預期偏差 的英文怎麼說

中文拼音 [piānchā]
預期偏差 英文
expectation bias
  • : Ⅰ副詞(預先; 事先) in advance; beforehand Ⅱ動詞(參與) take part in
  • : 期名詞[書面語]1. (一周年) a full year; anniversary 2. (一整月) a full month
  • : Ⅰ形容詞1 (不正; 歪斜) inclined to one side; slanting; leaning 2 (只側重一面) partial; prejudi...
  • : 差Ⅰ名詞1 (不相同; 不相合) difference; dissimilarity 2 (差錯) mistake 3 [數學] (差數) differ...
  • 預期 : expect; anticipate
  1. The departures of an actual image from the prediction of simple theory are called aberrations.

    實際的象與簡單理論所的象的,叫做象
  2. The results show that the genetic diversity of filial generations is higher than self - bred progeny ’ s , the hybrid vigor has manifested at metabolization level 。 the proportion of polymorphic loci ( p. 99 ) in f1 generations was 30. 77 - 36. 36 % , the mean observed heterozygosity ( ho ) of jmcf ( japanese male chinese female ) was the highest with 0. 1727, the rest populations were : jfcm ( japanese female chinese male ) 0. 1536 、 cp 0. 1273 and jp 0. 1055 , the mean effective number of allels per locus in f1 generations : cp ’ s was the highest with 1. 7318 , jp ’ s was the lowest with 1. 6718 , the filial generations ’ values were in the midle of the cp ’ s and jp ’ s and between them there was no brightly difference, with 1. 6955 ( jfp ) and 1. 6927 ( jmp )

    各組的平均雜合度值也表現出該趨勢,即:日自交組最低,為0 . 1786 ,日雄中雌雜交組的平均雜合度最高,為0 . 1964 ,日雌中雄雜交組和中自交組分別是0 . 1891和0 . 1865 。 hardy - weinberg平衡下遺傳離指數也是雜交組的小於自交組的,平均每個位點的等位基因有效數目中自交組最高為1 . 7318 ,日自交組最低為1 . 6718 ,兩雜交組群體的這一指數相不多,分別是1 . 6955和1 . 6927 ,位於兩親本的中間水平。
  3. According to the ink color evaluation of the water - soluble ink color performance analysis, timely in the production of films for separation of trichromatic color ink deviation compensation adjustment so that indian goods to achieve the desired color and density, the higher the quality of printing

    根據油墨顏色的評價指標對水性油墨的呈色性能進行分析,及時的在製作分色片時對三原色油墨的顏色進行補償調節,從而使印品達到的色調及密度,得到較高的印刷質量。
  4. Because rural real situation and farming tool needs were not thoroughly investigated and clearly understood, farming tool design and manufacturing ability were low, the related management and service were backward, many recommended new - type farming tools were bad in quality, high in price or not suitable for usage in the recommended regions, the new - type farming tools extension and adoption did not fulfill the goal as governments had hoped

    由於對農村的具體情況和農具的實際需求了解不充分,農具設計和製造水平低,新式農具質量較低,價格高,技術傳授和維修服務,經營管理相對落後,新式農具推廣使用未能達到的目標,發揮應有的作用。
  5. The main procedure and steps are following as : according the random characteristic of the time spent by each work procedure, computer simulation is applied to produce the most possible scheduling network. and by corresponding optimization and adjustment on the network, the cost and scheduling construction network can be obtained ; during the practical construction according to the network, the warp between the actual cost and expected scheduling is tracked dynamically. then the computer simulation system is used to predict the future cost and progress operation, and take corresponding precautionary measures to control beforehand

