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1.
Dynamic Financial Volatility Model Based on Non-normal Distribution
基于非正态分布的动态金融波动性模型研究
2.
A Study on Portfolio Selection Model on Condition of Non-normal Distributions
非正态分布条件下的投资组合模型研究
3.
Study on Bubbles Economy Model Based on Non-Normal Distribution;
基于非正态分布的泡沫经济模型的研究
4.
Analysis of Abnormal Distribution of Academic Records in Higher Professional Education and Its Significance;
浅析高职教育考试成绩的非正态分布及意义
5.
Portfolio Investment Model with Nonormal Distribution Return Rate;
收益率服从非正态分布的组合投资选择模型
6.
Research on Algorithm of Process Capability Analysis for Non-normal Data;
一种非正态分布数据过程能力的计算方法
7.
A method for Calculating Process Capability Index in NonNormal Distribution
非正态分布条件下过程能力指数计算方法研究
8.
The Calculating Method of the Process Capability Index for Non-normal Distribution by Pearson System of Distributions;
利用皮尔逊分布族计算非正态分布工序能力指数
9.
Techniques from the Probabilistic perturbation method and the Edgeworth series technique were employed to present the practical and effective method for the reliability optimization design for torsion bar with non-normal distribution parameters of vehicle under the conditions of given the first four moments of basic random variables.
讨论了随机参数服从非正态分布扭杆的可靠性优化设计问题。
10.
Determination of the Optimum Process Mean and Optimization Design of the Control Charts Based on Non-normal Distribution;
基于非正态分布的最优过程均值确定和控制图优化设计的研究
11.
Reliability-enabled robust design for multi-failure-mode mechanical systems based on non-normal distribution parameters
非正态分布参数的多失效模式机械系统可靠性鲁棒设计
12.
In this paper, the calculating method of the process capability index for non-normal distribution is given by Pearson system of distributions.
本文利用皮尔逊分布族设计了一种计算非正态分布工序能力的方法。
13.
Overconfidence and Regret Aversion and Their Non-normal Characteristics on Return Distribution;
过度自信、后悔厌恶与收益率分布非正态特征
14.
The Tactics of the Tender Offer while Non cooperative n Tendek Offer Obeys the nomal Distribution;
非合作n人投标报价服从正态分布的投标策略
15.
dinates of the bivariate normal distribution
二元正态分布纵坐标
16.
A Portfolio Selection Model Conditional on Non-normal Stable Distributions:Mean-scale Parameter Model;
非正态稳定分布条件下的投资组合模型:均值-尺度参数模型
17.
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
18.
Tables for statistical distributions--Normal distribution
GB/T4086.1-1983统计分布数值表正态分布