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成分指数的英文

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"成分指数"怎么读用"成分指数"造句

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  • component index

例句与用法

  • The stable distributions of szsi and shci
    深圳成分指数与上海综合指数的稳定分布
  • The sustainability analysis of component index in shenzhen stock market
    深圳股票市场成分指数的持续性分析
  • Component stock index of shenzhen stock market is taken as sample and the practical analysis is based on the theories of time series analysis and nonlinear complicated system
    本文以深圳股票市场成分指数为样本数据,研究这一类企业或与企业相关的时序性经济数据的处理、分析和预测方法。
  • Using shenzhen component index and shanghai composite index as sample data , it is found that the phenomena obtained by qualitative analysis do exist in china ' s stock markets , except that the return distributions are skew to right instead of skew to left
    利用深圳成分指数和上海综合指数进行的实证研究发现,中国股票市场的收益率分布存在上述现象。
  • Interesting results gained in the paper : brief review of development of shenzhen stock market in the last 10 years with its component index shows the market has experienced course from the initial to related mature
    本文得到了如下有意义的结果:依据对深圳股票市场的股票成分指数的变化分析,对深圳股票市场的发展进行了简要回顾,建立了arima模型并进行了预测。
  • 3 . making the 20 weeks returns ratios ( from november 14 , 2005 to april 7 , 2006 ) of the debt index of shanghai security , the ingredient index of shenzhen security as a sample , and make the empirical analysis to the commonly using risk measure method , such as variance , lpms , var
    3 .以上证国债指数、深证成分指数在2005年11月14日到2006年4月7日共20个周收益率为样本,对常用的方差、 lpms 、 var风险度量方法进行了实证分析。
  • Based on sample of the index from april 3 , 1991 to may 31 , 2001 , arima models have been built with tsp computer software guided by route of " from general to specific " . the models built have better fit goodness and one point forward prediction is highly precise . but ultra - sample prediction by c + + program shows prediction precision reduces fast as the length of prediction grows , long term prediction of the index is impossible
    建模表明利用tsp统计软件结合从“一般到特殊”的建模方法,所建的模型对已有数据的拟合较好,向前一步单点预测准确性较高,但利用c语言程序进行进一步分析表明时间序列分析模型对深圳成分指数的长期预测效果明显降低。
  • The stable distributions of shenzhen stock sub - index ( szsi ) and shanghai stock composite index ( shci ) are discussed , and the portfolio problems of probability criterion and chance - constrained programming are also analyzed . the main contents and results are as follows : 1 . the basic theories of univariate stable distribution and multivariate stable distributions and stable stochastic processes are introduced
    本文对深圳成分指数( szsi )以及上海综合指数( shci )的稳定分布、概率准则投资组合问题以及机会约束投资组合问题进行了研究,主要内容及研究结果如下: 1 .介绍了一元稳定分布以及多元稳定分布与稳定随机过程的基本理论。
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