We performed meta-analyses using the bivariate model to produce summary estimates of sensitivity and specificity.
我们采用双变量模型进行了统合分析以出示敏感性和特异性的汇总估计。
Response parameters are compared in a bivariate model that graphically depicts vectors of changing biomass production or nutrient uptake relative to competition free treatment.
它基于矢量分析和线性分析,将代表生物量和营养吸收值的参数相对于无种间竞争的对照在一个两维的坐标系内表达为矢量并进行定位比较。
In the data analysis, theoretical assumptions and model was tested through Descriptive Statistical analysis, ANOVA, Bivariate Correlations analysis, and Linear Regression analysis and so on.
采用描述性统计分析、单因素方差分析、相关分析、回归分析等统计分析方法对调查数据进行分析,对理论假设和模型进行验证。
By establishing bivariate regression model, this paper makes an empirical analysis on the correlativity between CHIBOR and price fluctuation in securities market.
对同业拆借利率及证券市场价格波动建立了双变量回归模型,并对两者的相关性进行实证分析。
The corresponding nonlinear threshold functions (bivariate shrinkage function) are derived from the model using the Bayesian estimation theory.
基于贝叶斯估计理论,得到了相应的非线性阈值函数(双变量收缩函数)。
Objective: To study a bivariate risk model with variable premium rate.
前言:目的研究一类可变保费的双险种风险模型。
According the characteristics of the bivariate repeated measurement data, using the MIXED procedure of SAS software to fit linear mixed effects model.
目的:通过混合效应线性模型与单因素方差分析在重复测量资料中的应用比较,旨在说明两方法在处理重复测量资料时的应用特点。
According the characteristics of the bivariate repeated measurement data, using the MIXED procedure of SAS software to fit linear mixed effects model.
目的:通过混合效应线性模型与单因素方差分析在重复测量资料中的应用比较,旨在说明两方法在处理重复测量资料时的应用特点。
应用推荐