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22.
Suppose X is a random variable having an absolutely continuous distribution function F(x). We assume that F(x) has the Wald distribution. A relation between the probability density function of X−1 with that of X is used to characterize the Wald distribution. 相似文献
23.
Capacity expansion models typically minimize the discounted cost of acquisition and operation over a given planning horizon. In this article we generalize this idea to one in which a capital supply curve replaces the usual discount rate. A capital supply curve is a means to model financial outlook, investment limits, and risk. We show that when such a curve is included in a capacity expansion model, it will, under certain conditions, provide a less capital intensive solution than one which incorporates a discount rate. In this article, we also provide an algorithm that solves capacity expansion models that incorporate a capital supply curve. The attractive feature of this algorithm is that it provides a means to utilize the “discount rate” models efficiently. Throughout, we give applications in power generation planning and computational experience for this application is also presented. 相似文献
24.
Classical inventory models generally assume either no backlogging of demands or unlimited backlogging. This paper treats the case wherein backlogged customers are willing to wait for a random period of time for service. A broad class of such models is discussed, with a more complete analysis performed on a simple subclass. Steady state equations are derived and solved assuming exponentially distributed interarrival times of customers, order delivery lead times, and customer patience. 相似文献
25.
This paper calls attention to an experimental design which enhances the efficiency of the technique described by B. F. Houston and R. A. Huffman [3]. This alternative design is a modification of the simplex lattice design developed by Scheffé [6] for the mixture problem. While not possessing the optimal statistical properties of the central composite design proposed in [3], such as minimum bias and minimum variance, this modified design is optimum with respect to the number of design points employed; hence, it is the minimum cost design. Further, the design proposed in this note is excellent for use in multiple-block experimentation, which is very often required with constrained systems. 相似文献
26.
Bayes adaptive control policies are developed in the present paper for the special case of a one-station lower echelon: a Poisson distribution of demand, whose mean is assumed to have a prior gamma distribution. The cost structure is of a common type. The ordering policy for the upper echelon, which minimizes expected cost, is replaced by a new type of policy, called Bayes prediction policy. This policy does not require tedious computations, of the sort required by dynamic programming solutions. The characteristics of the policies are studied by Monte Carlo simulation, and supplemented by further theoretical development. 相似文献
27.
28.
This paper describes a method of solving aircraft service life problems. The particular application concerns aircraft in the Naval Advanced Jet Training Command. The method of solution is comparative present value analysis of alternative replacement policies. The likely risks of estimation errors are reflected in the comparisons of present values. Differences are noted in the benefits associated with each policy, but external to Naval Aviation. Since the values of these benefits can be determined only at a higher level of decision-making, the result of the study is not a conclusive selection among policies, but a schedule of present values on the basis of which, together with values of the external benefits, a decision can be reached. This paper discusses replacement policies for aircraft used in the Naval Advanced Jet Pilot Training mission. Taking engineering technology and the training syllabus as given, four feasible plans for introducing replacement aircraft into service are evaluated in terms of the present values of differential costs associated with the plans and in terms of the likely errors in cost estimates used in calculation of the present values. The trade-off between present value of costs and planning flexibility is emphasized in choosing a recommended time pattern of aircraft replacement. The specific aircraft mixes considered are the TF–9J/TAF–9J and the TA–4F/A–4B. The first is the currently employed mix; the second is the proposed replacement. The problem is to select an optimal time-pattern of replacement of F–9's by A–4's, given technological differences favoring the A–4 and increasing costs of maintaining squadrons of F–9's. Replacements by aircraft types other than the A–4 are considered impractical. Four feasible plans for introducing A–4's through a 5-year period are evaluated in terms of current best estimates of the related costs of the plans and in terms of the flexibility of modifying each plan given future better information concerning the relevant costs. The method of analysis is comparative present value of expected costs. 相似文献
29.
We first present a survey on the theory of semi-infinite programming as a generalization of linear programming and convex duality theory. By the pairing of a finite dimensional vector space over an arbitrarily ordered field with a generalized finite sequence space, the major theorems of linear programming are generalized. When applied to Euclidean spaces, semi-infinite programming theory yields a dual theorem associating as dual problems minimization of an arbitrary convex function over an arbitrary convex set in n-space with maximization of a linear function in non-negative variables of a generalized finite sequence space subject to a finite system of linear equations. We then present a new generalization of the Kuhn-Tucker saddle-point equivalence theorem for arbitrary convex functions in n-space where differentiability is no longer assumed. 相似文献
30.
M. Mazumdar 《海军后勤学研究》1970,17(2):159-165
According to “interference theory” of reliability, a component fails if the maximum stress exceeds the component's strength. Assuming that both these quantities are random and their distributions are normal, we obtain in this paper some point and interval estimates of reliability when the stress distribution is known and a few observations exist on component strengths. 相似文献