離差度 的英文怎麼說

中文拼音 [chā]
離差度 英文
dispersion
  • : Ⅰ動詞1 (離開) leave; part from; be away from; separate 2 (背離) go against 3 (缺少) dispens...
  • : 差Ⅰ名詞1 (不相同; 不相合) difference; dissimilarity 2 (差錯) mistake 3 [數學] (差數) differ...
  • : 度動詞[書面語] (推測; 估計) surmise; estimate
  1. Method of deal with data error by subsection curve fitting and discrete degree

    分段曲線擬合與加權的數據誤處理方法
  2. 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,最小方法,聚類分析法, cook - seiford距法, c _ b測法,最大最小期望值法,一致性非一致性指標法等)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測
  3. Previous researchers have always determined the sp atial distribution patterns ( sdp ) of castanopsis kawakamii with a sample - dis tance method. however, the distribution patterns may be affected by the quadrat si ze and, in the course of analysis, the density differences among the cluster plots are not considered ; therefore, differences of cluster plot size and the dispersi on degree among individuals of cluster plots can not be known. authers of this pa per have determined the spatial distribution patterns of castanopsis kawakamii population in different habitats by means of non - quadrat distance method and a nalysed the pattern intensity and grain of the sdp. the pattern intensity is defi ned with the relative density differences and the pattern grain can embody the d ispersion degree of the individuals in the plots, and the dispersion degree among the plots. the determined results are as follows. the intensities of the species range in order from strong to week : litsea mollifolia p. kawakamii i. purpure a r. cochinchinensis c. kawakamii c. carlessii d. oldphamii s. superba. the gra ins of the species queue in order from coarse to close : s. superba = litsea mollif olia r. cohinchinensis c. kawakamii = i. purpurea c. carlessii p. racemosam d. oldp hamii. these determined results tally basiclly with the results authers of this paper have got in determining the same plots by means of aggregate index access ing method. in view of this, it is held that the sdp of c. kawakamii is closely related to the habitats and biological features

    前人都是採用樣方方法對格氏栲種群數量的空間格局進行測定,而格局分佈有可能受樣方大小的影響,且分析過程中沒有涉及聚塊間密的問題,因而無法掌握種群的聚塊大小別及聚塊內個體間的散程.本研究採用無樣方距法,測定不同生境的格氏栲種群空間格局,分析格氏栲種群格局的強和紋理.強以聚塊和間隙的密來定義,紋理則是體現聚塊內個體間的散程與諸聚塊間的分.測定結果表明,格氏栲種群格局強從高到低排列次序為:木姜子蚊母樹冬青茜草樹格氏栲米櫧虎皮楠木荷;格局紋理從粗到細的順序是:木荷=木姜子茜草樹格氏栲=冬青米櫧蚊母樹虎皮楠.這一測定結果與作者採用聚集指標測定相同樣地格氏栲種群空間格局的結果基本相符.因此,格氏栲空間格局類型及分佈與格氏栲生物學特性及生境的關系密切
  4. 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

    在理論分析時,作者嘗試放鬆指數水平滿足隨機遊走過程的假設,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假設,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、標準半方、平均絕對和風險價值等風險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。
  5. On the one hand, the author discusses markowitz ' s mean - variance portfolio selection model, single - index portfolio selection model, and simplified model of optimal portfolio selection. at the same time, based on the rules of optimal portfolio selection and other risk - metric indices, the author also discusses mean - absolute deviation model, mean - semivariance model and mean - value at risk model. on the other hand, the author discusses the asset pricing model, including the capital asset pricing model ( capm ), the multi - factor asset pricing model, and the arbitrage pricing model ( apt )

    一方面,作者討論了馬科維茲的均值-方資產組合選擇模型、單指數資產組合選擇模型、最優資產組合選擇的簡化模型,同時根據最優資產組合選擇原則和其他風險量指標,討論了均值-絕對、均值-半方和均值-風險價值資產組合選擇模型;另一方面,作者討論了資產定價模型,包括多因素資產定價模型和套利定價模型,特別是在四種因素變量的基礎上,探討多因素資產定價模型。
  6. In these methods, relativity degree solution is the method in which an ideal solution is established, the relativity degrees of evaluated solutions and the ideal solution are compared and orders are marshaled at last. affiliation degree solution is the solution in which ideal solution and ill - ideal solution are established, affiliate degrees between evaluated solutions and ideal solution are resolved by establishing a goal function and then orders of all solutions are marshaled according to measurements of affiliation degrees. gross profit solution is the solution in which both ideal solution and ill - ideal solution are considered, the differences between evaluated solutions and them a re measured according to n - dimension euclidean distance, and then gross profits are calculated

