線性回歸指標 的英文怎麼說

中文拼音 [xiànxìnghuíguīzhǐbiāo]
線性回歸指標 英文
linear regression indicator
  • : 名詞1 (用絲、棉、金屬等製成的細長的東西) thread; string; wire 2 [數學] (一個點任意移動所構成的...
  • : Ⅰ名詞1 (性格) nature; character; disposition 2 (性能; 性質) property; quality 3 (性別) sex ...
  • : 回構詞成分。
  • : Ⅰ動詞1 (返回) return; go back to 2 (還給; 歸還) return sth to; give back to 3 (趨向或集中於...
  • : 指構詞成分。
  • : Ⅰ名詞1 [書面語] (樹梢) treetop; the tip of a tree2 (枝節或表面) symptom; outside appearance; ...
  • 線性 : [數學] [物理學] linear; linearity線性代數 linear algebra; 線性方程 linear equation; 線性規劃 line...
  • 指標 : target; quota; norm; index; merit; subscript; index arm; indicatrix
  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,通過文獻資料法對相關文獻進行顧和總結分析,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、互補和匹配關系,對這一關系中的概念和變量進行操作化定義,設計出三者對應的體系的調查問卷,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,運用相關分析和多元分析等方法,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關系的數學模型,證明企業技術、組織結構、供應鏈和企業績效存在一定的相關,企業技術、組織結構和供應鏈三者之間的匹配關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相互匹配的時候,企業整體運做的效率和效果將最好。
  2. Considering that the enterprise cannot research the " customer - enterprise " value deeply, on the basis of that, the paper puts forward evaluating system of customer value in the enterprise according to value contribution, applies ahp to analyze weight of the indexes in consultation with marketing management and selling personnel of the enterprise and relevant experts and then exert clustering analysis and sas software to classify the customers according to the current value and potential value, provide the strategies of the customer classification management. in addition, any resource is exiguity, including economical resource. this paper defines economical resource, puts forward the model of optimum distributing resource and utilizes the method of linear regress equation to get result, which to grope for a new method about calculating marketing expenditure

    本文首先界定了客戶和客戶價值的含義,同時闡述了關系營銷中客戶價值的理論以及客戶價值的影響因素,針對目前「客戶?企業」價值的研究還不成熟的研究現狀,以及現實中還沒有定量分析客戶價值大小的方法,本文提出了一套具有可操作的客戶價值評價的體系,對客戶可以進行比較全面的、多角度的評價,同時採用ahp法對這個評價體系中的各因子賦以合理的權重,然後運用聚類分析法和sas統計軟體對客戶群進行了科學地細分,在此基礎上幫助企業制定出不同細分客戶群組的營銷策略;除此之外,考慮到目前企業對于營銷資源的合理分配問題還沒有進行過深入地討論,本著企業經營的根本目的是盈利的原則,論文結合經濟學原理以及計量經濟學中的多元分析提出了實現利潤最大化的營銷資源配置的優化模型,旨在探索一種銷售費用最優配置的方法。
  3. This article is divided into four parts : part one emphasizes the common theory that corporate governance structure figures out the agent problems caused by the separation of ownership and control power, and sets forth correlative research done by domestic and foreign scholars from the relationship between centralization degree of ownership and performance, the relationship between incentive of senior managers and performance, and the relationship between board and performance. and puts forward some deficiencies in domestic research, for example, the select of performance is bald ; most research methods are cross section analysis, there is little research basing on both time serial and cross section datum ; and there is little research have the inside and outside corporate governance factors in the selection of corporate governance structure indexes

