The Study on EDP Model in Econometrics Teaching

  • EDP教学模式在计量经济学教学中的应用
  • 来源:互联网摘选更新时间:2026-07-13 22:32:29

  • 重点词汇
  • onprep. (覆盖、附着)在…上;由…支撑着;在(运输工具)上;在(某一天);就在…之后;关于(事或人);(身上)带着;为(某团体或组织)的一员;吃;(表示方向)在,向,对;在,接近(某地);根据;以…支付;通过;与…相比
  • modeln.模型;模特儿;模式;典型;
  • inprep. 在里面;在(某范围或空间内的)某一点;在(某物的形体或范围)中;在…内;在…中;进入
  • studyn. 学习;研究;功课;课业;学业;用于某些学科名称;书房;
  • teachingn.教学;学说;教育;
  • econometricsn.计量经济学;
  • edpabbr.emotionally disturbed person 情绪失控的人;engineering data processing 工程数据处理;
  • theart.这个;指已提到或易领会到的人或事物;指独一无二的、正常的或不言而喻的人或事物;用以泛指;与形容词连用,指事物或统称的人;用于姓氏的复数形式前,指家庭或夫妇;(指特定用途的事物)足够,恰好;每,一;当前的,本,此;(重读,表示所指的为知名或重要的人或事物)
  • 相关例句
1、

The main research methods of this paper include Data Envelopment Analysis ( DEA), Econometrics, Input-output method and System Dynamics approach.

本文的主要研究方法有数据包络分析法(DEA)、计量经济学、投入产出法和系统动力学的方法。

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2、

The fourth chapter is the empirical analysis of the effects of fixed investment to economic growth, which is surely the kernel part of this paper.

第四章通过对数据进行整理,并运用计量经济学方法,从多个方面对固定资产投资与GDP进行数量分析,并检验了固定资产投资时间序列的回复特征。

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3、

In addition, elasticity of public health expenditure and development of GDP was 0.24 in our country and 0.46 in Tianjin.

天津医科大学硕士学位论文利用计量经济学方程进行卫生事业经费相对于GDP发展的弹性分析,其弹性系数分别为0.24、0.46。

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4、

Especially in the last few years, panel data models and discrete choice models are of very wide application and have turned into an active research field of Microeconometrics.

特别是近几年,PANEL DATA模型、离散选择模型应用广泛,已成为微观计量经济学的活跃研究领域。

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5、

There have been a class of econometric models were built in the field of financial econometrics, such as ARCH-type models.

在金融计量经济学和时间序列分析领域中,已经建立了一类的数量模型来分析金融市场上的波动特征,如著名的ARCH类模型。

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6、

The Basis of Determining the Proportion between Public Educational Appropriations and GDP: An Econometric Analysis of Mathematical Models

确定公共教育经费占GDP比重的依据&基于计量经济学理论的数学模型分析

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7、

Meanwhile, the article applies econometrics and spatial econometrics and GIS methods to the study.

同时,文章将计量经济学和空间计量经济学,以及GIS的一些方法运用到了研究中。

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8、

Thirdly, drawing on the method of econometric analysis-panel-data estimation establish the tested model.

第三,采用先进的计量经济学方法平行数据(Panel data)方法建立相关的检验模型。

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9、

It can provide the dependent evidence to a reasonable logistics program of a city by applying the econometrics model to estimate the logistics quantity demand and increasing change.

根据城市人口、消费水平、GDP的变化,利用计量经济学模型可以做到科学的预测城市的物流量增长变化,从而对城市合理的物流规划提供可靠的佐证。

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10、

This paper obtains the walsh characteristic function and moment of the distribution of Durbin-Watson test statistic DW in econometrics.

本文得出了计量经济学中,杜宾瓦特森检验统计量DW的分布的W特征函数和矩。

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11、

The emergence of portfolio theory really makes mathematical methods enter the investment field. Thus, mathematical finance as an independent branch of the finance theory develops quickly.

投资组合理论的产生使得数理化方法真正进入到投资领域,使得数理金融学作为金融学的一个独立的分支迅速发展起来。

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12、

Skill of pricing and risk appraisal of derivative products according to mathematic models; 4.

熟练掌握和运用数理统计模型对金融衍生品进行定价和开展风险评估;

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13、

In the fifties of last century, Markowitz found portfolio selection theory. This theory applied mathematical tools to finance problems firstly.

上世纪五十年代,Markowitz提出了投资组合选择理论,这一理论首次将数理工具引入到金融问题中。

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14、

This article divided the export trade structure into export trade commodity structure and management structure of export trade, empirically testing and mathematically analyzing relatives of financial repression and export trade structures.

本文把出口贸易结构分为出口贸易商品结构和出口贸易经营主体结构,实证检验和数理分析金融压抑和出口贸易结构的关系。

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16、

The first fundamental theorem of asset pricing is the one of two most fundamental theorems in mathematical finance. It mainly describes the fairness of a market which is one of the two most important properties of the market.

资产定价第一基本定理是数理金融学中的两大基本定理之一,它主要是描述市场的两大性质之一:市场公平性。

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17、

This paper proposes the neural networks method of solving the model of mathematical finance by means of the neural networks ideas, and theoretically and empirically proves the existence, stability and efficiency of the results.

借助于神经网络的思想,提出了求解数理金融模型的神经网络算法,从理论和应用两个方面证明了解的存在性、稳定性和有效性。

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18、

Now, there appear many theories that are widely employed in the financial research, such as: non-linear economic theory, economic chaotic theory and other engineering research methods.

当前数理金融理论界可谓是百家争鸣,百花齐放。非线性经济理论、经济混沌理论及各种工程研究方法被广泛的应用到金融研究当中。

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19、

The credit risks models based on market value use the complicated mathematics method and the database, so it can measure enterprise's credit risks accurately and scientific.

基于市场价值的信用风险度量模型应用现代数理金融学理论,依托强大的数据库能够比较准确,科学的评价企业信用风险。

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20、

In recent years, with the vigorous development of the financial market, the theory for the option pricing has became the research focus of the mathematical finance.

几年来,随着金融市场的蓬勃发展,期权定价理论成为数理金融的一个研究重点。

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