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1.
We describe the type of reasoning used in the typical fuzzy logic controller, the Mamdani reasoning method. We point out the basic assumptions in this model. We discuss the S-OWA operators which provide families of parameterized “andlike” and “orlike” operators. We generalize the Mamdani model by introducing these operators. We introduce a method, which we call Direct Fuzzy Reasoning (DFR), which results from one choice of the parameters. We develop some learning algorithms for the new method. We show how the Takagi-Sugeno-Kang (TSK) method of reasoning is an example of this DFR method.  相似文献   

2.
We examine the evolution of crystals in three dimensions. We assume that the Wulff shape is a prism with a hexagonal base. We include the Gibbs-Thomson law on the crystal surface and the so-called Stefan condition. We show local in time existence of solutions assuming that the initial crystal has admissible shape.  相似文献   

3.
ABSTRACT

We study the inverse problem of identifying a variable parameter in variational and quasi-variational inequalities. We consider a quasi-variational inequality involving a multi-valued monotone map and give a new existence result. We then formulate the inverse problem as an optimization problem and prove its solvability. We also conduct a thorough study of the inverse problem of parameter identification in noncoercive variational inequalities which appear commonly in applied models. We study the inverse problem by posing optimization problems using the output least-squares and the modified output least-squares. Using regularization, penalization, and smoothing, we obtain a single-valued parameter-to-selection map and study its differentiability. We consider optimization problems using the output least-squares and the modified output least-squares for the regularized, penalized and smoothened variational inequality. We give existence results, convergence analysis, and optimality conditions. We provide applications and numerical examples to justify the proposed framework.  相似文献   

4.
We apply the theory of fuzzy subsets to the multiple objective decision problem of stock selection. We allow our objectives to have varying degrees of importance. We discuss various criteria used in selecting stocks. We indicate some procedures for subjectively evaluating the membership functions associated with these criteria.  相似文献   

5.
We study the efficiency of greedy algorithms with regard to redundant dictionaries in Hilbert spaces. We obtain upper estimates for the errors of the Pure Greedy Algorithm and the Orthogonal Greedy Algorithm in terms of the best m-term approximations. We call such estimates the Lebesgue-type inequalities. We prove the Lebesgue-type inequalities for dictionaries with special structure. We assume that the dictionary has a property of mutual incoherence (the coherence parameter of the dictionary is small). We develop a new technique that, in particular, allowed us to get rid of an extra factor m1/2 in the Lebesgue-type inequality for the Orthogonal Greedy Algorithm.  相似文献   

6.
We consider some principal problems of nonequilibrium statistical thermodynamics in the framework of the Zubarev nonequilibrium statistical operator approach. We present a brief comparative analysis of some approaches to describing irreversible processes based on the concept of nonequilibrium Gibbs ensembles and their applicability to describing nonequilibrium processes. We discuss the derivation of generalized kinetic equations for a system in a heat bath. We obtain and analyze a damped Schrödinger-type equation for a dynamical system in a heat bath. We study the dynamical behavior of a particle in a medium taking the dissipation effects into account. We consider the scattering problem for neutrons in a nonequilibrium medium and derive a generalized Van Hove formula. We show that the nonequilibrium statistical operator method is an effective, convenient tool for describing irreversible processes in condensed matter.  相似文献   

7.
We extend the comatrix coring to the case of a quasi-finite bicomodule. We also generalize some of its interesting properties. We study equivalences between categories of comodules over rather general corings. We particularize to the case of the adjoint pair of functors associated to a morphism of corings over different base rings. We apply our results to corings coming from entwining structures and graded structures, and we obtain new results in the setting of entwining structures and in the graded ring theory.  相似文献   

8.
Abstract

We study the inverse problem of parameter identification in noncoercive variational problems that commonly appear in applied models. We examine the differentiability of the set-valued parameter-to-solution map using the first-order and the second-order contingent derivatives. We explore the inverse problem using the output least-squares and the modified output least-squares objectives. By regularizing the noncoercive variational problem, we obtain a single-valued regularized parameter-to-solution map and investigate its smoothness and boundedness. We also consider optimization problems using the output least-squares and the modified output least-squares objectives for the regularized variational problem. We give a complete convergence analysis showing that for the output least-squares and the modified output least-squares, the regularized minimization problems approximate the original optimization problems suitably. We also provide the first-order and the second-order adjoint method for the computation of the first-order and the second-order derivatives of the output least-squares objective. We provide discrete formulas for the gradient and the Hessian calculation and present numerical results.  相似文献   