    描述分析介紹了我國上市公司治理結構的現狀;通過公司治理變量的組合,採用主元分析法來構造反映公司治理水平的z ,並由此z經營績效得出公司經營績效與公司治理的整體效果有相同方向變化的結論;變量之間的相關關系揭示了這些變量之間關系的合理信息;面板數據結果顯示:第一大股東持股比例、國有控股虛擬變量與經營績效負相關;第二至第十大股東股權集中度、董事會持股比例和總經理持股比例與經營績效正相關。
  4. On this basis, adopt the plural linear regression method, regard peasant ' s per capita income as the dependent variable, per capita agricultural land area, unit agricultural land area chemical fertilizer use amount, agriculture total value account for gdp proportion and land degradation the index data ( land degradation fictitious variable, land degradation percentage and land degradation the array variable of the degree ) as the independent variable

    在此基礎上,採用多元方法,以農民人均收入為因變量,人均農業用地面積、單位農業用地面積化肥使用量、第一產業總值佔gdp比例和土地退化(土地退化與否的虛擬變量、土地退化百分比和土地退化程度的序列變量)為自變量來分析。
  5. One is to study the relationship between the share - holding structures of senior supervisor, stock structure etc, and the finance performance of the corporate ; the other is to study the relationship between correlative factors of the corporate governance. in this article, based on the analysis of the relationship between corporate governance and financing performance, the author divide performance into two aspects : roe and tobin ' s q ratio, tries to establish the correlation and regression analysis mathematics model of corporate value and developing ability of the corporate, using statistical software spss10. 0, carry through the correlation and regression analysis, then analyzes the model to study the relationship between corporate governance, corporate value and developing ability of the corporate. this is a beneficial experiment to the research of the relationship between corporate governance and performance

    本文試圖在分析公司治理結構各方面與公司經營財務業績相關關系的基礎上,將公司績效分解為凈資產收益率代表的公司價值和托賓q值代表的公司價值成長能力兩個,分別建立公司價值與公司治理結構各影響因素以及公司價值成長能力與公司治理結構各影響因素關系的多元數學模型,利用spss10 . 0統計軟體,對之進行多元分析,考察它們之間的相關系數,並通過擬和出的方程考察公司短期與長期發展能力與公司治理結構的關系,是對公司治理結構與公司績效關系進行研究的一次有益嘗試。
  6. On the basis of that, according to basic theory of spherical symmetry grin optics and the rigorous computation of light tracking, its effect on retro - reflection was estimated. finally, by optimized computation the best technical parameters were obtained and the direction of improve its retro - reflection effect was determined

    在此基礎上,根據球對稱梯度折射率光學的基本理論和光追跡的嚴格計算,估算了用其製作反射材料能夠達到的,並通過優化計算尋找到最佳技術參數,為提高反射材料的明了方向。
  7. The dissertation is divided into six chapters. chapter 1, summary, which explain the importance of the topic and suggest the system, method, and main contents of this dissertation. chapter 2 : the research of the theory of national debt and the practice of the debts issuing in china, in this part, we sum up the theory of national debts and the method of researching moderate scale in china and other countries. chapter 3 : the analysis of burden of national debts in china, which analyze the debts " burden by the rate of debts " burden and the rate of repayment of debts and the degree dependence of debts and so on. chapter 4 : influence factor study of the reasonable limit of national debts " quantity, in this chapter we get the factors that mostly affect the scale. using the actual datum and modern econometric and statistical analysis method, we conclude that the repayment of capital and interest and the finance deficit are the most important factors

    第二章國債理論研究進展和我國的國債實踐,綜述國內外國債理論研究的進展和我國國債發行的實踐以及國債適度規模的研究方法。第三章我國國債債務負擔分析,主要從政府償債能力和社會應債能力兩方面,選取了債務依存度、國債負擔率和國債償債率等,通過橫縱對比,對我國國債債務負擔進行了分析。第四章債務負擔合理數量界限的影響因素分析,選取了九個與國債密切相關的,通過多重共診斷、最佳模型的選擇分析,最後選定國債還本付息額和財政赤字兩個與國債規模最密切的
  8. Then we let the synthetically grading method marry to linear regression in moments of empirical analysis in order to get rid of the limitations of short term phenomenon caused by single ratio to research the efficiency of corporate governance, and we also research the effects of the share centrality on the corporate structure

