登录
首页 » matlab » dalin

dalin

于 2012-12-29 发布 文件大小:5KB
0 250
下载积分: 1 下载次数: 11

代码说明:

  计算机控制工程带延迟环节系统的大林控制matlab实现算法(Computer Control Engineering with delay the link system Dalin control matlab algorithm)

下载说明:请别用迅雷下载,失败请重下,重下不扣分!

发表评论

0 个回复

  • System_Analysis_Design_based_on_Matlab
    说明:  基于MATLAB的系统分析与设计-小波分析 通过matlab结合小波分析的知识处理dsp(MATLAB-based analysis and design- wavelet analysis through the combination of wavelet analysis matlab knowledge deal with dsp)
    2008-09-22 19:07:04下载
    积分:1
  • GUImatlab
    基于GUI的图像处理软件平台的开发 五种常用的边缘检测、灰度直方图的显示、灰度直方图的均衡化、对比度自适应直方图的均衡化、图片的二值化以及彩色图片的灰度化(GUI-based image processing software platform of five commonly used edge detection, histogram display, gray histogram equalization, adaptive histogram equalization contrast, the image binarization and color pictures of the gray degree of)
    2010-05-30 16:32:14下载
    积分:1
  • psk
    psk modulation is done using simulink model in this document. hope u get knowledge
    2013-02-05 12:19:07下载
    积分:1
  • dvr
    dynamic voltage restorer by dq0 control system
    2013-03-08 18:09:42下载
    积分:1
  • Filterlab
    有源带通滤波器设计软件Filterlab中文使用参考资料(Active band-pass filter design software Filterlab Chinese use reference materials)
    2013-11-05 00:18:32下载
    积分:1
  • Enhanced-Video-Coding
    IEEE paper in communication - video coding
    2013-01-16 22:59:36下载
    积分:1
  • matlab
    实验名称:投资组合分析 实验性质:综合性和研究探索性 实验目的:熟练运用投资组合工具箱,学会构造有效前沿组合的方法,掌握最优投资组合的计算方法;给出投资组合VaR 的值。 实验任务:选择股票并从万得下载数据,计算证券的预期收益率、标准差和协方差,设定一组约束条件,构造最优投资组合并计算该组合的Var值。 实验设备:计算机 实验软件:Matlab2013 Wind数据库 选择一组股票作为投资标的,构造投资组合,通过估计收益率均值、计算方差、协方差,计算该投资组合权重、在险价值、画出有效前沿。(Experimental Name: Portfolio Analysis Experimental nature: comprehensiveness and research exploration The purpose of the experiment is to skillfully use the portfolio toolbox, learn to construct effective frontier portfolio method, grasp the best investment portfolio calculation method, and give the value of portfolio VaR. Experimental tasks: select stock and download data from Wan De, calculate the expected return, standard deviation and covariance of securities, set up a set of constraints, construct the optimal portfolio and calculate the Var value of the portfolio. Experimental equipment: computer Experimental software: Matlab2013 Wind database A group of stocks is selected as investment target, and a portfolio is constructed. By estimating the mean value, variance and covariance of the yield, we calculate the portfolio weight, value at risk and draw effective frontier.)
    2017-12-27 13:31:24下载
    积分:1
  • t_tide_v1.2beta
    说明:  用Matlab编写的一款计算调和常数的程序包,附有数据,非常适合想要用matlab计算调和常数的爱好者(Using Matlab prepared a calculation of harmonic constants package, accompanied by data, very suitable for the calculation you want to use matlab to reconcile the constant lovers)
    2008-09-04 23:59:44下载
    积分:1
  • aboutgddmatlab
    对广义高斯分布有个基本的认识,为以后的应用打下基础(The generalized Gaussian distribution have a basic understanding of lay the foundation for future applications)
    2010-10-14 19:12:06下载
    积分:1
  • whole_system_new_source
    simulink双效串并联吸收式制冷动态仿真(simulation for absorption refrigeration)
    2013-12-04 16:23:25下载
    积分:1
  • 696516资源总数
  • 106913会员总数
  • 8今日下载