adj.二变量的
Posterior odds were all calculated for univariate and bivariate analysis. 将上述因子进行单变项及双变项分析,计算后验风险比。
Objective: To study a bivariate risk model with variable premium rate. 目的研究一类可变保费的双险种风险模型。
The decompositon and reconstruction formula of Bivariate Three-band Wavelet Tight Frames are also offered. 文中给出了数值例子,还给出了二元3带小波紧框架的分解和重构算法。
Results: Sample characteristics; Univariate analyses; Bivariate analyses; Multivariate analyses. 结果:样品特性;单变量分析;双变量分析;多变量分析。
The dynamic CAPM with higher moments is investigated through the bivariate GARCHSK-M model. 在二元GARCHSK-M模型的基础上,给出高阶矩动态资本资产定价模型。
Objective To analyze the partial correlation problems by multilevel bivariate models. 目的探讨利用双变量多水平模型分析多重相关中的部分相关问题。