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1.
Monte Carlo Tests for Multivariate Mixture Normality;
多元混合正态分布的Monte Carlo检验
2.
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
3.
Optimization of supply chain for demand during lead time with mixtures of normal distribution and variable lead time;
基于混合正态分布提前期内需求和可变提前期的供应链优化
4.
Discussion on Parameters and Fixed-Order Problem of Mixed Normal Distribution Based on EM Algorithm
基于EM算法的混合正态分布的参数求解及定阶问题的探讨
5.
Robustness Least Squares Estimator of Mixed Normal Distribution;
混合型正态分布的抗差最小二乘估计
6.
Analysis of Shanghai-securities Index Volatility Based on Mixed-normal Distribution;
基于正态混合分布的上证指数波动性分析
7.
Asymptotic Distribution of the Product of Strong Mixing Sums
强混合序列部分和乘积的渐近正态性
8.
Mixed-Effects State Space Models with Disturbances of GED;
基于广义误差分布的混合效应状态空间模型
9.
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
10.
Hierarchical Bayesian Estimation of Failure Probability of Normal Distribution;
正态分布场合下失效概率的多层Bayes估计
11.
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
12.
An Opposite Example about the Distribution of Linear Combination of Abnormal Random Variables;
关于正态随机变量线性组合分布的反例构造
13.
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
14.
dinates of the bivariate normal distribution
二元正态分布纵坐标
15.
Estimation of parameters of mixed Weibull distribution;
混合Weibull分布的参数估计
16.
Biases Correction of Black-Scholes Option Pricing Model Based on Mixture Transition Distribution Model;
基于混合转移分布模型的Black-Scholes期权定价偏差纠正
17.
THE CONCENTRATION DISTRIBUTION CHARACTERISTICS OF INTERMEDIATES FROM ISO-OCTANE/N-HEPTANE BLENDS LAMINAR FLAME
异辛烷/正庚烷混合燃料燃烧中间产物的浓度分布特性
18.
Tables for statistical distributions--Normal distribution
GB/T4086.1-1983统计分布数值表正态分布