摘要
本文主要讨论了以下三方面内容:1.给出了可能性理论的框架。2.给出了可能性变量分布参数的maximin(μ/E)估计原理。3.建立了取值为Fuzzy数的两种不同的线性回归模型。
Our work includes the following three aspects: 1. The concepts of possibility variable its, distribution and the independance among possibility variables are intruduced, and the framework of possibiliy theory is given. 2. The method of Maximin(μ/E ) estimation of the parameters of distribution is discussed. 3. Two different linear regression models of fuzzy valued variables are built.
出处
《模糊系统与数学》
CSCD
1989年第1期1-9,共9页
Fuzzy Systems and Mathematics