    在前述分析的基礎上,為避免單一效率以及治理效率考察的短期效應的不足,本文在實證中把綜合評分法和分析結合起來,探求股權集中適度對治理效率的影響。
  9. ( 4 ) the applications of bp neural network prediction gm ( 1, 1 ) prediction of new information with the same dimension non - linear exponential regression prediction in regional social - economic indexes are discussed in this paper

    ( 4 )探討了bp神經網路預測、灰色gm ( 1 , 1 )等維新息模型預測和非預測等方法在區域社會經濟預測中的應用。
  10. The multiple regression between every strain index and the three - factor were analyzed. it showed that buffer capacity and salinity were dominant factors for all the strain indexes ; ph was obviously less important factor and even can be neglected in some cases

    用此三因素與諸項脅變間進行三元分析,結果表明緩沖量和鹽度是不可缺少的決定主導因素, ph作用次之,有時甚至可以忽略。
  11. Through the excel program, and combining the inside and outside environment of the excavation and stress field and displace field, the data of stress and displacement of points are analyzed in variable depth and load grade and terminal state. the spss software has been applied to the statistics of geometry parameter of failure surface, and the failure surface criterion is created by the linearity regression from d ( the longest horizontal distance between the failure surface and the side face of the slope ), ho ( the depth

    此外,應用spss軟體對試驗破壞滑弧的幾何參數進行統計分析,並對滑弧的最大水平深入距離d及d處至坑底的高度h _ 0結合各水理進行多元,建立滑面的判據,並對此判據進行修正,且用實際工程對其進行評價,通過反算已知滑面的c 、值,表明邊界條件對破壞形式有極大的干擾作用,所直接看到的破壞類型土體不是發生整體滑移破壞,而是剝落式的潰屈破壞。
  12. Abstract : the generalized shrunken prediction of finite population is introduced, using generalized shrunken least squares estimator of linear regression models. with respect to prediction mean squared error, a necessary and sufficient condition for superiority of a generalized shrunken prediction over the best linear unbiased prediction is obtained. in the case of linear combination of every unit index, a linear restricting prediction is introduced and then a necessary and sufficient condition for superiority of linear restricting prediction over the best linear unbiased prediction is devived

    文摘:利用模型的廣義壓縮最小二乘估計,引入了有限總體的廣義壓縮型預測,在預測均方誤差意義下,得到了廣義壓縮型預測優于最佳無偏預測的一個充分必要條件;在只能得到每個個體組合時,引入了一種約束型預測,並得到了約束型預測優于最佳無偏預測的一個充分必要條件
  13. We select correspondingly some specific indices after considering the automobile industrial characteristics, and then use the multiple regression method. the result shows the factors that affect the automobile industrial dividend policy, according to the influence degree, are the company ' s profitability, the circulation stock proportion, the company size, the turnover rate of total asset, but the asset liability ratio and so on are independent of it

    實證分析時主要應用多元分析法,在結合了汽車製造業的行業特徵,並相應地選取一些特定后,得出了汽車製造業上市公司股利政策影響因素模型,其按影響程度大小依次為公司的盈利能力、流通股比例、公司規模、總資產周轉率,而與資產負債率等無關。
  14. The author found there are no significant differences in morphology construction of the same kind of male grasshopper on different vertical belt, but the 4 measured morphology indexes have more notable difference in the same kind female grasshopper through multiple analysis of variance. the author made further analysis of the figures of morphology construction under the influence of different environmental factors by multiple regression, and selected the factors, which have principle functions

