deviation rate 中文意思是什麼

deviation rate 解釋
偏差率
  • deviation : n 1 脫離,越軌,背離 (from) 。2 偏向,偏差。3 (統計上的)誤差。4 【航海】(故意)偏航。5 【數...
  • rate : n 1 比率,率;速度,進度;程度;(鐘的快慢)差率。2 價格;行市,行情;估價,評價;費,費用,運費...
  1. Rolling - cutting biscuit shaping machine is new equipment of making soda biscuit, good toughness of thin biscuit and super - thin biscuit. it ' s high production efficiency, low noises, safe operation, convenient, beautiful outer shape. this machine can press and roll rough flour 3 times and equiped with remaining flour recycling machine, also equiped with double - rolling cutting shaped equipement, in the mean time, it can produce two biscuit embryo of differnt shape. 3 times pressing - rolling machine can adjust different thickness and biscuit rough surface. it can roll rough flour and do not stick to rough flour embryo, correctness rate of adopting mould to cut margin of flour embryo reaches 100 percent so that avoid deforming of embryo due to deviation. this machine is one equipment which adopting advanced and won first technical rewarding for its independently control operation, beautiful outer appearance

    滾切式餅干成型機是連續製作梳打餅、韌性和薄餅超薄餅的新型設備,具有生產效率高、噪音低,操作安全、方便,外型美觀等優點,本機具有三道軋輥制皮和余料回收機,配備雙滾切成型裝置,同時能生產兩種不同形狀的餅干胚不停機,三道軋輥能同時調節不同厚度和餅皮具有軋輥不粘皮、採用印模切邊一次同步進行準確率100 % ,避免偏差而造成餅胚變形,該機具有獨立控制操作,外形美觀,是目前國內較先進而獲得技術一等獎的設備。
  2. Interest rate volatility, as measured by the standard deviation of the daily changes of the one - month interbank rates relative to the yearly average rate, was 0. 02 in 2002, about the same level as in 2001, compared with 0. 38 and 0. 15 in 1997 and 1998 respectively

    2002年的利率變動幅度(以1個月本港銀行同業拆息每日變動標準差與年度平均拆息的比率計)為0 . 02 ,與2001年的水平相若( 1997及1998年的數字分別為0 . 38及0
  3. It can improve minus deviation rolling rate greatly, assure the quality of product and increase the benefit, so it is used widely in steel rolling

    採用這種軋機可以大幅度提高負偏差軋制率,穩定產品質量,提高經濟效益,因而被廣泛用於軋鋼生產中。
  4. It may also be that interest rate volatility, in terms of the extent and the duration of deviation of hong kong dollar interest rates from those for the us dollar, has been further dampened by the three refinements, other things being equal

    此外,假設其他因素不變,我們推出的三項優化措施,可能已進一步遏抑利率的波幅以港元利率偏離美元利率的具體幅度及持續時間計。
  5. The deviation value was used to characterize the inhomogeneous degree of concentration fields, and the attenuation rate with time was used to characterize the injection dispersion performance of flow field

    以此方差近似表徵了示蹤劑濃度場的非均勻度,其衰減規律可用於定量描述振蕩流場的注入分散特性。
  6. With the in - built drip irrigation belt and thin wall chip irrigation belt taken as examples, the flow rate distribution and hydraulic losses of drippers along capillary tubes at different inlet pressures were measured under the conditions of horizontal slope and slope gradients of 0. 5 % and 1 %, then the uniformity of capillary tubes was calculated at different slope gradients and pressures in consideration of the manufacture deviation of drippers

    摘要以內鑲式滴灌帶和薄壁滴灌帶為研究對象,測定了平坡、 0 . 5 %坡度和1 %坡度時,不同入口壓力下滴頭沿毛管的流量分佈和水力損失,並結合滴頭的製造偏差,計算得出不同坡度和壓力條件下滴灌毛管的均勻度。
  7. First, in this paper, powercontrol technology is discussed, including its principle, methods of realization and status of research. then reverse outer - loop power controlarithmetic based on fer ( frame error rate ) measurement and adaptive variablestep - size inner - loop power control arithmetic are proposed. the simulation is doneand the result shows the deviation is smaller using the arithmetic fortracking the idealfer

    然後在此基礎上給出了基於誤幀率fer ( frameerrorrate )測量的反向外環功率控制優化演算法和自適應變步長內環功率控制演算法,計算結果表明,與傳統的外環演算法相比本文模型化的演算法對目標fer的跟蹤具有較小的誤差。
  8. A line used in the capital asset pricing model to illustrate the rates of return for efficient portfolios depending on the risk - free rate of return and the level of risk ( standard deviation ) for a particular portfolio

    一個線條用於資本資產定價模式中說明有效的投資組合的回報率,取決于無風險回報率和對一特定的投資組合的風險水平(標準偏差、標準離差) 。
  9. In capm mode, investors are presumed to be risk aversion people and faced with the market of risk asset. effect collection and deviation collection are produced by both subjective and objective conditions. at last, the premium portfolio and discount rate are drawn

    它假定投資者為武漢理工大學碩士學位論文風險厭惡者,面對風險資產市場,由投資者的主觀和市場的客觀條件綜合作用形成了其選擇的有效集和最小方差集,從而找到最佳投資組合和期望報酬率(作為貼現率使用) 。
  10. The matching rate of the suggested two methods were compared for the assembly size chaims with different number of the forming links, with different number of the forming link parts, and with different deviation distribution types on the assumption that the closing link tolerance of the selective assembly is a tenth of that calcalated by the extremum method

