The function is again run with the first variable value (b) selected as having its second value, and again with the second and third variables (c, d) having their actual values.
再度在选择该第一变量值(B)具有其第二值且使该第二及第三变量(C, D)具有其实际值的情形下,执行该函数。
The function is run with the first variable value (b) selected as having its first value, and with the second and third variables (c, d) having their actual values.
在选择该第一变量值(B)具有其第一值且使该第二及第三变量(C, D)具有其实际值的情形下,执行该函数。
And then I'll create this function, d1 this distribution d 1, which will, whenever I call it, give me a random, a uniformly selected value between minus and plus volatility.
然后我会创建这个函数,这个概率分布,每次我调用这个函数的时候,他会给我返回一个随机的,按照均匀分布,从正负浮动值之间选择的值。
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