    作者通過多元方差分析,發現北坡不同垂直帶內同種蝗蟲雄的形態結構不具有顯著的差異,而所測量的4種形態在同種雌上表現為極顯著的差異;並利用多元的方法對不同環境因子對蝗蟲形態結構的影響力進行了進一步的分析,篩選出了起主要作用的環境因子。
  15. Thirdly, the short - term and long - term financial early - warning system is established based on the financial statements of marketing corporation in electric power, medicine and general merchandise. systematic method, efficiency coefficient method and linear regression method are applied in the short - term financial early - warning system from the aspect of cash flow, operating performance and function model ; growth periods method and management grade method are applied in the long - term financial earl y - warning system from the aspect of growing capability and financial stratagem. finally, lots of examples are given to validate these early - warning models, and some countermeasures are discussed for avoiding and eliminating the distress of enterprise

    首先,介紹了企業財務預警的概念、功能和國內外的研究現狀;其次,闡明了企業財務預警的原理、程序和方法;再次,它以電力、醫藥和百貨行業的上市公司報表為資料,按照選取、準判斷、警限設置和警度預報的步驟,從企業的現金流量、財務業績和函數模型三方面,分別運用系統化方法、功效系數法和法構建了企業短期財務預警系統,從企業的成長能力和財務戰略兩方面,分別運用周期波動法和管理評分法構建了企業長期財務預警系統;最後,舉了大量實例對構建的各個預警模型進行考證,並從財務角度探討了企業的防警和排警對策。
  16. First with section analysis and single variable, this essay analyzes the difference of twenty - one financial indexes between st and no st stock companies in five years basic financial data. at last, three financial crisis prediction modes are set up with six financial indexes which are the most important financial indexes in linear probability model, fisher linear analysis model and logistic analysis model

    首先應用剖面分析和單變量判定分析,研究財務危機出現前5年內各年這二類公司21個財務的差異;最後選定6個財務為預警,應用lpm多元分析、 fisher判定分析和logistic分析三種方法,分別建立三種預測財務危機的模型。
  17. Then, the default ratios of 45 st - companies are computed and 37 potential financial index are selected referred by researches on financial distress at home and abroad. finally, the equation of default ratio is produced by stepwise regression, and three of the basic problems in linear regression are considered well, that is case - wise diagnostics and auto - correlated errors, as well as collinear relationship and teteroskedastisity

    隨后,利用該期權定價理論違約率模型計算出45家st公司的違約率,結合國內外有關財務預警研究成果,收集37個相關財務,運用逐步法,通過剔除異常值、處理自相關、診斷共、檢驗異方差,建立有效方程。
  18. Based on theory analysis and lots of experiment data, converting relation of symmetrical elongation and breaking elongation of testing steel bars have been tropical and the reference to consolidating ductility is provided. at last, in this paper consolidating steel bar ' s ductility by comparing to stress - strain curves of steel bars and is assessed

    在理論分析基礎上結合大量試驗數據,出各類試驗鋼筋均勻伸長率_ ( gt )與斷后伸長率_ 5 ( _ ( 10 ) 、 _ ( 100 ) )的折算關系,為統一延評定提供參考,進一步比較鋼筋應力?應變曲和_ ( gt )值,最終統一評定我國混凝土結構用鋼筋(絲)的延能。
  19. So, in order to analyze eva suitability in our country, text make the real example test about eva variable, accounting variable and enterprise ' s value, using the technique of plural linear regression

    因此,在第三章,為了探討eva在我國的適用,本文根據經濟增加值模型,運用多元方程,對經濟增加值、會計與我國企業價值相關進行了實證分析,實證結果表明eva是適合我國企業採用的。
  20. Furthermore, through the analysis of the actuality and characteristic of energy consumption in electric power plants, energy consumption indexes of energy saving management in electric power plants is induced with nonlinear recursive mathematical method, and inverse exponent nonlinear recursive forecast model, a forecast model of energy saving target of electric power plants, is set up

    本文從能源危機入手,闡述了節能降耗對世界經濟持續發展的重要,通過對電廠能源消耗現狀和特點的分析,利用非的數學方法對電廠節能管理的能耗進行納,建立了電廠節能目的預測模型即倒數非預測模型。
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