    以不同組成環數、不同組成環零件數、不同偏差分佈類型的裝配尺寸鏈為研究對象,取選擇裝配的封閉環公差為按極值法計算所得封閉環公差的十分之一,以匹配率為評價指標,比較了兩種方法的優劣。
  11. Two guidelines were defined to evaluate the selective assembly quality : matching rate and assembly precision, and two computer - aided selective assembly methods were suggested : the matching according to the average deviation of the closing link and the matching according to the ideal size position of the closing link

    摘要定義了評定選擇裝配質量的兩個指標:匹配率和匹配精度,提出了計算機輔助選擇裝配的兩種基本方法:按封閉環理想尺寸位置匹配和按封閉環平均偏差值匹配。
  12. Interest rate volatility, as measured by the standard deviation of daily changes in the one - month interbank rate, remained low during the year

    年內利率變動幅度(以1個月香港銀行同業拆息每日變動標準差計)一直維持于低水平。
  13. Some modulation parameters, such as the carrier frequency and the symbol rate, can be estimated prior to the recognition of modulation types. such other parameters as the modulation index, the modulation frequency deviation, and the signal broadband can be further estimated after recognition

    部分調制參數如載波頻率、符號速率在識別之前獲得,在識別完成之後可以進一步估計調制指數、調制頻偏、信號帶寬等其餘參數。
  14. This paper precedes analysis by examples on investment income in shanghai and shenzhen stock market from 1994 to 2005 by investment strategies with financial ratios as decision basis, inspecting average rate of return of various investment strategies, standard deviation for investment income, sharpe ratio of reward to risk, and analysis on these results. financial ratios in research include : price - to - book ratio, price - to - earnings ratio, price - to - sales ratio

    本文主要對以相對估價法為決策依據的投資策略在滬深兩地a股市場1994年至2005年的投資收益進行實證分析,考察各種投資策略在這11年間的總收益、年度復合收益率、收益標準差、收益的夏普風險指數,並對結果進行了分析。
  15. In the field of securities investment, earning rate, standard deviation, sharpe index, treynor index and jensen index are five important indexes for assessing fund performance

    摘要在證券投資領域中,收益率、標準差、夏普指數、特雷諾指數和詹森指數是評價基金績效的五個重要指標。
  16. In training of back - propagation neural network, parameter adaptable method which can automatically adjust learning rate and inertia factor is employed in order to avoiding systemic error immersed in a local minimum and accelerating the network ' s convergence ; introduced the further optimization of the network ' s structure, it gives the research result of selection of the hidden layers, neurons, and the strategy of re - learning, compared the sums of the deviation square of this algorithm with conventional bp algorithm, as a result, the approach accuracy and the generalization ability of the network were extremely improved

    在對前饋神經網路的訓練中,使用參數自適應方法實現了學習率、慣性因子的自我調節,以避免系統誤差陷入局部最小,加快網路的收斂速度;提出了優化bp網路結構的實驗研究方法,並給出了有關隱含層數和節點數選擇以及再學習策略引進的研究結果。將該演算法同傳統bp演算法的預測偏差平方和進行比較,結果證實網路的逼近精度及泛化能力均得到了極大的提高和改善。
  17. A guarantee is provided for the azimuth and deviation of the re - entry horizontal wells of oil reservoir engineering and drilling engineering to make the hole trajectory smooth, achieve the drilling and well completion techniques without a hitch and raise the target rate

    為滿足油藏工程、 ?井工程對側?水平井方位、水平位移的要求,達到井眼軌跡平滑,順利實現?井、完井工藝,提高中靶精度提供了保證。
  18. In thes paper, we set up a risk quantiative appraisal system for the scientific risk management of the real estate invesbent whih is based on the probability theory, mathematial statistics and fmancial anaiysis theorythis system developes the application of the probability theory and mathematical statishcs to the risk appraisal on the base of current risk appraisal methods. what ' s more, in orde to filfulthe need of prachcal application, we create a set of risk - fmance index models in whih we analyze five kinds of twortant risk in the real estate investinen from their orighs, such as the general price fluctuation risk, the markt risk, the interest rate risk, the operation risk and the decision risk. ih the system, standard deviation of the npv ( net present value ) is uesed as the quantitative index of the singe risks and the whole risk. in addition, we connect the system with risk avoiding tactics in the risk managemen of a proect. all these provide a decision basis for risk management

    本文應用概率論、數理統計、財務分析等理論為房地產投資風險的科學管理建立了一套風險定量評價系統。該系統是在現有的風險評價方法的基礎上,將概率論和數理統計的理論在風險評價中的應用進一步深化。並結合房地產投資的實際,從風險形成的原因出發,針對其中影響較大的幾類風險像利率風險、物價風險、行業風險、經營風險、決策風險,建立了一套風險- - -財務指標評價模型,運用凈現值的標準差這一指標將房地產投資所面臨的個體風險和整體風險定量化,同時與項目風險管理中的風險規避策略有機地結合在一起,為房地產投資的風險管理提供了決策的依據。
  19. By non - dimensional analysis of the model, a series of non - dimensional parameters are deduced. the solid circulation rate is obtained by regressing experimental data, which can predict the solid circulation rate within deviation of + 29 %

    通過對該模型的無因次分析,找到了影響固體循環速率的無因次數群,並由實驗數據回歸擬合得到了固體循環速率的定量關聯式,它與實驗結果符合較好,誤差為29 。
  20. Measuring method for power deviation rate of infrared heater

    紅外輻射加熱器功率偏差檢測方法
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