    其中關聯法是首先確立一個理想方案,然後比較待評估方案與理想方案的關聯,最後根據其大小對各待評估方案進行排序;優屬法是首先確立理想方案和負理想方案,然後把各待評方案與理想方案和負理想方案的優屬為權建立一個目標函數,進而求出各待評方案與理想方案的優屬,最後根據優屬的大小對各方案進行排序;總效用法的思想是同武漢理工大學碩士學位論文時考慮理想解與負理想解二者作為參照基準,並採用n維歐幾里德距量任意可行解(被評估方案)與理想方案及負理想方案之間的異,然後指導兩個異結合在一起計算被評估方案的總效用,評估的原則是總效用越大越好;嫡本是物理學中的概念,在信息理論中被借用來作為量權重的一種方法,但也可用來評估各方案的優劣,其評估原則是嫡值越大越好。
  7. The polyacrylonitrile have no use to improve the homogeneity of concrete. the homogeneity of concrete have bad effect to compression strength, but the effect to chloride ion coefficient of diffusion is not obvious. for concrete used generality, if it ’ s homogeneity is acceptable ( k 7 % ), the percentage of lost of the compression strength will lower than 10 %

    勻質性對抗壓強的影響較大,對氯子滲透系數的影響不明顯,對於一般用途的混凝土,勻質性良好( k 4 % )時,強損失在5 %以內,勻質性合格( k 7 % )時,強損失在10 %以內;對于深層澆注的混凝土,k 3 %時上下層強異率才能保證在5 %以內。
  8. The paper studies composition of grasshopper community in different habitats, found that differences in family, genus and species and analyzed the causes of those. the author analyzed the following aspects by spss software and the measure of euclidean distance : ( 1 ) analyzed the relationship between grasshopper species and geographical distribution and divided 9 forestry belt into 3 main habitat model : low mountain conifer and broadleaf integrated forestry belt ; low mountain chanbai conifer forestry belt and middle - high conifer - betula ermam / - tundra belt ; adopted sum of deviation of square to clustered ecological species groups, and thus divided 48 grasshopper species into 3 main category, 12 ecological species groups

    在長白山地區蝗蟲生態分佈特點的研究中,主要應用spss軟體包、採用euclideandistance測法對以下兩方面內容進行了分析: ( 1 )對長白山地區蝗蟲地理分佈關系進行了分析,將長白山9個林帶劃分為三大生境型:低山針闊葉混交林帶、低山長白松林帶和中高山針葉?岳樺?苔原復合體; ( 2 )利用平方和法對生態種組進行等級聚類,結合實地調查結果,將48種蝗蟲劃分為三大類12個生態種組。
  9. Once in the column, compounds in the test mixture are separated by virtue of differences in their capacity factors, which in turn depend upon vapor pressure and degree of interaction with the stationary phase

    當樣品進入色譜柱后,混合試樣中各組分由於容量因子的異會被彼此分開,分取決于各組分蒸汽壓和組分與固定相之間的相互作用。
  10. Tail length dispersion

    標準尾巴長
  11. When the covariance matrix formed by securities yields is non - oppositive definite, we provide the model with transaction costs, which risk is variance matrix risk. when the covariance matrix formed by securities yields is not exist, the risk we use is absolute deviation risk and semi - absolute deviation, which is differ with traditional risk such as variance matrix risk or semi - variance matrix risk

    在證券收益率協方陣不一定存在時,給出了不同於以往以證券收益率間的方或是半方為風險量指標而是以絕對為風險指標和以半絕對為風險指標的含有交易費用的證券組合投資模型。
  12. Since 1952 the markowitz ’ s mean - variance portfolio theory inception, sur - rounding this issue which how to measure risks, it has generated a lot of risk mea - surement methods and bring a lot of portfolio models, such as mean - semivariancemethods, mean - downside risk methods, mean - absolute deviation methods, mean - absolute semideviation methods, mean - absolute downside risk, and soon. 1999, duarte proposed a portfolio optimization uniform model that unifiedthe six methodologies mentioned above

    自從1952年markowitz的均值-方投資組合理論問世以來,圍繞著如何對風險進行量這一問題先後產生了許多的風險量方法,帶來了很多的投資組合模型,如均值-半方法、均值-下滑風險方法、均值-絕對方法、均值-絕對半方法、均值-絕對下滑風險方法等等。
  13. The second error stems from the uncertain distance of galaxies