    其主要思想與步驟為:首先運用計算機模擬技術來模擬工序作業時間的隨機特性,產生概率最大的施工網路計劃,並對其進行優化和調整,以獲得滿足工、質量要求的成本及網路計劃;在施工過程中動態跟蹤施工實際成本與進度與目標計劃所發生的以及質量問題,然後根據已出現的,利用計算機模擬技術對項目未實施部分進行進度、成本的測和分析,根據現有信息對網路計劃未完成部分進行調整和優化,以盡可能把各項費用控制在定計劃成本之內或使工程的綜合指標最優。
  6. The essay has also proposed the combined hedging tactics of preventing credit risks and option with option margin and the method of adopting stock option to address the issue of trustee or agent risks. it has constructed its option model relating to rate and exchange risks to manage interest rate risk through the implementation of interest rate guarantee, caps and floors as well as swaption

    綜上,我們認為在經濟學中,風險的定義,是指人們由於對未來行為的訣策及客觀條件下的不確定性,而導致實際結果與結果之間的程度,這種不確定性既可能帶來正面,也可能帶來負面的影響。
  7. 6. since the error in both the meteorological parameters and cooling load prediction is unavoidable, the online correction of prediction and offline optimization results is needed

    無論是氣象參數測,還是冷負荷的測總難免出現,這就需要對短測和離線優化結果進行在線修正。
  8. The main reasons of china ' s low household consumption rate for a long time are that : the too - high rate of investment directly leads to the low final consumption rate and extends to the low household consumption rate ; the overall low level of residents " income obstacles the final consumption expenditure and income - gap influence the consumption ratio ; the instabilities of the income anticipation is becoming stronger and the expenditure anticipation is increasing

    我國居民消費率長低的主要原因有:投資率過高直接導致最終消費率低,從而使居民消費率低;居民整體收入水平不高,收入距過大影響居民消費傾向;收入的不確定性增強,支出的增加,商品的供給結構不合理,消費環境中還存在諸多問題等。
  9. In view of the fact that prediction of creep and shrinkage with current bridge provision for specific concrete under specific ambience sometimes has a big discrepancy with real values, a new method to obtain the expressions of creep and shrinkage from newly - built pc bridges short - term test results is presented, and relative equations have been established. therefore, a reliable long - term prediction on effect due to creep and shrinkage in pc bridges holds a firm bearing point

    研究中發現某一特定環境下工作的混凝土用現有規范公式測得到的徐變、收縮特性常有較大的現象,由此提出了從新建應力混凝土橋梁短試驗結果推算梁體相應素混凝土在工作環境下的徐變、收縮特性的思想和方法,並建立了計算式,為新建應力混凝土橋梁可靠的徐變效應分析提供了前提和保證。
  10. This paper has discussed the driving mechanism of project task based on the workflow technology, summarized the recognition and analysis methods of schedule deviation applied to the aviation products, researched on optimization adjustment strategy of the schedule and duration - forecast technology of the project, and realized the development of prototype system

    探討了基於工作流的項目任務推動機制,論述了適合航空產品特點的進度識別與分析方法,研究了進度優化調整策略和項目工測技術,實現了原型系統的開發。本文主要研究內容包括: 1
  11. In view of it, this model may provide forecasters with valuable results in their short - term climate forecasting work

    雖然該模型對降水量的報還存在量級小的系統性,但它完全有可能為本地區短氣候測提供一種客觀、自動的業務報方法。
  12. Use the quantitative analysis tools to valuate use trend extrapolation to forecast sales revenue, linear regression to forecast the future cash flows, tow ? stage discounting cash flow model to valuate the physical assets of zte co. and black ? scholes option pricing model to valuate its growth opportunity or real option. and from the qualitative perspective analyze the reasons for deviations from the enterprise value

    用趨勢外推法測銷售收入,用線性回歸法測未來現金流量,用兩階段折現現金流量模型評估中興現有資產價值;用布萊克-斯克爾斯權定價模型測在競爭條件下中興的增長機會價值;在結尾處,從定性分析的角度研究產生估價的原因。
  13. 1. this thesis puts forward a new model ? the model of crop ' s water rising and vaporizing regression nerve networks ( nn ). this model adds a deviation cell based on existing bp ( nn ) the effect of the deviation cell is to amend training errors of the nn, to increase convergence speed of the nn, and to reach expectant objective

