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extreme value相关的网络例句

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For more general cases, the Rice formula based level - crossing process theory was generally used trying to capture the extreme value distribution.

然而,迄今为止,仅对于某些特殊的随机过程获得了一些有意义的典型结果,例如窄带正态随机过程的极值分布服从Rayleigh分布川。

The non-stationary index of automobiles\' supporting force response under side wind is analyzed, which confirms the reasonableness of stationary assumption in dynamic reliability analysis.Thirdly, joint distribution of wind speed and wind direction is established based on the extensive extreme value distribution, which is used for reliability analysis of bridge traffic safety.

其次提供了Fourier变换识别抖振响应频谱失真的实例,采用Hilbert-Huang变换分析桥梁抖振响应的时频特性,从结构动力学角度探讨了响应非平稳性的原因,从风工程的角度探讨HHT变换分量的物理意义,并分析侧风作用下桥上汽车支撑力响应的非平稳指标,为动力可靠度分析中平稳性假定的合理性提供必要的论证。

Then the best linear unbiased estimate method for interval data of normal distribution, Weibull distribution, extreme value distribution or other location-scale parameter models is presented. The presented method has higher precision, and solves the problem of reliability assessment with small sample of storage life.

在此基础上,提出一种区间数据最佳线性无偏估计方法,并对正态分布、极值分布、Weibull分布等常用的位置一尺度分布进行讨论,该方法能够对产品贮存寿命进行小样本预测和可靠性评定。

Taking WindowsXP,Microsoft EXCEL and VBA as tools,a series of software system on hydrologic frequency analysis which integrated the ability of graph and calculation was developed.And it contained four kinds of frequency distributions:Γ-distribution,extreme value distribution,normal distribution and logarithmic normal distribution.

以Windows XP,Microsoft EXCEL和VBA为开发环境,研制了一套集绘图与计算于一体的水文频率分析软件,其中包含了常用的Γ分布、极值分布、正态分布和对数正态分布4种频率分布线型。

Thus, 8 groups of reliability indexes are derived which are thereliability indexes of primary and adjunctive combination under normal and intensivecar operation status when mobile load effect belongs to extreme value typeⅠdistribution and normal distribution respectively.

其中,分别考虑了荷载的基本组合和附加组合,汽车荷载服从正态分布和极值Ⅰ型分布,汽车运行一般运行状态和密集运行状态,然后经过综合比较分析得出了钢桥常用的两种钢材在强度极限状态下的目标可靠指标建议值。

The main findings include:(1) the time series of sample returns are not normative;(2) the sample returns follow a Frechet extreme value distribution;(3) The EVT approach provides a more accurate static margin level while the EWMA approach is more suitable for setting dynamic margin level.

主要发现有:(1)样本收益率时间序列不符合正态性假设;(2)样本收益率时间序列服从 Frechet 极值分布;(3)我国国债期货保证金的静态设定应当采用 EVT 理论,动态设定应当采用 EWMA 方法。

The results reported here show that (1)The aligned score is a good similarity measure in analysis of the protein.(2)Aligned score is following the generalized extreme value distribution with parameters μ=94.769 7,σ=41.583 7,ξ=0.192 5.(3)Compared with other algorithm of structure alignment,the algorithm performs better than CTSS.

主要结果有:利用动态时间规整算法计算得出的结构距离是一个很好的蛋白质结构相似性度量;结构距离服从参数为μ=94.769 7,σ=41.583 7,ξ=0.192 5的广义的极值分布;和其他结构比对算法相比,该算法比CTSS的搜索结果要好。

The paper first scrutinizes the basic principles, advantages and disadvantages of three representative advanced measurement approaches, which are Internal Measurement Approach, Scorecard Approach, Extreme Value Theory and Loss Distribution Approach. Furthermore, the paper expounds how Deutsche Bank uses LDA to estimate Capital at Risk to cover the operational risks.

本文首先详细评析了高级计量法体系中具有代表性的内部衡量法、计分卡法、极值原理法和损失分布法的基本原理及各自优缺点,进而以德意志银行为例阐释了如何利用损失分布法进行操作风险经济资本计量。

Combining the principle of generalized Paretodistribution fitting the tail of a distribution with compound extreme value distribution theory, this paper puts forward Poisson-GP compound threshold distribution model, and gives the results estimated by MLE, CMM and PWM respectively.

论文结合广义Pareto分布拟合底分布尾部的原理与复合极值分布理论,构建Pois(来源:A0e1e1eBC论文网www.abclunwen.com)son-GP复合超阈值分布,并给出了极大似然法、复合矩法和概率权矩法的估计结果。

Under the deeply research and a large mount of experiments, the paper put forwards a series of methods to solve local extreme value problem.

本文通过深入研究与大量的神经网络应用,探讨出一系列解决局部极值解问题的方法,实验结果表明,这些方法是有效的,有一定的理论和应用价值。

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