English translation for "统计度量"
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- statistical measures
Related Translations:
完备度量: complete metric space 度量仪器: measuring instruments 半度量: pseudometricsemimetric 度量曲率: curvature of the metric 置信度量: measure of confidence
- Example Sentences:
| 1. | Skewness is a statistical measure of the uniformity of the distribution of a group of measures 偏态是对一组分布均匀性测量的统计度量。 | | 2. | Description methods that use color moments employ statistical measures of the image characteristics in terms of color 用色矩的描述法用图像特征在色彩上的统计度量。 | | 3. | The thesis takes finance risk as research object which studies up on the theory system , statistic measurement models and policy of china macroscopic finance risk . the author applies lots of data in analyzing and evaluating china macroscopic finance risk from the establishment of market economic system , and tries to explore the discipline and characteristic , then bring forward theoretical source and policy suggestion for the strategic management of national macroscopic finance risk . the main contents is as follows : the first chapter defines risk , finance risk and macroscopic finance risk , then concludes the basic characteristic of macroscopic finance risk , involving the complexity and multiplicity of forming reasons generated latency , accompanying of finance development and severity of educing crisis . finally , it discusses forming mechanism of macroscopic finance risk from three aspects , such as general source , informational source and international background represents following action and gearing utility in the process from risk to crises 本文以宏观金融风险为研究对象,研究我国宏观金融风险的理论体系、统计度量模型和政策,运用大量的统计数据对市场经济体制建立以来我国宏观金融风险状况进行了分析和评价,试图探索我国宏观金融风险的变化规律和形成原因的特殊性,为国家宏观金融风险的战略管理提出理论依据和政策建议。其主要研究内容如下:首先,从风险、金融风险和宏观金融风险等定义出发,总结了宏观金融风险形成原因的复杂性和多重性、生成的潜伏性、与金融发展的相随性和引发危机的严重性等基本特征,从金融风险产生的一般根源、信息根源和国际背景三方面论述了宏观金融风险形成的机理,最后阐释了从金融风险到金融危机的传导机制。 | | 4. | The second chapter builds up indicator system of macroscopic finance risk according to standard , objectivity , sensitivity and operability , which includes macroscopic finance environment risk , bank default risk , foam economic risk , national debt risk and foreign capital impacting risk . next , it standardize indicator by adopting mapping , and applies hierarchy analytical process in determining weight . at last , it draws statistic measurement models by weighted average method 其次,根据指标体系构建的规范性、客观性、灵敏性和可操作性等原则,构建了由宏观经济环境风险、银行坏账风险、泡沫经济风险、国债风险和外资冲击型风险构成的宏观金融风险评价指标体系;然后按照映射法对指标进行标准化处理,采用层次分析法确定各大类因素的权重,并用加权平均法得出宏观金融风险的统计度量模型。 |
- Similar Words:
- "统计动力学" English translation, "统计动力预报" English translation, "统计督导" English translation, "统计独立" English translation, "统计独立性" English translation, "统计断裂力学" English translation, "统计对策" English translation, "统计对象" English translation, "统计多工" English translation, "统计多工器埠集讯器" English translation
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