股价波动服从随机高斯分布或者正态分布的假设是不正确的。
The conventional assumption that stock markets behave according to a random Gaussian or normal distribution is incorrect.
可能是正态分布,也就是高斯分布,只要有平均值和标准偏差值,你就可以进行调用,大部分的值都是集中在平均值附近的。
It could be normal, everything, that would be a Gaussian, where if you recall there was a mean, and a standard deviation, and most values were going to be close to the mean.
这被称为是正态分布或是高斯分布,它是一个连续的分布。
This is called the normal distribution or the Gaussian distribution--it's a continuous distribution.
It could be normal, everything, that would be a Gaussian, where if you recall there was a mean, and a standard deviation, and most values were going to be close to the mean.
可能是正态分布,也就是高斯分布,只要有平均值和标准偏差值,你就可以进行调用,大部分的值都是集中在平均值附近的。
This is called the normal distribution or the Gaussian distribution-- it's a continuous distribution.
这就是正态分布,也叫做高斯分布,这是一个连续分布
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