9.
方世建  刘珣 《运筹与管理》2022,31(10):191-195
本文旨在检验中国股票市场横截面收益的可预测性。我们选取了15个公司层面的特征指标作为变量,现有文献已经发现这些指标在美国股票市场上具有预测横截面股票收益的能力。我们检验这些变量在中国股票市场是否可以用来预测股票收益,样本的时间区间为1996~2015年。我们发现这些变量在中国股票市场对股票横截面收益的预测能力是相对较弱的。我们对中国股票市场的弱可预测性提出了两种可能的解释:其一,可能是收益预测因子在中国股票市场中的同质性比在美国股票市场中更强;其二,在中国股票市场中股票价格的无效率程度比较高。两种解释我们都找到了实证依据来支撑。  相似文献   

10.
We consider an elastic material in contact with a three-dimensional rigid plate of varying thickness. We suppose that a perfect adhesion occurs along thin zones disposed in a self-similar way on the interface between the two materials. We suppose that the elasticity coefficients in the plate depend on its thickness and tend to infinity as this thickness tends to zero. We derive the effective material properties using Γ-convergence methods.  相似文献   

11.
We construct measurable selections for closed set-valued maps into arbitrary complete metric spaces. We do not need to make any separability assumptions. We view the set-valued maps as point-valued maps into the hyperspace and our measurability assumptions arethe usual kinds of measurability of point-valued maps in this setting. We also discuss relationship of these measurability conditions to the ones usually considered in the theory of measurable selections.  相似文献   

12.
We obtain sufficient conditions for the existence of a nonanticipating control for linear systems with stationary random parameters. We consider the case of a bounded control and an arbitrary number of system states. We estimate the probability that the system is nonanticipatingly locally controllable on a fixed time interval. We formulate the main assertions in terms of Lyapunov functions, choosing the latter in the class of piecewise continuously differentiable functions.  相似文献   

13.
We discuss the existence and the qualitative properties of equilibria when agents have multiple priors and there is only one good in each state of the world. We first prove a general existence result in infinite dimension economies. We then fully describe the equilibria in two special cases. We first consider the case of CEU maximizers that have same capacities. We next consider the case of no aggregate uncertainty. We prove that if agents have non-random initial endowments and are uncertainty averse and maximize the minimal expected utility according to a set of possible priors, then the existence of a common prior is equivalent to the existence of a unique equilibrium, the no-trade equilibrium. We lastly give a mild assumption for indeterminacy of equilibria and compute the dimension of indeterminacy.  相似文献   

14.
We study multistage tracking error problems. Different tracking error measures, commonly used in static models, are discussed as well as some problems which arise when we move from static to dynamic models. We are interested in dynamically replicating a benchmark using only a small subset of assets, considering transaction costs due to rebalancing and introducing a liquidity component in the portfolio. We formulate and solve a multistage tracking error model in a stochastic programming framework. We numerically test our model by dynamically replicating the MSCI Euro index. We consider an increasing number of scenarios and assets and show the superior performance of the dynamically optimized tracking portfolio over static strategies.  相似文献   

15.
We consider the problem of the dissipative dynamics of a harmonic oscillator linearly coupled to a heat bath. We demonstrate that in addition to the mean energy, there exists an infinite series of quantities exponentially decreasing in time that are means of polynomials of the system Hamiltonian. We obtain the spectrum of the corresponding relaxation times. We propose a method for representing the time characteristics of the system in terms of operators corresponding to the exponentially damped observables. We obtain a recurrence relation for these operators.  相似文献   

16.
17.
We consider the propagation of TM-polarized electromagnetic waves in a nonlinear dielectric layer located between two linear media. The nonlinearity in the layer is described by the Kerr law. We reduce the problem to a nonlinear boundary eigenvalue problem for a system of ordinary differential equations. We obtain a dispersion relation and a first approximation for eigenvalues of the problem. We compare the results with those obtained for the case of a linear medium in the layer.  相似文献   

18.
We analyze the energy method for inverse problems. We study the unconstrained minimization of the energy functional consisting of a least‐square fidelity term and two other regularization terms being the seminorm in the BV space and the norm in the G space. We consider a coercive (non)linear operator modelling the forward problem. We establish the uniqueness and stability results for the minimization problems. The stability is studied with respect to the perturbations in the data, in the operator, as well as in the regularization parameters. We settle convergence results for the general minimization schemes. Copyright © 2009 John Wiley & Sons, Ltd.  相似文献   

19.
We study a quadratic hedging problem for a sequence of contingent claims with random weights in discrete time. We obtain the optimal hedging strategy explicitly in a recursive representation, without imposing the non-degeneracy (ND) condition on the model and square integrability on hedging strategies. We relate the general results to hedging under random horizon and fair pricing in the quadratic sense. We illustrate the significance of our results in an example in which the ND condition fails.  相似文献   

20.
We study the behavior of solutions of the modified Stefan problem in the plane for polygonal interfaces. We are particularly interested in a solution near a singularity of either the loss of a facet or the breaking of a facet. We establish precise regularity results if a facet disappears. We use them to establish the existence of a weak solution with singular data, i.e., when some of the zero-crystalline-curvature facets have zero length.  相似文献   

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