996 resultados para generalized Schwarz–Christoffel mapping


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In this paper a parallel implementation of an Adaprtive Generalized Predictive Control (AGPC) algorithm is presented. Since the AGPC algorithm needs to be fed with knowledge of the plant transfer function, the parallelization of a standard Recursive Least Squares (RLS) estimator and a GPC predictor is discussed here.

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In this paper a parallel implementation of an Adaprtive Generalized Predictive Control (AGPC) algorithm is presented. Since the AGPC algorithm needs to be fed with knowledge of the plant transfer function, the parallelization of a standard Recursive Least Squares (RLS) estimator and a GPC predictor is discussed here.

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The Adaptive Generalized Predictive Control (AGPC) algorithm can be speeded up using parallel processing. Since the AGPC algorithm needs to be fed with the knowledge of the plant transfer function, the parallelization of a standard Recursive Least Squares (RLS) estimator and a GPC predictor is discussed here.

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The Adaptive Generalized Predictive Control (GPC) algorithm can be speeded up using parallel processing. Since the GPC algorithm needs to be fed with knowledge of the plant transfer function, the parallelization of a standard Recursive Least Squares (RLS) estimator and a GPC predictor is discussed here.

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Die Bachelorarbeit beschäftigt sich mit der Ontologie des Forschungsinformationssystems VIVO. In der Arbeit wird der Versuch unternommen, die Ontologie an die Besonderheiten des deutschen Wissenschaftsbetriebs anzupassen, mit dem Ziel, die Einführung des Systems für eine deutsche Einrichtung zu erleichtern. Das Mapping und die Erweiterung sind auf die Bereiche „Positionsbezeichnungen“ und „Organisationseinheiten“ beschränkt. Der theoretische Teil behandelt das Thema der Forschungsinformationen und deren Implementierung in ein Forschungsinformationssystem. Unter anderem werden auch die Tendenzen der Standardisierung in dem Bereich beleuchtet. Bei der Darstellung von VIVO als eine Semantic-Web-Anwendung steht die Ontologie, als Grundlage für die Funktionalitäten des Systems im Vordergrund.

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We generalize the concept of .systematic risk to a broad class of risk measures potentially accounting for high distribution moments, downside risk, rare disasters, as well as other risk attributes. We offer two different approaches. First is an equilibrium framework generalizing the Capital Asset Pricing Model, two-fund separation, and the security market line. Second is an axiomatic approach resulting in a systematic risk measure as the unique solution to a risk allocation problem. Both approaches lead to similar results extending the traditional beta to capture multiple dimensions of risk. The results lend themselves naturally to empirical investigation.