• 제목/요약/키워드: Constant Correlation Model

검색결과 166건 처리시간 0.024초

Adsorption Characteristics and Kinetic Models of Ammonium Nitrogen using Biochar from Rice Hull in Sandy Loam Soil

  • Choi, Yong-Su;Kim, Sung-Chul;Shin, Joung-Du
    • 한국토양비료학회지
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    • 제48권5호
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    • pp.413-420
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    • 2015
  • Objective of this study was to investigate adsorption characteristics and kinetic models of $NH_4-N$ to biochar produced from rice hull in respective to mitigation of greenhouse gases. $NH_4-N$ concentration was analyzed by UV Spectrophotometer. For the experiment, the soil texture used in this study was sandy loam soil, and application rates of chemical fertilizer and pig compost were $420-200-370kgha^{-1}$ (N-P-K) and $5,500kgha^{-1}$ as recommended amount after soil test for corn cultivation. Biochar treatments were 0.2-5% to soil weight. Its adsorption characteristic was investigated with application of Langmuir isotherm, and pseudo-first order kinetic model and pseudo-second order kinetic model were used as kinetic models. Adsorption amount and removal rates of $NH_4-N$ were $39.3mg^{-1}$ and 28.0% in 0.2% biochar treatment, respectively. The sorption of $NH_4-N$ to biochar was fitted well by Langmiur model because it was observed that dimensionless constant ($R_L$) was 0.48. The maximum adsorption amount ($q_m$) and binding strength constant (b) were calculated as $4.1mgg^{-1}$ and $0.01Lmg^{-1}$ in Langmuir isotherm, respectively. The pseudo-second order kinetic model was more appropriate than pseudo-first order kinetic model for high correlation coefficient ($r^2$) of pseudo-second order kinetic model. Therefore, biochar produced from rice hull could reduce $N_2O$ by adsorbing $NH_4-N$ to biochar cooperated in sandy loam soil.

가중치 산출방법에 따른 고객만족도지수의 비교 (Comparison of Customer Satisfaction Indices Using Different Methods of Weight Calculation)

  • 이상준;김용태;김성윤
    • 디지털융복합연구
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    • 제11권12호
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    • pp.201-211
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    • 2013
  • 본 연구는 다양한 가중치 산출방법을 적용하여 각 차원별 가중치 및 고객만족도지수를 비교하고 시사점을 밝혀보고자 한다. 이를 위해 가중치 산출방법을 주관적 방법과 통계적 방법으로 구분하고, 다시 주관적 방법은 고정총합법, 그리고 통계적 방법은 상관분석, 회귀분석, 주성분분석, 요인분석, 구조방정식으로 세분화하였다. 연구결과 주관적 방법과 통계적 방법에 의한 가중치는 서로 차이가 있는 것으로 나타났고, 분석방법에 따른 가중치의 순위는 유사한 패턴으로 구분되었다. 그리고 가중치 산출방법에 따른 각 차원별 가중치는 큰 편차를 보여 차원간의 변별력 및 안정성에 차이를 나타냈다. 마지막으로 다양한 가중치 산출방법에 따른 고객만족도지수는 구조방정식, 회귀분석, 상관분석, 산술평균, 주성분분석, 고정총합법, 요인분석의 순으로 높게 나타났고, 각 방법론에 따른 고객만족도지수는 통계적으로 유의한 차이가 있는 것으로 나타났다.

Measurements of Microwave Polarimetric Backscattering from a Wet Soil Surface and Comparison with a Semi-empirical Scattering Model

  • Oh, Yi-Sok
    • 대한원격탐사학회:학술대회논문집
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    • 대한원격탐사학회 1999년도 Proceedings of International Symposium on Remote Sensing
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    • pp.154-157
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    • 1999
  • Microwave polarimetric backscattering from a wet soil surface had been measured using a Ku-band polarimetric scatterometer at the incidence angles ranging from 10$^{\circ}$ to 70$^{\circ}$ Since the accurate target parameters as well as the radar parameters are necessary for radar scattering modeling, a complete and accurate set of ground truth data were also collected, from which accurate measurements were made of the rms height, correlation length, and dielectric constant. The measured polarimetric backscattering coefficients (vv-, hh-, vh-, hv-polarizations) were compared with theoretical models and empirical models. A new semi-empirical model for microwave polarimetric radar backscattering from bare soil surfaces was developed using polarimetric radar measurements and the knowledge based on the theoretical and numerical solutions. The model was found to yield very good agreement with the backscattering measurements of this study.

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공분산 추정방법에 따른 최적자산배분 성과 분석 (Covariance Estimation and the Effect on the Performance of the Optimal Portfolio)

  • 이순희
    • 한국경영과학회지
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    • 제39권4호
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    • pp.137-152
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    • 2014
  • In this paper, I suggest several techniques to estimate covariance matrix and compare the performance of the global minimum variance portfolio (GMVP) in terms of out of sample mean standard deviation and return. As a result, the return differences among the GMVPs are insignificant. The mean standard deviation of the GMVP using historical covariance is sensitive to the estimation window and the number of assets in the portfolio. Among the model covariance, the GMVP using constant systematic risk ratio model or using short sale restriction shows the best performance. The performance difference between the GMVPs using historical covariance and model covariance becomes insignificant as the historical covariance is estimated with longer estimation window. Lastly, the implied volatilities from ELW prices do not lead to superior performance to the historical variance.

