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41.
By running life tests at higher stress levels than normal operating conditions, accelerated life testing (ALT) quickly yields information on the lifetime distribution of a test unit. The lifetime at the design stress is then estimated through extrapolation using a regression model. In constant‐stress testing, a unit is tested at a fixed stress level until failure or the termination time point of test, whereas step‐stress testing allows the experimenter to gradually increase the stress levels at some prefixed time points during the test. In this work, the optimal k‐level constant‐stress and step‐stress ALTs are compared for the exponential failure data under complete sampling and Type‐I censoring. The objective is to quantify the advantage of using the step‐stress testing relative to the constant‐stress one. Assuming a log‐linear life–stress relationship with the cumulative exposure model for the effect of changing stress in step‐stress testing, the optimal design points are determined under C/D/A‐optimality criteria. The efficiency of step‐stress testing to constant‐stress one is then discussed in terms of the ratio of optimal objective functions based on the information matrix. © 2013 Wiley Periodicals, Inc. Naval Research Logistics 00: 000–000, 2013 相似文献
42.
Shehzad H. Qazi 《Small Wars & Insurgencies》2013,24(4):574-602
The Pakistani Taliban, factionalized into some 40 groups, form a decentralized insurgent movement, often characterized by infighting, divergent motivations, and a shifting web of alliances. The Pakistani Taliban remain little understood because most scholars have avoided a serious treatment of the insurgent movement and instead focused on analyzing the geopolitics of the region and Pakistan's ‘double game’. This article seeks to fill this gap by dissecting the movement through selected theories of organization and mobilization. First, I explain the various dimensions of the conflict and the origins of the insurgency. Next, I discuss the Pakistani Taliban's political organization, categorizing it as composed of various warlord regimes. I further list the Taliban's component groups and numerical strength and chart the leadership structure. Lastly, I analyze insurgent recruitment strategies, accounting for the role of selective incentives, coercion, and genuine grievances. 相似文献
43.
Robert H. Dorff 《Small Wars & Insurgencies》2013,24(3):62-81
Given the challenges posed by failed and failing states, and the likelihood that such failure will continue well into the new millennium, the need for a strategic approach appears evident. Should we respond? If so, how and with what expectations? Answers to such questions require an underlying set of strategic guidelines. This article contributes to developing that strategy by examining common manifestations of state failure and some possible response objectives. It concludes by arguing that careful and tough analysis must guide our choices about where and when to respond, and how ambitiously we set our objectives. 相似文献
44.
Let Yi ∽ N(θi, σ), i = 1, …, p, be independently distributed, where θi and σ are unknown. A Bayesian approach is used to estimate the first two moments of the minimum order statistic, W = min (Y1, …, Yp). In order to compute the Bayes estimates, one has to evaluate the predictive densities of the Yi's conditional on past data. Although the required predictive densities are complicated in form, an efficient algorithm to calculate them has been developed and given in the article. An application of the Bayesian method in a continuous-review control model with multiple suppliers is discussed. © 1994 John Wiley & Sons, Inc. 相似文献
45.
A linear-programming-based method for determining whether or not n demand points are on a hemisphere
Whenever n demand points are located on a hemisphere, spherical location problems can be solved easily using geometrical methods or mathematical programming. A method based on a linear programming formulation with four constraints is presented to determine whether n demand points are on a hemisphere. The formulation is derived from a modified minimax spherical location problem whose Karush-Kuhn-Tucker conditions are the constraints of the linear program. © 1993 John Wiley & Sons, Inc. 相似文献
46.
Jobs with known processing times and due dates have to be processed on a machine which is subject to a single breakdown. The moment of breakdown and the repair time are independent random variables. Two cases are distinguished with reference to the processing time preempted by the breakdown (no other preemptions are allowed): (i) resumption without time losses and (ii) restart from the beginning. Under certain compatible conditions, we find the policies which minimize stochastically the number of tardy jobs. 相似文献
47.
We consider a one-machine scheduling problem with earliness and tardiness penalties. All jobs are assigned a common due date and the objective is to minimize the total penalty due to job earliness and tardiness. We are interested in finding the optimal combination of the common due-date value and the job sequence. Despite the fact that this problem in general is very hard to solve, we prove that there exists at least a common property for all optimal solutions: The first job in an optimal sequence is one of the longest jobs. We also prove that this property holds for a general class of unimodal penalty functions. 相似文献
48.
This article addresses deterministic, nonpreemptive scheduling of n jobs with unequal release times on a single machine to minimize the sum of job completion times. This problem is known to be NP-hard. The article compares six available lower bounds in the literature and shows that the lower bound based on the optimal solution to the preemptive version of the problem is the dominant lower bound. 相似文献
49.
Consider a stochastic simulation experiment consisting of v independent vector replications consisting of an observation from each of k independent systems. Typical system comparisons are based on mean (long‐run) performance. However, the probability that a system will actually be the best is sometimes more relevant, and can provide a very different perspective than the systems' means. Empirically, we select one system as the best performer (i.e., it wins) on each replication. Each system has an unknown constant probability of winning on any replication and the numbers of wins for the individual systems follow a multinomial distribution. Procedures exist for selecting the system with the largest probability of being the best. This paper addresses the companion problem of estimating the probability that each system will be the best. The maximum likelihood estimators (MLEs) of the multinomial cell probabilities for a set of v vector replications across k systems are well known. We use these same v vector replications to form vk unique vectors (termed pseudo‐replications) that contain one observation from each system and develop estimators based on AVC (All Vector Comparisons). In other words, we compare every observation from each system with every combination of observations from the remaining systems and note the best performer in each pseudo‐replication. AVC provides lower variance estimators of the probability that each system will be the best than the MLEs. We also derive confidence intervals for the AVC point estimators, present a portion of an extensive empirical evaluation and provide a realistic example. © 2002 Wiley Periodicals, Inc. Naval Research Logistics 49: 341–358, 2002; Published online in Wiley InterScience (www.interscience.wiley.com). DOI 10.1002/nav.10019 相似文献
50.
This paper provides a framework in which warranty policies for non-repairable items can be evaluated according to risk preferences of both buyers and sellers. In particular, a warranty price schedule is established such that sellers are indifferent among the policies. Given this schedule, a buyer's response is expressed by selecting the price-warranty combination that minimizes disutility. Within this framework, a warranty can be viewed as an instrumet of risk management that can induce more sales and greater profitability. For given utility functions, analytical results for the development of a price schedule are developed. Numerical results illustrate the substitution effects between warranty terms, prices, and risk parameters. 相似文献