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101.
This paper models the interactions between the defense needs of the USA and Western Europe, which produce several heterogeneous defense goods, and the defense industry market structure. The results show that net defense costs of the USA and Europe are lower when the number of defense firms in each arms‐producing country is small and when the world prices of the defense goods are high. The model predicts that the increase in world prices will crowd‐out countries in the developing world from the market for modern weapon systems and may force them to develop and use ‘cheap and dirty’ weapon systems. 相似文献
102.
Nicholas Apergis Matteo Bonato Rangan Gupta Clement Kyei 《Defence and Peace Economics》2013,24(6):684-696
AbstractWe use the k-th-order nonparametric causality test at monthly frequency over the period of 1985:1 to 2016:06 to analyze whether geopolitical risks can predict movements in stock returns and volatility of 24 global defense firms. The nonparametric approach controls for the existing misspecification of a linear framework of causality, and hence, the mild evidence of causality obtained under the standard Granger tests cannot be relied upon. When we apply the nonparametric test, we find that there is no evidence of predictability of stock returns of these defense companies emanating from the geopolitical risk measure. However, the geopolitical risk index does predict realized volatility in 50% of the companies. Our results indicate that while global geopolitical events over a period of time is less likely to predict returns, such global risks are more inclined in affecting future risk profile of defense firms. 相似文献
103.
Since the post-World War II genesis of nuclear deterrence, two presidential initiatives have been presented to deliver humanity from the threat of its failure. The first was the Strategic Defense Initiative (SDI), a constellation of space- and ground-based systems that President Ronald Reagan envisioned would render nuclear weapons “impotent and obsolete.” The second is President Barack Obama's roadmap to “a world without nuclear weapons,” commonly referred to as “Global Zero.” While these proposals appear to have little in common, deeper investigation reveals a number of provocative similarities in motivation and presentation. Moreover, both generated fierce debate, often with ideological overtones, about their strategic desirability and technical feasibility. We use these parallels, as well as prominent dissimilarities, to draw lessons from the SDI experience that can be applied to the debate over Global Zero. 相似文献
104.
为发挥鱼雷的作战效能,提出潜射鱼雷有利相遇态势的概念,指出当一次转角射击不能满足鱼雷以有利相遇态势接近并发现目标时,各种自导方式的鱼雷均需要二次转角射击。在给出二次转角射击时机、解算模型的基础上,着重对预定相遇态势射击的关键----二次转向点的选择问题进行了系统研究,引入基于鱼雷自导探测距离的二次转向点与预定相遇点之间距离的选择方法,使得二次转向点的选择更具合理性和针对性,且适用于包括直航鱼雷在内的各种鱼雷。 相似文献
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David Betz 《Small Wars & Insurgencies》2013,24(4):510-540
This paper looks at the virtual dimension of contemporary insurgency and counterinsurgency. It argues that the West is faltering in the ‘War of Ideas’ with global Jihad for the main reason that the messages that we wish to convey lack narrative coherence. This is a result of the fact that we misapprehend the nature of the virtual operational environment whereas our opponents possess an intuitive grasp of it as a result of which their structure and method of operations are better adapted and more effective than our own. There is no reason, beyond inertia, that this should remain the case. 相似文献
108.
海面目标运动和编队阵型的约束特性,使得通过对装订阵型和末制导探测阵型进行点集匹配来选择预定目标成为一种有效途径。但当编队目标释放干扰时,会引起阵型结构发生局部变化,导致目标选择性能恶化。本文基于反舰导弹目标选择需求,分析了传感器导航和探测误差、装订信息误差、编队目标运动和释放干扰等因素所引起的位置点集变形,通过利用阵型中未污染的结构信息,提出了基于几何散列法和结构加权平均Hausdorff距离的编队预定目标选择方法。理论分析和实验结果表明,该方法不受传感器导航误差和编队目标整体运动的影响,在编队存在冲淡干扰时能有效提高目标选择能力。 相似文献
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We consider the single server Markovian queue subject to Poisson generated catastrophes. Whenever a catastrophe occurs, all customers are forced to abandon the system, the server is rendered inoperative and an exponential repair time is set on. During the repair time new arrivals are allowed to join the system. We assume that the arriving customers decide whether to join the system or balk, based on a natural linear reward‐cost structure with two types of rewards: A (usual) service reward for those customers that receive service and a (compensation) failure reward for those customers that are forced to abandon the system due to a catastrophe. We study the strategic behavior of the customers regarding balking and derive the corresponding (Nash) equilibrium strategies for the observable and unobservable cases. We show that both types of strategic behavior may be optimal: to avoid the crowd or to follow it. The crucial factor that determines the type of customer behavior is the relative value of the service reward to the failure compensation. © 2013 Wiley Periodicals, Inc. Naval Research Logistics, 2013 相似文献