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1.
The Application of Multivariate Extreme Value Theory in Operational Risk Quantification;
多变量极值理论在银行操作风险度量中的运用
2.
Variational Principles of Extreme Value with Mixed Variables in Elasticity;
弹性力学中混合变量的极值变分原理
3.
A Strong Limit Theorem for the Sequences of Integer-valued Random Variables;
整值随机变量序列的一个强极限定理
4.
The limit theorems of weighted sums for the sequences of binary random variables;
二值随机变量序列加权和的极限定理
5.
The effect of yield and grain protein content with soil water content and nitrogen (or nitrogen and P2O5) was described by isopleth.
用极差变换将产量和蛋白质含量理论值标准化,其标准值曲线的交点即为二者的最佳结合点。
6.
Applications of Extreme Value Theory to Measurement and Modeling of Risk;
极值理论在风险度量与建模中的应用
7.
Calculate the Financial Risk According to Extreme Value Theory;
基于极端值理论(EVT)的金融风险度量
8.
Computing VaR and ES Based-on EVT;
基于极值分布理论的VaR与ES度量
9.
Predicting Amount of Accrued Payables to Redeem Open-End Funds by Extreme Value Theory;
应用极值理论预测开放式基金赎回量
10.
Fat-tails Measurement and Risk Estimation of Composite Index of Shanghai Stock Exchange on Extreme Value Theory
基于极值理论的沪综指尾部风险度量
11.
Multivariate Compound Extreme Value Distribution Theory and Its Engineering Applications;
多维复合极值分布理论及其工程应用
12.
Analysis on Multiple Component Extremes Distribution for Hydrology Statistics;
多项分布极值水文统计理论应用研究
13.
Some Results on Limit Theory for Sequences of Random Variables
随机变量序列的极限理论的若干结果
14.
A CLASS OF STRONG LIMIT THEOREMS FOR RUNS OF DEPENDENT SEQUENCES OF BINARY RANDOM VARIABLES;
相依二值随机变量序列游程的一类强极限定理
15.
The loom finish modeling in this research is designed according to the extreme of function and the statics moment balance theory.
本研究所创建的冲线模式是依据多变量函数极值法与静力学力矩平衡原理设计而成。
16.
The Application of Extreme Value Theory to Risk Measurement Based on SSE-180 Index
极值理论在风险度量中的应用——基于上证180指数
17.
A Study on Risk Measurement of Chinese Stock Market Based on Extreme Value Heory
极值理论在中国股市风险度量中的应用研究
18.
Theoretical and Numerical Analysis for Acoustic Multipole Logging in Anisotropic Medium;
各向异性地层多极源声测井理论与数值研究