statistics n. 1.統(tǒng)計學(xué),統(tǒng)計法〔用作單數(shù)〕。 2.統(tǒng)計數(shù)字[資料],統(tǒng)計表〔用作復(fù)數(shù)〕。 Government statisticsindicate that prices have gone down. 政府統(tǒng)計指出物價已經(jīng)下降。 You may consult the statistics on population issued by the government. 你可以查一查政府發(fā)表的人口統(tǒng)計。 the vital statistics (出生、結(jié)婚、死亡等)人口動態(tài)統(tǒng)計。 collect [take] statistics 進(jìn)行統(tǒng)計。
probability n. 1.或有;或然性。 2.【哲學(xué)】蓋然性〔在 certainly 和 doubt 或 posibility 之間〕。 3.【數(shù)學(xué)】幾率,概率,或然率。 4.或有的事;可能的結(jié)果。 5.〔pl.〕〔美俚〕天氣預(yù)測。 What are the probabilities 有幾分把握? The probabilities are against us [in our favour]. 趨勢對我們好像不利[有利]。 hit probability 命中率。 in all probability 很可能,大概,多半,十之八九。 probability of (missile survival) (飛彈不被擊落的)概率。 The probability is that ... 大概是…,很可能是…。 There is every probability of [that] ... 多半有,多半會。 There is no probability of [that] ... 很難有,很難會。
Probability and mathematical statistics 概率論與數(shù)理統(tǒng)計
Arrangement and combination of the teaching for the probability and mathematical statistics course of mathematical department of teachers ' college 對本科工科概率統(tǒng)計教學(xué)的探索與思考
Ph . d . in economics , princeton university ( 1997 ) ; m . a . in economics , princeton university ( 1995 ) ; m . s . e . in statistics and operational research , princeton university , ( 1993 ) ; b . s . in probability and mathematical statistics , beijing ( peking ) university ( 1991 ) 瑞銀集團(tuán)董事總經(jīng)理,曾任博時基金首席經(jīng)濟(jì)學(xué)家,中國證監(jiān)會規(guī)劃發(fā)展委員會委員,花旗集團(tuán)所羅門美邦股票研究部,摩根斯坦利機(jī)構(gòu)股票部,普林斯頓大學(xué)經(jīng)濟(jì)系講師。
2 . according to the characteristic of airborne gravity survey , several statistic variables are derived from theory of probability and mathematical statistics combined with knowledge of errors principles . these statistic variables are applie to the significance test of systematic errors in every surveying line 2 、根據(jù)概率論和數(shù)理統(tǒng)計的理論與方法及誤差理論,結(jié)合航空重力測量的特點(diǎn),建立了有關(guān)檢驗(yàn)統(tǒng)計量,并將其應(yīng)用于航空重力測量測線系統(tǒng)誤差的顯著性檢驗(yàn)。
In this article we firstly puts forward and discusses the quantitative analysis of real estate investment systematic risk and earnings with the investment economics theory and the probability and mathematical statistics method , secondly puts and discusses the quantitative analysis of real estate investment nonsystematic risk and earnings with monte carlo method and the probability and mathematical statistics method , finally discusses the quantitative analysis of real estate investment total risk and earnings with the probability and mathematical statistics method 文中首先提出并論述了利用投資經(jīng)濟(jì)學(xué)理論和概率數(shù)理統(tǒng)計方法對房地產(chǎn)投資系統(tǒng)風(fēng)險及其收益進(jìn)行定量分析;其次提出并闡述了利用蒙特卡洛方法和概率數(shù)理統(tǒng)計方法對房地產(chǎn)投資非系統(tǒng)風(fēng)險及其收益進(jìn)行定量分析;最后論述了利用概率數(shù)理統(tǒng)計方法對房地產(chǎn)投資綜合風(fēng)險及其收益數(shù)值的定量分析方法。
This thesis regards choice mode of basic asset of credit asset securitization as study entry , using the relevant principles in disciplines such as economics , finances , investments , financial engineering , theory of probability and mathematical statistic and commercial bank management , etc . , drawing lessons from analysis tools and research methods of predecessors , through summarizing relevant concepts and principles , earning and risk of credit asset securitization , outlines a general definition of credit asset securitization and draws importance of choosing basic asset of credit asset securitization on this basis 本文將信貸資產(chǎn)證券化基礎(chǔ)資產(chǎn)的選擇模式作為研究切入點(diǎn),運(yùn)用經(jīng)濟(jì)學(xué)、金融學(xué)、投資學(xué)、金融工程學(xué)、概率論與數(shù)理統(tǒng)計和商業(yè)銀行管理等學(xué)科的相關(guān)原理,并借鑒前人的一些分析工具和研究方法,通過對信貸資產(chǎn)證券化的相關(guān)概念及原理、收益與風(fēng)險的分析,對信貸資產(chǎn)證券化作一個總的界定,并在此基礎(chǔ)上引出信貸資產(chǎn)證券化基礎(chǔ)資產(chǎn)選擇的重要性。