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random deviation相关的网络例句

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与 random deviation 相关的网络例句 [注:此内容来源于网络,仅供参考]

Throughout comparing the above estimating methods, we have the following results: the estimators of the moments of the errors does not depend on the random effects, and that of the random effects does not depend on the errors, and then the corresponding asymptotic variances are very simple and optimal; when the random effects are multivariate, we can not construct different estimating equations for the random effects and errors respectively, which results that the asymptotic covariances of estimation are very complex and then the estimating efficiency is bad.

比较上述两种估计法,我们发现:当随机效应是一维的时侯,误差的各阶矩的估计不依赖不可观测的随机效应,随机效应的估计也不依赖误差,因此,估计的渐近方差结构特别简单也是最优的;而当随机效应是多维的,因为随机效应的协变量的影响,我们没有办法针对随机效应和误差的各阶矩分别建立估计方程,这导致所得的估计的渐近方差或者协方差矩阵特别复杂,从而估计的效果不是很好。

The article exoatiats on the reasons of hole deviation; analyses a great many of recent field application of deviation control , gains a nice bit of field experience and theory on deviation control .

本文阐述了井斜产生的原因;归纳分析了今年来国内井斜控制技术在现场应用情况;结合静力学防斜理论和动力学防斜理论,总结了大量井斜控制技术现场应用的工程经验和理论,对防斜钻井技术研究及防斜钻井实践有重要参考、指导意义。

Considering the pitch deviation, pitch accumulative deviation, flank angle deviation and their combined influence on the pitch diameter, the authors present a complete differential optimal approximate model in this paper and use the ideal thread to approximate the actual thread radially and axially.

本文建立的螺纹中径当量全微分优化逼近模型,考虑了螺距偏差、螺距累积偏差和半角偏差本身及其相互间对中径的综合影响,并用理想螺纹在径向和轴向二维逼近实际螺纹。

Finishing calculation of mean value, standard deviation, skewness, kurtosis of Beta distribution.(2) Fitting parameters of many kinds of typical distribution and using residual deviation to evaluate fitting precision.(3) Using Beta distribution as an agreed indication distribution applied to many kinds of practical photoelectric measurement distributions.(4) Deriving theory formula of Bayes point estimation about Beta distribution parameters and mean value and standard deviation on the condition of mean square error loss function and supposed the prior distribution is uniform distribution.(5) Generating MCMC sample from post distribution by the method of Gibbs sample algorithm. Calculating bayes point estimation from sample on the condition of mean square error loss function. Calculating confidence interval by an approximate method to complete interval estimation.

本文的主要工作有:(1)解决了Beta分布参数a和b的精确计算以及均值、标准差、偏度、峰度的计算问题;(2)拟合出10余种典型分布的Beta分布的两个参数,并且采用剩余标准差评价该Beta分布的拟合精度;(3)对多种典型的光学与光电测量系统的测量分布进行了Beta分布统示表示;(4)在假设先验分布为均匀分布前提下,得到参数a和b以及均值μ和标准差σ在均方误差损失函数下的贝叶斯点估计理论计算公式;(5)利用直接抽样的Gibbs抽样算法,从后验分布中产生MCMC样本,从样本直接计算均方误差损失函数下的贝叶斯点估计,并使用一种近似方法计算其置信区间,完成区间估计。

Based on Lissajou figures, using radius vector deviation to express figure form deviation, the relation between radius vector deviation and signal waveform parameters is analyzed.

以Lissajou图形计算法为基础,用向径偏差来表征图形形状偏差,分析了向径偏差与信号波形参数之间的关系,设计了编码器动态细分误差快速评价系统。

The author asserts that combining the whipstock with deviation drilling bits and deviation survey devices can bring about a simultaneous completion of deviationmaking with direetion-ehanging, thus can save two or three days for each deviation-making.

笔者在详述了结构原理和试验情况后指出,这种造斜器与造斜钻头、随钻测斜仪配套,可实现造斜和扭方位一次成功,每次造斜可减少起下钻2~3次,节省2~3天时间。

Consisted of investor conservatism deviation and excessive confidence deviation with the presupposition of self-attribution deviation.

给出包括投资者保守性偏差和以归因偏差为条件的过度自信偏差的一个行为金融学模型。

Under the framework of DHS model, this paper tries to build a behavioral finance model in a cross section market, consisted of investor conservatism deviation and excessive confidence deviation with the presupposition of self-attribution deviation.

本文基於DHS模型,在一个截面市场中,给出包括投资者保守性偏差和以归因偏差为条件的过度自信偏差的一个行为金融学模型。

Then we study investors\' behavour in China by using the questionnaire method from three dimensions—investor\'s knowledge,psychology and behavior and from seven affecting factors—motive,securities investment Knowledge,awareness of risk,investment philosophy,trading,investment decision-making rule and investment performance.Aiming at these investment characteristics we examines the conservative bias and the reasons for the deviation from mental deviation from the emotional,social psychology and cognitive psychology deviation and from over-confidence,loss aversion,conservatism aversion, excessive fear of selective bias,selecting aversion,gambling psychology,self-attribution,the dependence on the policy bias and rapid money-making psychology.And we analyze investors\' several restrictive conditions during investment decision-making including information and knowledge constraints,psychological constraints,funds constraints and external conditions.

本文从全球股灾的教训及近年来我国证券投资者生存现状出发,从理论和实践两个角度论述了加强投资者教育以提高我国投资者在投资过程中的自我保护能力的重要性;采用调查问卷的方法,从投资者的知识、心理、行为三个构面,从入市动机、证券投资知识、风险意识、投资理念、交易行为、投资决策依据及投资业绩等七个影响因素来考察了我国投资者的投资行为;针对这些投资者的行为特征,从情感心理偏差、社会心理偏差和认知心理偏差三个构面,从过度自信、损失厌恶、保守性偏差、过度恐惧、选择性偏差、赌博心理与自我归因、对政策的依赖性偏差以及暴富心理等影响因素出发对我国投资者的认知偏差,以及产生这些偏差的原因进行了分析,探讨了投资者在投资决策时的几个约束条件,即信息约束、知识约束、心理约束、资金约束以及外部条件约束。

When the random error is not subject to normal distribution, the least absolute deviation estimation is superior to the least squares estimation. In addition, the robustness of the least absolute deviation estimation is also better than that of the least squares estimation.

在随机误差不服从正态分布的问题中,最小一乘估计的统计性能优于最小二乘枯计;另外,最小一乘估计的稳健性更强。

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许多人将继续选择活在二元对立性和冲突中。

I find that students of the University of Physical Education all wear sportswear at first sight.

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