نتایج جستجو برای: a hyperbolic model

تعداد نتایج: 13745893  

Journal: :international journal of civil engineering 0
a. soroush hafez avenue, tehran, iran r. jannatiaghdam hafez avenue, tehran, iran

this paper studies thoroughly and deeply the results of about one hundred triaxial compression tests on thirty types of rockfill materials. the materials are categorized in accordance with their particles shape (angular / rounded) and gradation characteristics. the main tool of the study is the hyperbolic model developed by duncan and chang. the focus of the study is on the variations of deform...

ژورنال: اندیشه آماری 2018
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‎In this paper‎, ‎a new probability distribution‎, ‎based on the family of hyperbolic cosine distributions is proposed and its various statistical and reliability characteristics are investigated‎. ‎The new category of HCF distributions is obtained by combining a baseline F distribution with the hyperbolic cosine function‎. ‎Based on the base log-logistics distribution‎, ‎we introduce a new di...

Journal: Iranian Economic Review 2020

T he optimal allocation of natural gas resources to various uses such as final and intermediate consumption, injection into oil fields, and exports can help policymakers to use this kind of resources efficiently. Empirical evidence support using hyperbolic discount rates instead of fixed discount rates in the economic literature. The purpose of this study is to maximize the social we...

پایان نامه :وزارت علوم، تحقیقات و فناوری - دانشگاه تربیت مدرس - دانشکده مهندسی 1387

abstract this paper discusses several commonly used models for strategic marketing¹ including market environmental analysis methods (i.e. swot and pest analysis) and strategic marketing tools and techniques (i.e. boston matrix and shell directional policy matrix)and shows how these models may help a firm to achieve its strategic goals. at first, the main reason for doing this research is de...

Journal: :تحقیقات مالی 0
سعید ّباجلان دانشجوی دکتری مدیریت مالی، دانشگاه تهران، تهران، ایران رضا راعی استاد مدیریت مالی، دانشکدۀ مدیریت، دانشگاه تهران، تهران، ایران شاپور محمدی دانشیار مدیریت مالی، دانشکدۀ مدیریت، دانشگاه تهران، تهران، ایران

this paper examines whether combining generalized hyperbolic skew-t distribution, recently introduced in the field of insurance, and extreme value theory (evt) could result in a modeling of loss function that could model central value as well as extreme value in appropriate manner. the data used in this study are the amount of property damage and bodily injury covered under automobile liability...

پایان نامه :دانشگاه آزاد اسلامی - دانشگاه آزاد اسلامی واحد تهران مرکزی - دانشکده زبانهای خارجی 1391

since its introduction in 1959, translation quality assessment (tqa) has been among the most addressed research topics in translation studies. during recent years, there has been a crucial increase on the study of tqa. various methods have come on scene. although these methods are based on scientific theories, most of them have remained at the level of theory. juliane house’s model is among tho...

Journal: :The European Journal of Finance 2018

Journal: :Mathematical and Computer Modelling 2002

Journal: :Mathematical and Computer Modelling 2004

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