首页 | 本学科首页   官方微博 | 高级检索  
文章检索
  按 检索   检索词:      
出版年份:   被引次数:   他引次数: 提示:输入*表示无穷大
  收费全文   255篇
  免费   5篇
  2021年   2篇
  2020年   3篇
  2019年   5篇
  2018年   4篇
  2017年   7篇
  2016年   7篇
  2015年   6篇
  2013年   64篇
  2011年   4篇
  2009年   6篇
  2008年   4篇
  2007年   2篇
  2006年   3篇
  2005年   7篇
  2004年   7篇
  2003年   4篇
  2002年   2篇
  2000年   3篇
  1999年   4篇
  1998年   2篇
  1997年   2篇
  1993年   1篇
  1992年   2篇
  1991年   3篇
  1990年   1篇
  1989年   3篇
  1987年   3篇
  1986年   9篇
  1985年   12篇
  1984年   3篇
  1983年   3篇
  1982年   1篇
  1981年   1篇
  1980年   3篇
  1979年   3篇
  1978年   3篇
  1977年   5篇
  1976年   4篇
  1975年   1篇
  1974年   5篇
  1973年   2篇
  1972年   8篇
  1971年   5篇
  1970年   8篇
  1969年   4篇
  1968年   4篇
  1967年   5篇
  1966年   3篇
  1949年   1篇
  1948年   1篇
排序方式: 共有260条查询结果,搜索用时 500 毫秒
61.
The problem of computing reliability and availability and their associated confidence limits for multi-component systems has appeared often in the literature. This problem arises where some or all of the component reliabilities and availabilities are statistical estimates (random variables) from test and other data. The problem of computing confidence limits has generally been considered difficult and treated only on a case-by-case basis. This paper deals with Bayes confidence limits on reliability and availability for a more general class of systems than previously considered including, as special cases, series-parallel and standby systems applications. The posterior distributions obtained are exact in theory and their numerical evaluation is limited only by computing resources, data representation and round-off in calculations. This paper collects and generalizes previous results of the authors and others. The methods presented in this paper apply both to reliability and availability analysis. The conceptual development requires only that system reliability or availability be probabilities defined in terms acceptable for a particular application. The emphasis is on Bayes Analysis and the determination of the posterior distribution functions. Having these, the calculation of point estimates and confidence limits is routine. This paper includes several examples of estimating system reliability and confidence limits based on observed component test data. Also included is an example of the numerical procedure for computing Bayes confidence limits for the reliability of a system consisting of N failure independent components connected in series. Both an exact and a new approximate numerical procedure for computing point and interval estimates of reliability are presented. A comparison is made of the results obtained from the two procedures. It is shown that the approximation is entirely sufficient for most reliability engineering analysis.  相似文献   
62.
Given n jobs and a single facility, and the fact that a subset of jobs are “related” to each other in such a manner that regardless of which job is completed first, its utility is hampered until all other jobs in the same subset are also completed, it is desired to determine the sequence which minimizes the cost of tardiness. The special case of pairwise relationship among all jobs is easily solved. An algorithm for the general case is given through a dynamic programming formulation.  相似文献   
63.
Several approximate procedures are available in the literature for obtaining confidence intervals for the parameter A of an exponential distribution based on time truncated samples. This paper contains the results of an empirical study comparing three of these procedures.  相似文献   
64.
65.
The objective of this article is to describe heuristic solutions to the problem of modeling inventories at each node of a large network in the context of a computer simulation model of that network. The heuristic solutions are compared with the mathematical solution which is too unwieldy for use in a simulation model. The Weibull cumulative distribution is used as an approximation for the heuristic models. We question whether the good performance of the Weibull is coincidence or perhaps mathematically justifiable.  相似文献   
66.
67.
68.
从"2·15"吉林大火所存在的消防安全管理原因入手,着重分析了<消防法>第51条立法之不足,通过法理与实践相结合的方法,提出了有关<消防法>第51条的完善建议,以期为实践提供理论借鉴.  相似文献   
69.
This article introduces a replacement life-test procedure for the exponential failure rate: Failure-free operation of a unit for at least tk consecutive time units is designated a “success”; the acceptance test is passed if and only if the first success is encountered before k unit failures have been recorded. Test plans are presented and the test is compared with the usual time-truncated test and to the truncated sequential probability ratio test. It is shown that this new test has smaller expected test time than the time truncated test when the true failure rate is small relative to the null hypothesized failure rate. Consistency and unbiasedness are proved and methods for making inferences on failure rate are described.  相似文献   
70.
It is sometimes reasonable to assume that the lifetime distribution of an item belongs to a certain parametric family, and that actual parameter values depend upon the testing environment of the item. In the two-parameter Weibull family setting, suppose both the shape and scale parameters are expressible as functions of the testing environment. For various models of functional dependency on environment, maximum likelihood methods are used to estimate characteristics of interest at specified environmental levels. The methodology presented handles exact, censored, and grouped data. A detailed accelerated life testing analysis of stress-rupture data for Kevlar/epoxy composites is given.  相似文献   
设为首页 | 免责声明 | 关于勤云 | 加入收藏

Copyright©北京勤云科技发展有限公司  京ICP备09084417号