    第二個誤,也是最重要的一個誤,就是距的不確定。
  14. Both absolute difference and relative difference among per capita gdps of 14 cities ( prefectures ) increased year by year since 1990 - the absolute difference increased linearly - - and this increased tendency would n ' t change in short period. by counting the discrete and ratio between per capita gdp of every city ( prefectures ) and that of the total province, the relative development speed of every region and the industrial structure of every region, i think that the characteristic of the spatial structure of regional economic difference in hunan is that the area along the beijing - guangzhou railway line in the east of hunan developed fast, while the vast area in the west of hunan developed slowly, so the regional difference increased constantly. on the difference background between the east and the west of hunan, there is the difference between central region and fringe region, for one thing it shows ring difference, namely chang - zhu - tan internal ring, surrounding chang - zhu - tan medium ring, the outermost external ring, the most underdeveloped counties lie on the fringe and mountain regions in the west, south and east of hunan, for another it displays that the peripheral regions of 13 prefectural cities are more developed than the other

    文章還建立了反映基礎設施水平、經濟發展水平、社會發展水平的23個主要指標構成的湖南省區域異衡量指標體系,在此基礎上,藉助spss統計分析軟體,運用主成分分析法,對湖南省14個市州經濟發展綜合水平的異狀況進行了研究,結果表明:長沙市的經濟發展綜合水平在14個市州中遙遙領先,反映了湖南省經濟發展空間結構的「單極主導」特徵;通過計算人均gdp的標準和標準系數,研究區域經濟異的總體水平及區域經濟不平衡發展的演變趨勢,發現90年代以來湖南省各市州人均gdp的絕對異和相對異都在逐年擴大,其中絕對異隨年份直線上升,且這種異擴大的趨勢在短期內難以改變;通過計算各市州人均gdp與全省人均gdp的和比率、各市州發展速異及產業結構的異,認為湖南省區域經濟異的空間特徵是:湘東京廣沿線地區基礎較好,發展較快,湘西地區發展緩慢,地區異不斷擴大;通過以縣為對象的異研究發現在湘東湘西異的大背景上還有核心區與邊緣區的異,它一方面表現為長株潭內層、圍繞長株潭的中層、更遠的外層的圈層異特徵,最落後的縣分佈於湘西、湘南、湘
  15. By means of measuring the difference in physical characteristic of rock body we could predict the geological condition that the gas power composes in, by means of measuring the position in three dimensional space we could determines the security thickness of the rock body with which the mining is protected, and so on

    通過測量巖體物性異預測瓦斯動力賦存的地質條件,通過測定物性異體的三維空間位置可確定采礦作業的安全巖體隔,等等。
  16. The warm - up device can reduce the temperature difference between the cloth and the molten film, so it improve the intensity of antis tripping, reduce the gaffer of the film

    預熱裝置縮小了材料和熔融薄膜的溫,保證了塗覆后抗剝高,減輕塗覆后的皺褶。
  17. This dissertation handles the driving information model as the origin, leads into the concept of driving expectation speed and road supply speed, define the concept ? ffset between transferring rate of driving expectation speed and road supply speed ? as the key index of road safety level

    本文以駕車人的信息處理模型為切入點,探討了駕駛行為中的信息負荷量指標,引入了駕駛期望車速與道路供給車速的概念,繼而推導並確立了「駕駛期望車速與道路供給車速的轉換頻」作為衡量道路安全水平的核心指標。
  18. We make comparative analysis of technical efficiency, pure technical efficiency and scale efficiency while choosing the year1997and 2000 as the model samples. and we also study the degree of the efficiency departure between banks through variance analysis while comparison of the efficiency is made between state - owned commercial banks and the newly founded banks chronologically

    橫向上重點選取1997年和2000年為典型樣本點對各銀行的技術效率、純技術效率和規模效率進行了比較分析;縱向上按時間順序比較了國有銀行和新興銀行的效率,並通過方分析研究了銀行間的效率偏
  19. Measure of dispersion

    的量
  20. The method first realizes detection and classification of moving targets with different ambiguous velocities via mtd in order to simplify the spectrum of beat signal, and then eliminates moving targets " range - velocity coupling with frequency domain pairing

    該方法首先通過mtd實現對不同模糊速目標的檢測和分類,簡化拍信號頻譜環境,然後利用頻域配對法實現動目標的距去耦。
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