金融风险测度理论(FinancialRiskMeasurement)金融风险管理是各类金融机构所从事的全部业务和管理活动中最核心的内容,它和时间价值、资产定价被并称为是现代金融理论的三大支...
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Now, measurement theory combination with enterprise management, have offered a new research field to measurement theory. A lot of scholars applied measurement theory in enterprise certain ability.
目前,测度理论跟企业管理结合,为测度理论提供了一个新的研究领域。
参考来源 - 企业综合实力测度研究·2,447,543篇论文数据,部分数据来源于NoteExpress
基于动态模糊集,提出动态模糊测度理论。
Based on Dynamic Fuzzy Set, the Dynmic Fuzzy Measure theorem is proposed in this paper.
文章提出了一种基于矩阵测度理论的分析方法。
In this paper, a new approach based on the matrix measure theory is proposed.
模糊理论可包含上述方法,如或然率,数学逻辑,测度理论。
Fuzzy logic theory overlaps with the above methods and with the probability, mathematical logic, and measure theory.
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