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multifactor造句

"multifactor"是什么意思  
造句与例句手机版
  • Multifactor fuzzy evaluation of the consummation degree of city investment and financing system
    城市投融资体系完善水平的模糊综合评价
  • Application of multifactor overlap analysis in the metallogenic prognosis for le ad - zinc ore in liaohe group
    多因素套合分析法在辽河群地层区铅锌矿成矿预测中的应用
  • Study a multifactor fuzzy synthesis track correlation algorithm , a two hierarchical filter algorithm and the present statistical model in this paper
    本文对多因素模糊综合决策航迹相关算法和二次滤波算法及当前统计模型进行了研究。
  • The industrialization of international seafloor developing is a multifactor interdynamic , complicated dynamic system which involves a wide range of knowledge
    “区域”开发活动实现商业化进而产业化,这一过程是一个涉及面广、多因素互动、复杂的动态系统。
  • Chapter 5 based on studying the factors affecting the pricing of ipos , combining multifactor step regress method , concludes ipos pricing model , demonstrate the factors affecting the pricing of ipos
    第五章运用多元因素逐步回归方法,构建ipo定价模型,进一步深入研究ipo定价影响因素。
  • In 1985 , prof . bernard m . bass presented the first multifactor leadership questionnaire , while this kind of tools of research is just what chinese management academic field lacks
    Bass教授1985年建立第一份改造型领导测量表( multifactorleadershipquestionnaire ,简称mlq ) ,国内尚缺乏这方面的工具。
  • Third , the author analyzes the method on rate of return , method on risk - adjusted rate of return , multifactor models , market timing model , and point out applicable range and defect on methods of above all
    再次,分析归纳了基金评价的收益率法、风险调整收益率法、多因素评价模型、基金的择时选股模型,并明确了各种方法的适用性及缺陷。
  • ( 1 ) we introduce markowitz ' s model , discuss the result of single factor model , and make a discourse of multifactor portfolio model . ( 2 ) based on the former research work , we make an improvement of the portfolio theory
    本文首先介绍了经典的均值?方差模型,讨论了单因素资产组合模型解的存在性及解的表达式;进一步讨论了多因素资产组合模型的有关性质。
  • The design of the investigation questionnaire items , adhibiting multifactor under multifactor subordinatively measurement design in index for concept of the items , each item analyses to adhibit the likert measurement design of spss software
    调查问卷项目设计,采用了对项目概念指标的多因素下多因次的度量设计,对每个项目分析采用了spss定量分析方法中的likert度量设计。
  • Our research uses multifactor model combined with cross - section regression and econometrics and analyzes 157 listed companies in shanghai and shenzhen securities markets from june 1st , 2001 to may 31st , 2002
    实证研究采用多因素模型的理论框架,结合横截面回归方法和计量经济学检验手段,对2001年6月1日- 2002年5月31日我国沪深两证券市场共计157家上市公司分行业进行了分析。
  • It's difficult to see multifactor in a sentence. 用multifactor造句挺难的
  • E - commerce system has characteristics of discrete , multifactor , dynamic and concurrency etc . especial concurrency question influencing system ' s stability and security all the time , thus influencing the wide application of e - commerce deeply
    电子商务系统具有离散、多因素、动态和并发性等特点,尤其是并发性问题始终影响着系统的稳定性和安全性,尽而也深刻影响着电子商务的广泛应用。
  • 2 . the structure of chinese children aged 3 - 9 is a multifactor , which involves five aspects : emotionality , activity , reaction , social inhibition and attention . 3 . there is a distinct age difference in development of children ' s temperament
    我国儿童气质结构可以用五维度相关模型进行表征:情绪性、活动性、反应性、社会抑制和专注性五个维度构成儿童气质的内在结构,而五个维度存在相关关系。
  • Rotating electrical machines - part 18 : functional evaluation of insulation systems - section 33 : test procedures for form - wound windings - multifactor functional evaluation - endurance under thermal and electrical stresses of insulation systems used in machines up to and including 50 mva and 15 kv
    旋转电机.第18部分:绝缘系统功能评定.模绕组的试验步骤.功率小于等于50mva , 15kv绝缘系统的电气应力和热应力的强度
  • On the other hand , this paper tried to study the risk budgeting on the application of portfolio through introduction of risk budgeting and bring in the multifactor model of security return to risk budgeting process to set up the risk budgeting system which
    另一方面,本文试图通过对风险预算的介绍,考察风险预算技术在投资组合中的应用,将证券收益的多因素模型引入风险预算过程,建立基于多因素模型的风险预算系统体系。
  • Backgrounded with the urgent construction of regional rail transit ( rrt ) in the yangze river delta , this paper discusses the advantage and disadvantage of rail transit financing in this region , argues that a multi - channel and multifactor mode shall become the main trend
    摘要在“长三角”急需建设区域轨道交通的背景下,分析了“长三角”区域轨道交通投融资三种备选模式的优缺点,认为多元化投资是“长三角”区域轨道交通融资的趋势。
  • Based nit the definition of production decline rate , the multifactor analytical model for composite decline rate is developed , which discusses affecting factors stub as the startup well number , water cut , producing fluid thickness , pressure , relative production index well spacing density , skin factor etc
    摘要从产量递减率定义出发,首先导出了综合递减率与开井数、含水、产液厚度、压力、相对产液指数、井网密度、表皮系数等多因素分析模型。
  • It aims to attain the optimal portfolios by maximizing investment ' s return or minimizing investment ' s risk under the condition of uncertain factors affect . the multifactor pricing model is a more complex model , which has the character of markowitz ' s model and can explain invest - activity more clearly
    多因素模型是实际投资组合中较复杂的一种模型,它具有均值一方差模型的基本特性,且具有较强的解释性,从而成为投资实践中的主要模型之一。
  • Then they divide output growth , in individual sectors and in the market economy , into the contribution of various inputs : hours worked , the mix of skills in the labour force , it capital , other capital and “ multifactor productivity ” ( mfp ) ? in theory , the adroitness with which the other inputs are combined ; in practice , what is left over after changes in labour and capital are stripped away
    然后,对各个不同的工业,在考虑到市场经济的影响下,把产量的增长归因于不同的生产要素:如工作时间,劳动力的综合技能, it资产,其它资产和“多因素生产力” ( mfp ) -理论上解释为,把其它因素综合利用起来的熟练程度;实践中是去除劳动力和资本因素影响后剩余因素的总和。
  • Secondly , this thesis evaluates some main theories and method about market risk measurement . such as mean - variance criterion of markowitz and risk decentralization principal , single - factor model , multifactor model , down - risk model , black - scholes model and var model based on the calculation of loss . it also discusses the suitable conditions and defects of every theory and method , and think that var is a more perfect method for risk measurement by comparison
    其次,评价了有关市场风险度量的一些主要理论和方法,如markowitz的均值?方差准则和风险分散原则、 capm模型和风险的市场因素模型、单因素模型、多因素模型、 downside - risk 、期权定价理论和现代基于损失计量风险的var等风险度量理论,并讨论了各种风险度量方法的具体适用条件及相应的缺陷。
  • Then a detailed description about the theory of fund performance evaluation and the performance evaluation system is mad . e since 1960 ' s , which contains the classical single performance evaluation ratio , the multifactor evaluation model , the timing ability & stock selecting ability of fund managers , the persistent of fund performance analysis and the morningstar evaluation system
    这主要包括传统经典的单因素业绩评价指标、多因素业绩评价模型、基金经理人的时机选择和选股能力、基金业绩持续性的研究以及晨星公司的评级体系。
  • 更多造句:  1  2
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