The broad theory that we develop in this book, and the specific models, incorporate basic assumptions that are at variance with those of the prevailing orthodox theory of firm and industry behavior.
我们在本书中推出的广义理论和具体模型,都包含着与那些主流正统的企业和产业行为理论不一样的基本假设。
In longitudinal data analysis, homogeneity of variance is a basic assumption.
在纵向数据分析中,模型方差的齐性是一个基本假定。
It indicates that there are significant differences for microfibril Angle, basic density, bending strength and rate of shrinkage of poplar 63 and poplar 69 by variance analysis.
方差分析表明:63杨、69杨微纤丝角、基本密度、抗弯强度和干缩率差异显著,说明63杨和69杨受滩地类型影响较大。
Reliability index is influenced by the variance of basic parameters, resistance distribution, and ratio of live load to dead load.
可靠指标与极限状态方程中的各基本变量的变异性、抗力的概型分布、以及活荷恒荷效应比有关。
Two basic preconditioned assume lie in the theory of institutional variance model.
制度变迁模型理论有两个基本前提假定。
Variance estimation is a common problem in noised image processing. The basic idea is to get a sub-image that includes only "pure" noise to estimate the variance of original noise.
噪声的方差估计是含噪图像处理中的常见问题之一,其基本思想是通过某种方法寻找含噪图像中的“纯”噪声子图像来估计原噪声方差。
The reliability of parameter estimation was demonstrated by the variance analysis. The estimated indoor degradation coefficients of organic pollutants can be provided the important basic data for th…
采用一级反应动力学方程估计出这几种有机物的室内降解系数,并通过方差分析检验了参数估计的可靠性。
In the traditional financial risk measurement model, the basic method is based on normal distribution, and then the variance-covariance method used to solve the portfolio value at risk.
在传统的金融风险度量模型中,基本都是基于正态分布,然后运用方差一协方差法来求解资产组合的风险价值。
In the traditional financial risk measurement model, the basic method is based on normal distribution, and then the variance-covariance method used to solve the portfolio value at risk.
在传统的金融风险度量模型中,基本都是基于正态分布,然后运用方差一协方差法来求解资产组合的风险价值。
应用推荐