correlation dependence 中文意思是什麼

correlation dependence 解釋
相互依存
  • correlation : n. 相互關系,相關(性);對比;交互作用;【數學】對射,異射。 correlation index 關聯指數。 correlation mineral 對比礦物。
  • dependence : n. 1. 依賴,依靠。2. 依靠之物,靠山。3. 信任,信賴。4. 從屬;隸屬。5. 【物理學】依存(關系)。6. 【法律】未決。
  1. We analyse the dispersion of stock returns and have the tests of serial correlation. the results show that the trading mechanism has a significant effect on a number of characteristics of stock returns. first, the distribution of open - to - open returns has greater variance than that of close - to - close returns. second. the serial correlation pattern is quite different in the two return series. the open - to - open returns have negative autocorrelation coefficient, but the close - to - close returns is positive. further, employing an arma ( 1, 1 ) model we find that in the opening. returns exhibit higher residual noise and stronger dependence on past returns, reflecting stronger deviations from the random - walk form of the market efficiency hypothesis

    主要表現為:一,開盤收益序列比收盤收益序列具有更大的方差。二,兩種收益序列的序列相關形式不同,開盤收益序列表現為負相關,而收盤收益序列表現為正相關。而且我們通過arma ( 1 , 1 )模型的進一步檢驗,發現開盤收益序列比收盤收益序列具有更大的殘差,更依賴于過去的收益序列,也更偏離於市場有效的隨機遊走形式的假設。
  2. Based on the research of intertidal flat topography measure at home and abroad, this article avoids some problems troublesome, such as the dependence of the station of tide gauging, precise match of images and so on. first, we monitor soil water content of intertidal flat through building correlation model between soil water content of intertidal flat and landsat tm data, then we analyse the correlation between soil water content and topography of intertidal flat, last, we extract topography of intertidal flat combining with gis

    本文在總結國內外潮灘地形測量研究的基礎上,避開對潮位站的依賴和影像精配準問題,以江蘇大豐港堤附近淤泥質潮灘為研究區域,通過遙感方法建立潮灘土壤水分與tu光譜值的定量數學模型,提取潮灘土壤含水量信息,然後通過潮灘土壤水分與地形的定量關系,結合gis技術反演潮灘地形。
  3. The fourth chapter " reseach on fractai structure of stock price " anaiyzed the fractai structure of stock price, deduced the investment function, caiculated the hurst exponent, 3 correlation dimension, and max lyaponov exponent, analyzed the self - similarity, long range dependence, circulation period of stock price and sensitivity of stock price to the initial value, suggested took the exponent characterize fractal instead of variance as instrument to measure risk

    第四章分析並檢驗了股票市場的分形混沌特徵,推導了投資函數,計算了表徵股票市場分形特徵的hurst指數,關聯維和最大lyapunov指數,分析了股票價格的自相似性、長期記憶和循環周期,分析了股票價格的波動對初始條件的敏感性,提出中國股票市場具有混沌分形的特性,用傳統的方差法度量股票風險是無效的,必須使用混沌分析能夠理論來刻畫股票收益的風險,建立收益模型。
  4. Particle ratios embody the chemical equilibrium driven by inelastic interaction during rapid expansion when the temperature decreases in the colliding system, the measured hadron ratios provide the chemical composition of the fireball at the chemical freeze - out point and access the baryon transporter stopping ) for the initial conditions at early stage of the collisions. in this paper, we study the anti - proton to proton ratio from ig7au + 197 au collisions, analyzing p / p ratio as functions of rapidity, transverse momentum and centrality at ^ / saw = 200gev and the dependence on the center of mass energy of p / p ratio, compared with the experimental results. it shows that the p / p ratio has n ' t obvious dependence on rapidity for mid - rapidity, but shows a slight increase trend with pt increasing in the range of pt < 1gev / c for mini - bias or central collisions, and rqmd shows a more remarkable correlation between p / p ratio and centrality than experiments do at snn = 200gev

    研究表明:對廠在中心快度區沒有明顯的快度依賴性,在越靠近邊緣快度區, p p呈下降趨勢;在對心碰撞或者最小無偏事件中, p p在低橫動量區域隨著橫動量的升高而增大; p隨著碰撞對心度的比實驗結果表現出稍強的隨對心度增大而減小的趨勢,尤其是有再散射ujrqmd模型;在中心快度區, p p隨著碰撞的質心能量的提高而快速的增大,與實驗結果一致;在低能,有末態粒子再散射的d較好的預言了的:但是在mc能量下,有末態粒子在散射的d所預言的p p值比實驗值要小。
  5. Thus, we have deeply studied the applications of stochastic theory in protein motor and fhn neuron model, and obtained some important results, especially the opposing role of the amplitude and correlation strength in protein transport, the locked phenomenon in fhn neuron model, the dependence of the effect on initial condition, the phase transition and resonance in globally coupled neuron system

    為此,我們對隨機理論在生物馬達蛋白和fhn神經模型上的應用進行了較深入的研究,取得了一些有重要意義的成果,特別是發現:漲落勢的幅值和關聯強度對蛋白輸運起著相反的作用;噪聲誘導fhn神經電位的鎖定現象;噪聲關聯導致雙穩系統對初始狀態的記憶功能;噪聲作用下全局耦合fhn神經網路的共振和相變現象。
  6. In this paper, we consider the correlated risk processes with negative risk sums. we define the correlation between the two classes of insurance business as the thinning dependence structure. we mainly study how the dependence between the two classes impacts on the ruin probability

    本文引入了一類相關負風險和風險過程,負風險和類之間的相關性由稀疏相關結構定義,主要研究類之間的相關性對破產概率的影響。
  7. Research on linear correlation and dependence measure

    相關系數與相關性度量
  8. The aim is to find sensitive observables specifically for strength and density dependence of sp. our results show : 1 ), the rapidity distribution of differential neutron - proton counting ( n ) from more neutron - rich reactions can be favorable to extract the information of sp. 2 ), the correlation between n and nc depends on the density dependence of sp more obviously

    我們的研究表明: 1 )越豐中子核系統的中子-質子差的快度分佈顯示出對對稱勢更強的依賴, 2 ) n _ ( imf ) n _ c關聯更強地依賴于對稱勢的密度依賴形式。
  9. 2 ) the indexes framework was simplified, linear dependence was reduced by the correlation analysis and principle factor analysis

    2 )應用相關分析和主成分分析法進行指標體系簡化、消除指標間由於線性相關性對研究造成的影響。
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