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121.
By constructing close-one-cochain density Ω^12n in the gauge group space we get the Wess-Zumino-Witten (WZW) effective Lagrangian on high-dimensional noncommutative space.Especially consistent anomalies derived from this WZW effective action in noncommutative four-dimensional space coincide with those obtained by L.Bonora etc.(het-th/0002210).  相似文献   
122.
123.
Riemannian manifolds for which a natural curvature operator has constant eigenvalues on circles are studied. A local classification in dimensions two and three is given. In the 3-dimensional case one gets all locally symmetric spaces and all Riemannian manifolds with the constant principal Ricci curvatures r 1 = r 2 = 0, r 3= 0 , which are not locally homogeneous, in general.  相似文献   
124.
This paper continues the investigation about the singularity theory in dual rich quasi–Banach spaces given in T. Runst [Ru 2]. The abstract results are applied to the study of the solution structure of semilinear elliptic boundary value problems in spaces of Besov – Triebel – Lizorkin type.  相似文献   
125.
We construct a correspondence between the set of partitions of a finite set M and the set of pairs of walks to the same vertex on a graph giving the Bratteli diagram of the partition algebra on M. This is the precise analogue of the correspondence between the set of permutations of a finite set and the set of pairs of Young tableaux of the same shape, called the Robinson–Schensted correspondence.  相似文献   
126.
为了扩展以简谐振子为基矢的常规壳模型(SM)计算到晕核,提出了自相似结构壳模型(SSM).通过对简谐振子动能项和势能项的重度规以及单粒子平均场模拟,可以得到SSM中的单粒子轨道有态相关的圆频率,在SSM中,晕核大的均方根半径、厚的中子皮以及Borromean晕核和的束缚态性质能够再现出来。  相似文献   
127.
朱来义 《数学进展》1995,24(4):327-334
有界单连通区域G,其边界θG=Г∈(1,α),α〉0。本计算节以广义Faber多项式φn(z)的零点为插值结点的Lagrange插值多项式的逼近性质,得到了它对A(G↑-)中的函数的一致逼近阶和平均逼近阶的估计,并且得到了它对E^p(G)中函数的平均逼近阶的估计,还指出关于平均逼近阶的估计是不可改进的。  相似文献   
128.
本文证明了:若X是K-半分层空间,f是闭映射,则f(X)是K-半分层空间,这一结果推广改进了Lutzer与高国士的有关结果。  相似文献   
129.
In this paper, we extend the classical convergence and rate of convergence results for the method of multipliers for equality constrained problems to general inequality constrained problems, without assuming the strict complementarity hypothesis at the local optimal solution. Instead, we consider an alternative second-order sufficient condition for a strict local minimum, which coincides with the standard one in the case of strict complementary slackness. As a consequence, new stopping rules are derived in order to guarantee a local linear rate of convergence for the method, even if the current Lagrangian is only asymptotically minimized in this more general setting. These extended results allow us to broaden the scope of applicability of the method of multipliers, in order to cover all those problems admitting loosely binding constraints at some optimal solution. This fact is not meaningless, since in practice this kind of problem seems to be more the rule rather than the exception.In proving the different results, we follow the classical primaldual approach to the method of multipliers, considering the approximate minimizers for the original augmented Lagrangian as the exact solutions for some adequate approximate augmented Lagrangian. In particular, we prove a general uniform continuity property concerning both their primal and their dual optimal solution set maps, a property that could be useful beyond the scope of this paper. This approach leads to very simple proofs of the preliminary results and to a straight-forward proof of the main results.The author gratefully acknowledges the referees for their helpful comments and remarks. This research was supported by FONDECYT (Fondo Nacional de Desarrollo Científico y Technológico de Chile).  相似文献   
130.
This paper presents an analysis of a portfolio model which can be used to assist a property-liability insurance company in determining the optimal composition of the insurance and investment portfolios. By introducing insurer's threshold risk and relaxing some non-realistic assumptions made in traditional chance constraint insurance and investment portfolio models, we propose a method for an insurer to maximize his return threshold for a given threshold risk level. This proposed model can be used to optimize the composition of underwriting and investment portfolios regarding the insurer's threshold risk level, as well as to generate the efficient frontier by adjusting insurer's threshold risk levels. A numerical example is given based on the industry's aggregated data for a sixteen year period.  相似文献   
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