simple regression
英 [ˈsɪmpl rɪˈɡreʃn]
美 [ˈsɪmpl rɪˈɡreʃn]
网络 简单回归; 一元回归; 简单回归分析; 单回归
英英释义
noun
- the relation between selected values of x and observed values of y (from which the most probable value of y can be predicted for any value of x)
双语例句
- ANOVA and simple regression analysis were used to measure three variables across four brands, four collaboration combinations and each of four brands independently.
方差分析和回归分析被用来衡量三个变量,并适用于三个不同的层次,包括:四个品牌、四个合作组合和独立的四个品牌三个变量。 - Starting with the three kind of error characteristics, the paper introduces simple linear regression theory and puts forward an influence coefficient calibration model with error correction function, and designs a amount of unbalance calibration algorithm which is rapid convergence and meets real-time requirement of online dynamic balance.
从三种误差的特性入手,引入一元线性回归理论,提出了具有误差修正功能的影响系数标定模型,并设计了快速收敛的不平衡量标定算法,满足在线动平衡实时性要求。 - Not only the strain distribution of the elastic cell can be obtained and the positions of maximum strain fields can be determined, but also the simple linear regression equation of force and strain can be obtained and the linearity of the transducer can be analyzed.
用此法不仅可以得到弹性元件的应变分布特性,确定最大应变区的位置,而且可以得到力与应变的一元线性回归方程,分析出传感器的线性度。 - Two main forms of virtual variable regression model is used in this paper, one simple linear regression model, the other is GARCH model.
采用的虚拟变量回归模型有两种主要形式,一是简单线性回归模型,另一个是GARCH模型。 - Application of Microsoft Excel to Quantitative Geography Teaching& A Case Study of Simple Linear Regression
Excel在计量地理学教学中的应用&以简单线性回归分析为例 - In the process of research, descriptive statistics, simple linear regression and paired-sample T test are used to study the performance of target firms in the certain test window selection;
在研究过程中,运用描述性统计、一元回归和配对样本T检验方法对被并购公司特定研究窗口的业绩进行研究; - Discussion on simple regression of residential environment
论人居环境的简约回归 - After conducting a simple regression we found that there is a positive and strong relationship between the average daily returns with standard deviation and VaR as risk indicators.
进行简单回归分析之后,本研究发现在每日平均报酬、标准差与VaR作为风险指标之间存在着正向且强烈的关系。 - Simple regression, cointegration, and vector autoregressive models are employed to explore the causality and long-run economic linkages among these markets.
我们以简单回归、共整合及自我回归模型来检验其因果关系与各市场间长期经济上的关连性。 - Using the simple linear regression, GARCH model and the various liquidity indicators, analyzed the impaction of interest rate adjustment to stock market.
然后借助简单线性回归方程、GARCH模型和各种流动性指标来分析利率调整的未预期部分对股票市场的影响。
