and measuring system of the wind tunnel has been made. the model emittance was experimentally determined and the three methods correcting directional emittance were compared. those problems of the infinite - slab model thickness and constant wall heat rates hypothesis, the determination of adiabatic wall temperature were discussed in a 1 - d heat conduction analysis

    本文紅外熱圖測熱技術與應用前景、紅外熱像儀主要部件與性能指標、紅外測熱數據處理軟體功能模塊與實現、風洞試驗備與測量系統等進行了述,測量了模型表面發射率並發射率隨極角變化的三種修正方法進行了比,一維熱傳導分析中模型壁厚半無限、壁面熱流定常熱壁溫選取等進行了探討。
  6. Furthermore, this paper provides several forms of failure ratio in the operating phase taking the difference between the testing profile and the operating profile into account according to the concepts of the testing reliability and the operating reliability, then analyzes theoretically the difference between the testing reliability and the operating reliability based on the changing trends that the failure of decreasing and first increasing and the decreasing of the failure ratio, and makes a research on the influence of the two types of reliability on the software releasing time

    在此基礎上給出了考慮測試剖面與運行剖面差別的幾種運行階段失效率的形式,然後根據失效率遞減的和先增后減的變化趨勢,從理上分析了測試可靠性與運行可靠性的差別,研究這兩種可靠度軟體發布時間的影響。大多數軟體可靠性增長模型都軟體故障服從同一種分佈。
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