研究方法采用以期望值—基尼均差为集合空间的随机优势风险决策模型。
The analytical framework of choice in this study was stochastic efficiency analysis in a mathematical programming form of Mean-Gini difference.
研究方法采用以期望值—基尼均差为集合空间的随机优势风险决策模型。
The analytical framework of choice in this study was stochastic efficiency analysis in a mathematical programming form of Mean-Gini difference.
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