对证券市场包括股票市场中的一些经典方法有:均值-方差分析法、APT理论、CAPM模型、B-S期权定价模型等。
Some of classical analytical methods about Security market, including stock market have Mean-Variance analytics, APT theory, CAPM model, B-S options pricing model, etc.
结果表明,造林密度对马尾松管胞形态总平均值影响不大,方差分析不显著;
The results show that the average value of tracheid form can not be affected by the planting density through variance analysis .
本文提出了一种单因子异方差模型,导出这种异方差分析方法,并给出了模型中均值与方差的估计。
This paper presents a single factor heteroscedastic model, deduce a method of this heteroscedastic analysis, and presents the estimation of mean and variance in this model.
提出一种异方差分析方法,包括异均值方差分析和异均值异方差分析。
A method for heteroscedastic analysis is presented, which includes the homoscedastic and the heteroscedastic analysis of different means.
在资产组合的均值—方差分析的基础上对于公司购并的风险进行了分析,得出了公司购并风险的程度取决于购并元间的相关系数。
Based on the expectation-variance analysis of portfolio, this paper presented that the degree of the risk of the companies' mergers depended on correlative between the mergers' units.
本文的主要统计方法为均值比较、重复多因素方差分析。
The statistical techniques performed for analysis were compare means, repeated-measures of MANOVA.
数据在收集之后,研究者使用社会统计软件包对其进行分析,先后使用平均值、平均差、方差分析和卡方差分析等方法。
The researcher used SPSS to analyze the data as soon as they were collected. During the process of analysis, description of mean and standard deviation, the ANOVA, and the Chi-square tests were used.
数据在收集之后,研究者使用社会统计软件包对其进行分析,先后使用平均值、平均差、方差分析和卡方差分析等方法。
The researcher used SPSS to analyze the data as soon as they were collected. During the process of analysis, description of mean and standard deviation, the ANOVA, and the Chi-square tests were used.
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