반복하중을 받는 철근콘크리트 기둥의 비선형 거동 (Nonlinear Behavior of RC Columns Subjected to Cyclic Loadings)

  • 곽효경;김선필
    • 한국전산구조공학회:학술대회논문집
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    • 한국전산구조공학회 2002년도 가을 학술발표회 논문집
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    • pp.475-482
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    • 2002
  • A moment-curvature relationship to simulate the behavior of reinforced concrete (RC) columns under cyclic loading is introduced. Unlike previous moment4curvature models and the layered section approach, the proposed model takes into account the bond-slip effect by using a monotonic moment-curvature relationship constructed on the basis of the bond-slip relation and corresponding equilibrium equation at each nodal point. In addition, the use of curved unloading and reloading branches inferred from the stress-strain relation of steel gives more exact numerical result. The pinching effect caused by axial force is considered with an assumption that the absorbing energy corresponding to any deformation level maintains constant regardless of the magnitude of applied axial lone. The advantages of the proposed model, comparing to layered section approach, may be on the reduction in calculation time and memory space in case of its application to large structures. Finally, correlation studies between analytical result and experimental studies are conducted to establish the validity of the proposed model.

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線型 亂流剪斷應力모델에 의한 直四角形 조도를 갖는 二重圓管內의 非對稱流動의 解析 (Analysis of asymmetric flow in annulus with square ribs by linearly- varying shear stress model)

  • 이병곤;최영돈
    • 대한기계학회논문집
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    • 제11권1호
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    • pp.88-96
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    • 1987
  • 본 논문에서는 Maubach의 방법에 내재된 불합리한점을 보완하고자 Fig.1(b)와 같이 .iota.=0인 곳에서 속도구배를 ㄹ변환하여 마찰계수와 조도함수를 계산하였다. 이 방법에 의해 얻어진 속도분포에서는 .iota.=0인 곳에서 속도구배에 불연적성이 일어나지 않는다.

등온 수직벽의 자연대류 막응축 모델에 관한 비교분석 (Comparative Analysis of Models for Free Convective Film Condensation on an Isothermal Vertical Wall)

  • 성현찬;김경훈
    • 대한기계학회논문집B
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    • 제24권10호
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    • pp.1380-1387
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    • 2000
  • The existing theoretical models for steady two-dimensional free convective laminar film condensation of pure saturated or superheated vapor under atmospheric pressure on isothermal vertical wall have been reviewed. To investigate the effects such as inertia, thermal convective and liquid-vapor interface shear stress, the models of constant or variable properties in liquid film for condensation of saturated vapor are compared in detail with Nusselt model. Also, for condensation of superheated vapor, the effects of superheated temperature and variable properties in liquid and vapor layers are examined and then a new correlation is proposed to predict the heat transfer. The results are in good agreement with the Shang's correlation within 2% errors.

Effect of Specimen Thickness on the Statistical Properties of Fatigue Crack Growth Resistance in BS4360 Steel

  • Kim, Seon-Jin;Itagaki, Hiroshi;Ishizuka, Tetsuo
    • Journal of Mechanical Science and Technology
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    • 제14권10호
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    • pp.1041-1050
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    • 2000
  • In this paper the effect of specimen thickness on fatigue crack growth with the spatial distribution of material properties is presented. Basically, the material resistance to fatigue crack growth is treated as a spatial stochastic process, which varies randomly on the crack surface. The theoretical autocorrelation functions of fatigue crack growth resistance with specimen thickness are discussed for several correlation lengths. Constant ${\Delta}K$ fatigue crack growth tests were also performed on CT type specimens with three different thicknesses of BS 4360 steel. Applying the proposed stochastic model and statistical analysis procedure, the experimental data were analyzed for different specimen thicknesses for determining the autocorrelation functions and probability distributions of the fatigue crack growth resistance.

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등온 수직벽의 자연대류 막응축 모델에 관한 비교분석 (Comparative Analysis of Models for Free Convective Film Condensation on an Isothermal Vertical Wall)

  • 성현찬;김경훈
    • 대한기계학회:학술대회논문집
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    • 대한기계학회 2000년도 춘계학술대회논문집B
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    • pp.31-36
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    • 2000
  • The existing theoretical models for steady two-dimensional free convective laminar film condensation or pure saturated or superheated vapor under atmospheric pressure on isotheraml vertical wall have been reviewed. To investigate the effects of inertia, thermal convective and liquid-vapor interface shear stress, the models of constant or variable properties in liquid film for condensation of saturated vapor are compared in detail with Nusselt model. Also, for condensation of superheated vapor the effects of superheated temperature and variable properties in liquid and vapor layer are examined and then new correlation is proposed to predict the heat transfer. The results are in good agreement with the Shang's correlation within 2% errors.

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Dynamic bivariate correlation methods comparison study in fMRI

  • Jaehee Kim
    • Communications for Statistical Applications and Methods
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    • 제31권1호
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    • pp.87-104
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    • 2024
  • Most functional magnetic resonance imaging (fMRI) studies in resting state have assumed that the functional connectivity (FC) between time series from distinct brain regions is constant. However, increased interest has recently been in quantifying possible dynamic changes in FC during fMRI experiments. FC study may provide insight into the fundamental workings of brain networks to brain activity. In this work, we focus on the specific problem of estimating the dynamic behavior of pairwise correlations between time courses extracted from two different brain regions. We compare the sliding-window techniques such as moving average (MA) and exponentially weighted moving average (EWMA), dynamic causality with vector autoregressive (VAR) model, dynamic conditional correlation (DCC) based on volatility, and the proposed alternative methods to use differencing and recursive residuals. We investigate the properties of those techniques in a series of simulation studies. We also provide an application with major depressive disorder (MDD) patient fMRI data to demonstrate studying dynamic correlations.