correlation variable

英 [ˌkɒrəˈleɪʃn ˈveəriəbl] 美 [ˌkɔːrəˈleɪʃn ˈveriəbl]

网络  相关变量

计算机



双语例句

  1. In addition, its built-in data correlation filters detect variable data, as well as preparing tests for data-driven load test generation.
    另外,它的嵌入式数据相关性过滤器能够检查可变数据,并根据数据驱动加载测试需求进行测试。
  2. The optimal characteristics of a canonical correlation variable may be expressed in terms of some extremes.
    典则相关变量的优良性质可以用一些极值来描述。
  3. A correlation coefficient in which one variable is many-valued and the other is dichotomous.
    一个多值变数和一个双值变数的相关系数。
  4. A maximum value theorem and a minimal value theorem of a canonical correlation variable in the context of a unitarily invariant norm were derived.
    在酉不变模意义下,得出了典则相关变量的一个极大值定理和一个极小值定理。
  5. The real example of the sports result forecasting shows based on grey correlation variable weight combined forecasting has high fitting accuracy than ordinary single model.
    通过单项运动成绩的预测实例,显示了基于灰关联变权的组合预测方法是一种比单一预测方法更能收到较好预测效果的佳法。
  6. From canonical correlation Analysis between nine variable of live test traits and ten variable of slaughter test traits in ninety specimen of Hubei white pigs, three canonical variable which determined the correlative relation of these traits were obtained.
    通过对湖北白猪新系90头样本的话体测定性状的9个变量与屠宰测定性状的10个变量之间的典型相关分析,得出了决定两组性状间相关关系的三对典型变量。
  7. These results show that the canonical correlation variable, in a more general context, will have optimal properties.
    其结果说明典则相关变量在更一般意义下具有最优性质。
  8. And then the combined prediction model of the observed data is formed, which consider the correlation of the variable with the other variable and self-dependency of the variable itself fully.
    然后,充分考虑观测数据和其它变量的相关关系以及数据自身依赖关系,建立了观测数据序列的混合模型。
  9. Objective To investigate the correlation between 3 ′ variable number of tandem repeats ( VNTR) of apoB gene polymorphisms and coronary heart disease ( CHD) in Han nationality.
    目的探讨汉族人载脂蛋白(apo)B基因3′端可变数目串联重复序列(3′VNTR)多态性与冠心病的关系。
  10. An Analysis of False Correlation of Variable Ratio
    变量比值的假相关分析
  11. Correlation of 3 ′ variable number of tandem repeats of apolipoprotein B gene and coronary heart disease in Han nationality
    汉族人载脂蛋白B基因3′端可变数目串联重复序列与冠心病的关系研究
  12. Correlation between Fibrinogen and Variable Gene Marker of HCV
    纤维蛋白原与丙肝病毒不同基因标志物检测的相关性探讨
  13. Based on Grey Correlation Variable Weight Combined Forecasting and It's Application
    基于灰关联变权的组合预测模型及其应用
  14. Scale invariant correlation based on scale variable fourier transform
    基于尺度可变的傅氏变换实现比例不变的相关识别
  15. The correlation of the two variable is analyzed with statistics package for social science ( SPSS 10.0). Results: The levels of IL 6 and TNF α of cerebral hemorrhage patients 'cerebral hematoma fluid were apparently higher than those of normal hemolytic blood ( P0.01).
    结果:脑出血患者脑血肿液中IL-6和TNFα的含量明显高于正常人溶血血清中的含量(P0.01);
  16. In this paper, covariance and correlativity coefficients are used to describe the correlation of random variable, and a new decision tree construction algorithm is proposed.
    本文引入概率论中描述随机变量之间相互关系的协方差及相关系数的概念,提出了一种新的决策树构造方法。
  17. Spin correlation of the hidden variable theory, spin correlation of quantum me-chanics, Bell theorem and its meaning are discussed in detail.
    本文详细地讨论了隐变量自旋关联、量子力学自旋关联、Bell定理及其意义。
  18. In the course of calculating, the solution has nothing to do with the beginning value of the iteration, which is the constant term of the error equation, and the correlation coefficient of each variable won ′ t change after the variant weight operation.
    在运算过程中,其解与迭代初始值无关,其迭代初始值为误差方程的常数项,并且能保持变权运算后各变量的相关系数不变。
  19. Application of Grey Correlation Analysis and Variable Weighted Sorting to Highway Network Exploratory right
    灰关联分析与变权排序法在公路网规划方案比选中的应用
  20. The correlation analysis between 0-1 variable and quantity categorical variable
    (0&1)变量与定量、定性变量间的相关分析
  21. Safety-based cables '. condition of cable stayed bridge in a cable plane is evaluated with grey correlation analysis and grey variable weight cluster analysis theory through an example.
    引用灰色加权关联分析和灰色变权聚类分析的概念,对斜拉桥某索面索力安全性进行整体评价,并以上海杨浦大桥索力变化为例计算分析。
  22. Because mutual information ( MI) can describe both linear and nonlinear relationships without distribution assumptions, we use it for correlation analysis and propose variable selection methods based on MI.
    由于互信息不需预先假设数据的分布类型,且能够有效捕捉非线性相关关系,本文提出以互信息作为相关性分析方法的变量选择算法。
  23. Firstly, the empirical density function of interval-valued symbolic variable is defined. Based on this, methods of drawing the histogram and calculating of mean, variance, covariance and correlation functions for interval-valued symbolic variable are given.
    首先讨论了区间型符号变量的经验密度函数的计算,在此基础上,给出了直方图的绘制方法,并研究了均值和方差、协方差和相关函数的计算。
  24. Then, we conducted a correlation analysis found that this variable does not exist a serious multicollinearity problem.
    然后,本文进行了相关性分析,发现本文所涉及的变量不存在严重的多重共线性问题。
  25. The generalized reliability index vector is proposed in generalized stochastic space namely affine space based on reliability index vector. Correlation coefficient of random variable is projected to angle of the generalized stochastic space, and the optimization design model is proposed.
    基于可靠指标矢量,发展并提出了在广义随机空间即仿射空间中的广义可靠指标矢量,提出了广义可靠指标矢量的优化计算模型。
  26. On the analysis of the correlation between variables is investigated the correlation between each variable and the existence of selected variable multicollinearity problems.
    对变量之间进行相关性分析,考察所选变量是否存在多重共线性问题。
  27. The present study calculated correlation coefficient between control variable and independent variable by using log-linear regression model, and estimated the range of each variable by using multivariate statistical analysis which adopted least squares method.
    本研究用对数线性回归模型推算从变量与相关主变量关系表达系数,采用了最小二乘法的多元统计分析模式,来估算模型中各变量的范围。
  28. The robust design model was improved by including noise variables, and the correlation of each variable was discussed.
    将噪声变量融入到分析性稳健设计理论,完善了稳健设计模型,并讨论了各变量间相关度的处理方法。
  29. It is noteworthy that, in the regression equation of the abnormal loan growth and non-performing loans; I get the correlation coefficient of each variable with OLS regression, then using the dynamic panel regression method, I obtained a more significant regression results.
    值得注意的是在异常贷款增长与不良贷款的回归方程中,先是用OLS方法进行回归,得出各个变量的相关系数,再用GMM回归方法得到的回归结果更为显著。