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81.
82.
This paper discusses the operations analysis in the underwater search for the remains of the submarine Scorpion The a priori target location probability distribution for the search was obtained by monte-carlo procedures based upon nine different scenarios concerning the Scorpion loss and associated credibility weights. These scenarios and weights were postulated by others. Scorpion was found within 260 yards of the search grid cell having the largest a priori probability Frequent computations of local effectiveness probabilities (LEPs) were carried out on scene during the search and were used to determine an updated (a posteriori) target location distribution. This distribution formed the basis for recommendation of the current high probability areas for search The sum of LEPs weighted by the a priori target location probabilities is called search effectiveness probability (SEP) and was used as the overall measure of effectiveness for the operation. SEP and LEPs were used previously in the Mediterranean H-bomb search On-scene and stateside operations analysis are discussed and the progress of the search is indicated by values of SEP for various periods during the operation. 相似文献
83.
84.
Satya D. Dubey 《海军后勤学研究》1971,18(4):561-566
It is pointed out in this paper that Lomax's hyperbolic function is a special case of both Compound Gamma and Compound Weibull distributions, and both of these distributions provide better models for Lomax's business failure data than his hyperbolic and exponential functions. Since his exponential function fails to yield a valid distribution function, a necessary condition is established to remedy this drawback. In the light of this result, his exponential function is modified in several ways. It is further shown that a natural complement of Lomax's exponential function does not suffer from this drawback. 相似文献
85.
A Markovian model is presented for the development of an optimal repair-replacement policy for the situation requiring a decision only at failure. The problem is characterized by the presence of growth which is integrated into the formulation. The model is applied to an actual problem, with data analysis and results given. Substantial savings are indicated. 相似文献
86.
D. Siegmund 《海军后勤学研究》1979,26(1):57-67
One-sided sequential tests for the mean of an exponential distribution are proposed, and the related confidence intervals are computed. The tests behave like the classical sequential probability-ration test when the mean is small and like a fixed-time test when the mean is large and accurate estimation is important. 相似文献
87.
Nozer D. Singpurwalla 《海军后勤学研究》1980,27(1):1-16
If we look at the literature of reliability and life testing we do not see much on the use of the powerful methods of time series analysis. In this paper we show how the methods of multivariate time series analysis can be used in a novel way to investigate the interrelationships between a series of operating (running) times and a series of maintenance (down) times of a complex system. Specifically, we apply the techniques of cross spectral analysis to help us obtain a Box-Jenkins type transfer function model for the running times and the down times of a nuclear reactor. A knowledge of the interrelationships between the running times and the down times is useful for an evaluation of maintenance policies, for replacement policy decisions, and for evaluating the availability and the readiness of complex systems. 相似文献
88.
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
89.
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
90.
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