 全文文献 工具书 数字 学术定义 翻译助手 学术趋势 更多   collective risk model 的翻译结果: 查询用时：0.184秒 在分类学科中查询 所有学科 数学 宏观经济管理与可持续发展 投资 保险 更多类别查询 历史查询  collective risk model 聚合风险模型(9)集体风险模型(1)集合风险模型(2)  聚合风险模型
 Procedures are developed for the estimation of parameters of collective risk model with period d=2. 最后给出了周期d=2时聚合风险模型参数的矩估计。 短句来源 A Type of Collective Risk Model 一类聚合风险模型 短句来源 Integer valued autoregressive collective risk model—INARCR 整值自回归聚合风险模型——INARCR 短句来源 (2) About long collective risk model Firstly, gives the ruin probability when claims obey mixed exponential distribution on classical poisson risk model and an approximation of the ruin probability; (2)关于长期聚合风险模型 首先，对经典的泊松风险模型给出了当理赔额服从混合指数分布时破产概率的表达式，并介绍了通过矩拟合得到破产概率近似解的方法； 短句来源 In this paper, we discussed several important properties of compound binomial distribution in the collective risk model and gave its recurrence formulas and two approximate calculations. 给出了聚合风险模型中的复合二项分布的几个重要性质,给出了其递推公式和两种近似计算。 短句来源 更多 集体风险模型
 By using the concept of the stop-loss order, we have discussed the total compensations S of random risks while individual risk model approximates collective risk model and generalized some known results. We obtained the order relations of the various model compensations S and give the error equations about the different S. 从停止损失序的角度,探讨了用集体风险模型来近似个体风险模型时,随机风险理赔总额S的一般情况,我们推广现有文献(如Goovaerfs)的关于单因模型的结果,得到了各模型间S的序的关系(定理1),并给出了各模型S之间的误差公式(定理3). 短句来源 集合风险模型
 DECOMPOSABILITY IN THE COLLECTIVE RISK MODEL 集合风险模型的可分解性 短句来源 In chapter 4, the application of long period collective risk model and the method of random simulation are introduced. 第4章概括介绍了运用长期集合风险模型，结合随机模拟方法进行洪水保险经营稳定性分析的方法，对于保险机构如何设立初始准备金具有指导意义，并从破产概率的角度讨论了再保险对降低保险经营风险的重要作用。 短句来源 “collective risk model”译为未确定词的双语例句
 Recursive Methods on Multiple Dependent Collective Risk Model 多维相依风险下聚合模型的递归算法 短句来源 查询“collective risk model”译词为用户自定义的双语例句

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 This is our motivation for looking at multivariate extensions of the collective risk model in this paper. This is our motivation for looking at multivariate extensions of the collective risk model in this paper. This paper presents a new model for the insurance actuarial science.In this model,assume that insurers reach the insurance company in accordance with a nonhomogeneous Poisson process having rate λ(x) .And assume that the claim amount in (0,t] is a random variable relating to the insurance rule and the insurer number in (0,t] .Under these assumptions,we can get some numeral characteristic of surplus amount of the insurance company in (0,t] .These results will become the basis of manage prediction,risk... This paper presents a new model for the insurance actuarial science.In this model,assume that insurers reach the insurance company in accordance with a nonhomogeneous Poisson process having rate λ(x) .And assume that the claim amount in (0,t] is a random variable relating to the insurance rule and the insurer number in (0,t] .Under these assumptions,we can get some numeral characteristic of surplus amount of the insurance company in (0,t] .These results will become the basis of manage prediction,risk evaluation and new insurance rule for the insurance company.It is easy to discover the classic individual model and short collective risk model are both special cases of the new model. 本文假设投保人到达保险公司的过程是一个强度为λ（ｘ）的非齐次Ｐｏｉｓｓｏｎ 过程、在时间区间（０，ｔ］中的索赔额是一个与保险规则及在（０，ｔ］中的投保人数有关的随机变量，提出一个新的保险精算模型，获得保险公司在（０，ｔ］中盈余额的一些数字特征．经典的个体模型和短期聚合风险模型均为本模型的特殊情形． This paper discuss the decomposability of the compound Binomial and compound Negative Binomial in the collective risk model.The author gets the results similar to that from the compound Poisson. 本文讨论了集合风险模型中 ,在复合二项分布和复合负二项分布两种情况下的可分解性问题 ,得到了同复合泊松分布情况下类似的结果 In this paper, we discussed several important properties of compound binomial distribution in the collective risk model and gave its recurrence formulas and two approximate calculations. 给出了聚合风险模型中的复合二项分布的几个重要性质,给出了其递推公式和两种近似计算。 << 更多相关文摘 相关查询

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