dynamic sequential model - vertaling naar russisch
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dynamic sequential model - vertaling naar russisch

STATISTICAL METHOD
Dynamic panel model; Panel regression; Panel model

dynamic sequential model      
динамическая модель, характеризующая состояние экономики в последовательные периоды времени
dynamic model         
  • To analyse something with a typical "black box approach", only the behavior of the stimulus/response will be accounted for, to infer the (unknown) ''box''. The usual representation of this ''black box system'' is a [[data flow diagram]] centered in the box.
  • The [[state diagram]] for <math>M</math>
DESCRIPTION OF A SYSTEM USING MATHEMATICAL CONCEPTS AND LANGUAGE
Mathematical modeling; Dynamic model; Mathematical models in physics; Mathematical models; Mathematical modelling; Modelization; Math model; Mathematical analogue; Modelled mathematically; Mathematical Modeling; Reason Theory; A priori information; Complexity of mathematical models; Deductive model

общая лексика

динамическая модель

deductive model         
  • To analyse something with a typical "black box approach", only the behavior of the stimulus/response will be accounted for, to infer the (unknown) ''box''. The usual representation of this ''black box system'' is a [[data flow diagram]] centered in the box.
  • The [[state diagram]] for <math>M</math>
DESCRIPTION OF A SYSTEM USING MATHEMATICAL CONCEPTS AND LANGUAGE
Mathematical modeling; Dynamic model; Mathematical models in physics; Mathematical models; Mathematical modelling; Modelization; Math model; Mathematical analogue; Modelled mathematically; Mathematical Modeling; Reason Theory; A priori information; Complexity of mathematical models; Deductive model

математика

дедуктивная модель

Definitie

dynamic analysis
<programming> Evaluation of a program based on its execution. Dynamic analysis relies on executing a piece of software with selected test data. (1996-05-13)

Wikipedia

Panel analysis

Panel (data) analysis is a statistical method, widely used in social science, epidemiology, and econometrics to analyze two-dimensional (typically cross sectional and longitudinal) panel data. The data are usually collected over time and over the same individuals and then a regression is run over these two dimensions. Multidimensional analysis is an econometric method in which data are collected over more than two dimensions (typically, time, individuals, and some third dimension).

A common panel data regression model looks like y i t = a + b x i t + ε i t {\displaystyle y_{it}=a+bx_{it}+\varepsilon _{it}} , where y {\displaystyle y} is the dependent variable, x {\displaystyle x} is the independent variable, a {\displaystyle a} and b {\displaystyle b} are coefficients, i {\displaystyle i} and t {\displaystyle t} are indices for individuals and time. The error ε i t {\displaystyle \varepsilon _{it}} is very important in this analysis. Assumptions about the error term determine whether we speak of fixed effects or random effects. In a fixed effects model, ε i t {\displaystyle \varepsilon _{it}} is assumed to vary non-stochastically over i {\displaystyle i} or t {\displaystyle t} making the fixed effects model analogous to a dummy variable model in one dimension. In a random effects model, ε i t {\displaystyle \varepsilon _{it}} is assumed to vary stochastically over i {\displaystyle i} or t {\displaystyle t} requiring special treatment of the error variance matrix.

Panel data analysis has three more-or-less independent approaches:

  • independently pooled panels;
  • random effects models;
  • fixed effects models or first differenced models.

The selection between these methods depends upon the objective of the analysis, and the problems concerning the exogeneity of the explanatory variables.

Vertaling van &#39dynamic sequential model&#39 naar Russisch