1) multivariate mixture of normal distributions
多元混合正态分布
1.
Nonlinear VaR model of FX options portfolio under multivariate mixture of normal distributions
多元混合正态分布情形下的外汇期权组合非线性VaR模型
2) multivariate normal distribution
多元正态分布
1.
Improvement of interval estimation for generalized variance in multivariate normal distribution;
多元正态分布广义方差区间估计的改进
2.
To develop and validate a new way to test random distributions and multivariate normal distributions by using simulation,based on the principle of Q-Q and the property of conditional probability and linear regression.
分别根据Q-Q图法的原理以及条件概率性质和线性回归性质检验一般分布和多元正态分布,利用模拟方法验证。
3.
A integral inference method for multivariate normal distributions is presented.
提出多元正态分布整体推断方法。
3) MCN distribution
多元复正态分布
4) mixed ф normal distribution
混合ф正态分布
5) mixture of two normal distributions
两混合正态分布
1.
A method on estimation of the parameters in the mixture of two normal distributions;
两混合正态分布的参数估计方法
6) mixture of two nomal distributions
两正态混合分布
1.
This paper studies the question of estimation of parameters in the mixture of two nomal distributions based on discriminance analysis and some results of sample moment.
本文对两正态混合分布参数估计问题进行了研究。
补充资料:多元
1.多种多样。
说明:补充资料仅用于学习参考,请勿用于其它任何用途。
参考词条