multi-variables analysis 中文意思是什麼

multi-variables analysis 解釋
多變量分析
  • multi : 並聯的,多路系統
  • variables : 變量
  • analysis : n. (pl. -ses )1. 分解,分析;【數學】解析。2. 梗概,要略。3. 〈美國〉用精神分析法治療(= psychoanalysis)。
  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回顧和總結分析,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,設計出三者對應的指標體系的調查問卷,定性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,運用相關性分析和多元線性回歸分析等方法,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性,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. 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、標準差、標準半方差、平均絕對離差和風險價值等風險度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。
  3. According to this analysis frame, this article analyses the essence of group capital centralized control, the meaning of capital centralized control, four environment variables including the type of group, the structure of operation, the structure of organizations, and the zone distributing, as well as the relationship of the selection of capital control system. it discusses the rationality and adaptability of the model of the settlement center in multi - group associated with existing three capital centralized control models and the case of the ht group capital centralized control model

    在分析框架的指導下,本文對集團資金集中管理本質、資金集中管理權內涵以及集團類型、業務結構、組織結構和地域分佈四個環境變量與資金管理體制選擇之間的關系進行了分析,並結合現有的三種資金集中管理模式和ht集團資金集中管理模式選擇案例,探討了結算中心模式在多元化企業集團資金集中管理的合理性和適應性。
  4. Abstract : to facilitate the design, teaching and research of asphalt pavements, the article founded the models of displacement and tensile stress of three - layer system by using separation of variables, analysis and synthesizer. based on the analysis of common pavement structures and their equivalent conversion, the regression formulas of displacement and tensile stress are obtained successfully, furthermore the formulas applied in multi - layer system are checked. a great number of results of regression formulas show good accuracy for engineering application and theory research

    文摘:為方便瀝青路面結構設計生產、教學、科研之用,本文採用分析綜合法與分離變量法建立了彈性三層體系應力位移顯式模型;並在分析常見路面結構層厚度及其當量換算和模量變化范圍的基礎上,成功求得了三層體系路表彎沉、上層滑動應力、上層連續應力、中層應力逼近公式;精度分析表明本文逼近公式精度很好,完全可推廣應用於多層體系,滿足工程設計和有關理論研究的需要
  5. Multi - dimension data is transformed to the analysis of statistical variables as t2 statistic, q statistic and statistical control charts. 3

    ? 3 、介紹了基於子空間的狀態空間系統辨識概念、原理和優點。
  6. We adopt another fault diagnosis method for the checking of polluted mycelia in the microbiological fermentation process. the method combines nonlinear principal components analysis technology with support vector machines to construct multi - layer support vector machines. the multi - layer support vector machines are able to extract main monitoring variables from many process variables, also obtain decision function with excellent generalization performance from limited samples of fault

    在這里採用了另一種故障診斷方法,即把主元分析同支持向量機結合起來,這樣既可以從過多的監測變量中提取出主要的監測變量,又可以從有限的故障樣本得到具有較強推廣能力的決策函數。
  7. Compared with the svspc and its problem and shortage, the main statistical variables and technique of mspc are emphasized. multi - dimension data is transformed to the analysis of statistical variables themselves basing on these statistical variables 4. basing on the model of synthesizing of phosphonic acid dimethyl, we realize the mspc on this process through simulation

    通過與單變量統計過程式控制制對比,指出其所固有的局限和問題,概述和總結了多變量統計過程式控制制中的主要統計量和基本分析處理方法,通過各種統計量,將多變量的多維數據轉化為對統計量本身的單變量處理,對實際過程的監控提供了方向。
  8. Then forty - six independent variables are studied with the help of the profile analysis and t test. furthermore, some financial ratios, which are grate different between the two groups for the years before the financial failure, are picked out to establish multi - variables model to forecast the financial failure in the method of logistic regression. and the model is proved to have good predictable efficiency and accuracy

    其次應用剖面分析和t檢驗對選取的45個備擇變量進行研究,從中選出若干差異顯著的財務指標,採用logistic回歸的方法建立了多變量的財務困境預測模型,並且對該模型進行了回判檢驗,取得了較高的預測效果。
  9. 3. single - variable spc and its disadvantages are pointed out, then some statistical variables and techniques of mspc are emphasized. multi - dimension data processing is transformed to the analysis of a single statistical variable by defining different statistical variables

    3 、介紹了單變量統計過程式控制制方法及其所固有的局限性,概述和總結了多變量統計過程式控制制中的主要統計量和基本分析處理方法,為對實際生產過程的監控提供了方向。
  10. In order to further research the law of interest rate marketing, we selected many variables which may influence interest rate of marketing from multi - angles. and we made cointegration model - building analysis for interest rate marketing

    為了進一步研究利率市場化下的規律,我們從多個角度選取了可能影響市場化利率的多個變量,運用協整理論對利率市場化作建模分析。
  11. In the multi - variables linear regression analysis, the 28d cube compressive strength is looked as function and the four factors of experiment is viewed as independent variables. the linear equation between compressive strength and four factors is concluded. the optimum regression equation is deduced by stepwise method

    多元線性回歸分析中,以28d抗壓強度為函數,正交試驗中的四因素作為自變量,得出了抗壓強度與各因素之間的線性表達式,再經過逐步回歸法確定了最優回歸方程。
  12. Regarding land use as a dependent variable and urbanization, economic development, food security and ecological security as independent variables, the author examines the contribution of each independent variable to the land use difference among the provinces by using the single factor analysis first and then multi - factors analysis

    分析中將土地利用作為因變量,將人口增長、城市化、經濟發展、糧食安全和生態安全作為自變量,先行單因素分析,后進行多因素綜合分析,從而揭示土地利用差異及其成因之間的影響程度和內在規律。
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