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1.
Using Compound Extreme Value Theory to Evaluate Dynamic LaVaR;
应用复合极值理论估计动态流动性调整VaR
2.
The Method to Set Margin Level of China's Stock Index Futures Based on Compound Extreme Value Theory
基于复合极值理论的股指期货保证金水平的设定
3.
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
4.
The Application of Bivariate Compound Extreme Distribution in Hydrological and Disaster Prevention Engineering;
二维复合极值分布理论在水利及防灾工程中的应用
5.
Theoretical Study and Numerical Analysis on Ultimate Bearing Capacity and Shakedown of Foundations Subjected to Combined Loading;
复合加载模式下地基极限承载力与安定性的理论研究及其数值分析
6.
Limit value of composite modulus of gravel pile composite foundation
碎石桩复合地基复合模量极限值分析
7.
ON ABERRATION THEORY OF THE COMBINED ELECTROMAGNETIC FOCUSSING CATHODE LENSES
关于电磁复合聚焦阴极透镜的象差理论
8.
The Application of Portfolio Theory to Compound Arbitrage;
Markowitz资产组合理论在复合套期保值中的应用
9.
Computational Theory and Numerical Analysis for Consolidation and Deformation of Composite Foundation;
复合地基固结与变形的计算理论及数值分析
10.
Theory Study and Application on Shapley Value of Repeated and Fuzzy Game
重复、模糊合作对策Shapley值的理论研究及应用
11.
Research on the Value of Equity Carve-out Based on the Theory of Compound Real Options
基于复合实物期权理论的分拆上市价值研究
12.
The VaR Research Base on Exteme Value Theory and Copula Theory
基于极值理论和Copula理论的VaR研究
13.
Theoretical and Numerical Study on Delamination of Laminated Composites Based on Nonlocal Theory
基于非局部理论的复合材料层板脱层的理论与数值研究
14.
Value-at-Risk Based on Extreme Value Theory;
基于极值理论的风险价值(VaR)研究
15.
Dynamic Value-at-Risk Based on Extreme Value Theory
基于极值理论的动态风险价值的研究
16.
The Research of Extreme Value Index and Properties of Upper-Point in Extreme Value Theory;
极值理论中的极值指标以及上端点的性质研究
17.
International Equity Markets Portfolio Downside Risk Measured by Extreme Value Theory Methods
基于极值理论的国际权益资产组合下侧风险测量
18.
Extreme Value and Copula Theory with the Application in Constant Proportion Portfolio Insurance Strategies
极值和相关性理论及其在固定比例投资组合保险策略中的应用