    本文主要完成了以下幾個方面的內容: 1 、提出了一個新型的模型? ?作物蒸騰蒸發回歸神經網路決策模型,該模型以已有的bp神經網路為基礎,增加了一個單元,該單元的作用是修正網路的訓練誤、提高網路的收斂速度,從而達到的目的。
  14. Some parameters chain may deviate from the expectancy value or average in the supply chain, such as demand, price, cost, and so on, and then there is a variance risk

    供應鏈中的某些參數,如需求、價格、成本等可能離供應鏈的值或者平均值,這就產生了供應鏈方風險。
  15. These uncertain factors may already be the finance inside perfecting the wrong behavior, it may be the change of the environment of external economy too, can make the financial policy and relevant measure take place and expect that the deviations of the result and actual effect are even deviated from in the course of implementing, therefore has produced the financial risk

    這些不確定因素既可能是財政內部的不完善或錯誤行為,也可能是外部經濟環境的改變,可使財政政策和相關措施在實施過程中發生效果與實際效果的甚至背離,由此產生了財政風險。
  16. There are kinds of risk factors in the course of the real estate investment, the final result is the departure if the risk events take place and it is the investor ' s concerned matter in deed. in order to embody the investor ' s concerned matter at the risk measurement, the author introduces semi - variation, the probability of net present value less than zero and the risk loss and uses these indices to measure the risk of real estate investment

    房地產投資過程中風險因素眾多,各類風險事件發生所造成的最終結果是投資的實際收益與收益發生,而投資者真正關心的也正是收益能否實現的問題,因此,本文將房地產投資風險的度量直接體現在投資者關心的問題上,用半方、凈現值小於零的概率、風險損失值等指標來量化投資風險。
  17. It uses the ideas of the receding horizon and the feedback proofread based on the predictive model of the system response to optimize the objective function and gain the optimal control force, which could minimize the difference between the real output and the desired output

    測控制以系統響應的測模型為基礎,利用滾動優化和反饋校正的思想,對目標函數進行優化得到最優控制力,使對象輸出與望值之間的達到最小。
  18. Behavioral finance is composed of two key factors : driven by irrational bias, part of investors behave irrationally ; and rational traders are of en powerless to correct deviations from fundermental value caused by irrational traders through hedging, this means that irrational expectation can have a substantial and long - lived impact on prices

    行為金融理論包含兩個關鍵要素: ( 1 )部分投資者由非理性或非標準好驅使而做出非理性行為; ( 2 )具有標準好的理性投資者無法通過套利活動糾正非理性投資者造成的資產價格。這意味著非理性可以長、實質性影響金融資產的價格。
  19. The article calculate the sale income, gross cost, income, cash flow, internal rate of return, net present value, payback period in etc. then i contrast analysis result of calculating with one of feasibility study and national standard, i have got a conclusion to analysis though ca7200e3 transformation - shell project from 2000 to 2005 management result can not achieve than assume, but this project management result is better than national standard. in conclusion the project is successful. 38 - 40 as proceeding the assessment, the article also gives many suggestion on the future of the project. i have a lot analysis from several aspect, they includes project background analysis, market analysis, project condition analysis, finance analysis, etc. these analysis prove that the project is feasibility

    論文比較分析ca7200e3變速器整體前殼項目可研與項目實際運行的符合度,找出項目實際運行與可研測之間產生的原因;論文首先對項目立項決策科學性、產品技術方案可靠性、原材料供應經濟性、組織機構和人力資源配置合理性進行了綜合評價;然後對項目建設中費用、進度、質量、合同、信息管理工作存在問題進行了系統分析評價;接下來對項目運行狀況從產量、效益多方面進行分析,找出項目運行中存在的主要問題,並分析了問題產生的主要原因;最後在項目產品未來發展需求測基礎上結合項目立項后評價、建設后評價、特別是運營狀況后評價所發現的問題,對如何提高該項目管理水平給出了相關建議。
  20. In mutual funds, the standard deviation tells us how much the return on the fund is deviating from the expected normal returns

    對于信託基金,標準離告訴我們基金有多少回報與的正常回報離。
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