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101.
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   
102.
Let , where A (t)/t is nondecreasing in t, {P(k)1/k} is nonincreasing. It is known that H(t) = 1 — H (t) is an increasing failure rate on the average (IFRA) distribution. A proof based on the IFRA closure theorem is given. H(t) is the distribution of life for systems undergoing shocks occurring according to a Poisson process where P (k) is the probability that the system survives k shocks. The proof given herein shows there is an underlying connection between such models and monotone systems of independent components that explains the IFRA life distribution occurring in both models.  相似文献   
103.
This paper deals with the problem of scheduling items (tasks, employees, equipment, etc.) over a finite time horizon so as to minimize total cost expenditures while maintaining a predefined separation between certain items. The problem is cyclic, because the same schedule will be repeated over several consecutive time periods of equal length. Thus, requirements are present to maintain the separation of items not only within the individual time periods considered, but also between items in adjoining periods. A special purpose branch-and-bound algorithm is developed to solve this scheduling problem by taking advantage of its cyclic nature. Computational results are given.  相似文献   
104.
Exact expressions for the first and second order moments of order statistics from the truncated exponential distribution, when the proportion 1–P of truncation is known in advance, are presented in this paper. Tables of expected values and variances-covariances are given for P = 0.5 (0.1) 0.9 and n = 1 (1) 10.  相似文献   
105.
In this paper a model is developed for determining optimal strategies for two competing firms which are about to submit sealed tender bids on K contracts. A contract calls for the winning firm to supply a specific amount of a commodity at the bid price. By the same token, the production of that commodity involves various amounts of N different resources which each firm possesses in limited quantities. It is assumed that the same two firms bid on each contract and that each wants to determine a bidding strategy which will maximize its profits subject to the constraint that the firm must be able to produce the amount of products required to meet the contracts it wins. This bidding model is formulated as a sequence of bimatrix games coupled together by N resource constraints. Since the firms' strategy spaces are intertwined, the usual quadratic programming methods cannot be used to determine equilibrium strategies. In lieu of this a number of theorems are given which partially characterize such strategies. For the single resource problem techniques are developed for determining equilibrium strategies. In the multiple resource problem similar methods yield subequilibrium strategies or strategies that are equilibrium from at least one firm's point of view.  相似文献   
106.
This article addresses bottleneck linear programming problems and in particular capacitated and constrained bottleneck transportation problems. A pseudopricing procedure based on the poly-ω procedure is used to facilitate the primal simplex procedure. This process allows the recent computational developments such as the Extended Threaded Index Method to be applied to bottleneck transportation problems. The impact on problem solution times is illustrated by computational testing and comparison with other current methods.  相似文献   
107.
Data on 23 lots of various aircraft programs were gathered. Total engineering man-hours, and information on performance, weight, area, avionics systems, data, and schedule were subjected to least squares analysis. An equation is presented which indicates a relationship between total engineering manhours and a set of seven predictor variables. While the equation derived could only be used with confidence by the manufacturer whose data was analyzed, this article should be looked upon as demonstrating a method of data analysis which others may also find useful, not only for predicting engineering manhours in major aircraft programs, but also in other situations where there is an abundance of possible predictor variables, and the problem is to sort out a meaningful subset of these variables. In order to demonstrate the viability of the formula obtained, comparisons were made with various bid programs.  相似文献   
108.
Test functions, based on various types of censored and noncensored data, for testing several hypotheses about the location, the scale, and the shape parameters of the Weibull distributions are proposed. The exact sampling distributions of these test statistics are derived and their properties in special cases are discussed. A numerical example is considered to illustrate the application of the test functions. The results of this paper possess good possibility of wide application in view of the fact that hosts of real data arising from diverse fields of human endeavor are adequately described by the Weibull distribution.  相似文献   
109.
110.
MIL-STD-414 has been in existence in its original form since 1957. Obviously, there are some things that are right about 414. But there are some changes to the standard that are long overdue. This article presents some pros and cons of 414 and a recommendation that it be replaced by a MIL-STD-414A. Two concerns regarding ANSI/ASQC Z1.9 are discussed.  相似文献   
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