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271.
Policy decisions for insurance type items, where zero or one unit is maintained at the depot, are more difficult and more critical than decisions for common supply items. This report presents results of developing initial provisioning guidelines for insurance type items. The guidelines are based on examination of lifetime costs and benefits. Costs of stocking an item as compared with not stocking are developed through a sinking fund annual payment formulation. Benefits of stocking are developed as stationary reduction in time weighted backorders experienced. A resource allocation formulation yields an optimal policy for allocating a fixed budget. The guideline is presented with refinements based on a sample of items. A figure of merit is calculated for each item, and if it is large the item is stocked while if small it is not stocked. Empirical definitions for large and small are developed based on sample data. Estimation techniques are discussed for deriving all of an item's parameters needed to compute its figure of merit. A Bayes procedure is suggested based on family group Experienced Demand Replacement Factors. This and other techniques are discussed.  相似文献   
272.
This paper develops and illustrates an approximate approach for analytically assessing the impacts on both costs and service of consolidation of repair facilities. The repair facilities are two echelon generalizations of the classical repairmen problem in which two types of failures, say major and minor, can occur, each type requiring repair at a different echelon: The questions addressed are the reductions possible in spares, repairmen, and service rates due to the consolidated system's increased efficiency, as well as the physical separation between the users and the consolidated repair facility that is economical. The method of analysis is based upon asymptotic approximations developed for the repairmen problem, valid when the number of operational equipments is large (greater than 50); it is helpful since it provides a tractable means for predicting the steady-state performance of the decentralized and consolidated installations as a function of the many parameters involved without having to resort to an exhaustive computation of all the exact steady-state probabilities.  相似文献   
273.
An integral part of the MIL–STD–105D scheme for sampling inspection by attributes is the transfer from normal inspection to reduced or tightened inspection when the historical record of inspected lots suggests unusually good or bad quality. The switching rules in MIL–STD–105D have been criticized, especially by Japanese manufacturers, as being too severe when what is defined as acceptable quality material is submitted. This paper examines the long range fraction of lots rejected for several MIL–STD–105D sampling plans by using the MIL–STD–105D switching rules, using a modification suggested by the Japanese Standards Association, and by using a second modification developed by the authors. The Japanese Standards Association switching rules are more complex than those in MIL–STD–105D. It is demonstrated that they lead to improved long–range properties for Normal–Tightened–Reduced schemes, but to poorer properties for Normal–Tightened schemes. A simplified set of switching rules is suggested, wherein the “limit numbers” in MIL–STD–105D are eliminated. In comparison to MIL–STD–105D, the simpler rules lead to a lower probability of rejection for good lots and a comparable probability of rejection for bad lots.  相似文献   
274.
This paper is concerned with the determination of explicit expressions for economic order quantities and reorder levels, such that the cost of ordering and holding inventory is minimized for specific backorder constraints. Holding costs are applied either to inventory position or on-hand inventory, and the backorder constraint is considered in terms of the total number of backorders per year or the average number of backorders at any point in time. Through the substitution of a new probability density function in place of the normal p.d.f., explicit expressions are determined for the economic order quantities and the reorder points. The resulting economic order quantities are independent of all backorder constraints. It is also concluded that under certain conditions, the minimization of ordering costs and inventory holding costs (applied to inventory position), subject to a backorder constraint, is equivalent in terms of reorder levels to minimization of the safety level dollar investment subject to the same backorder constraint.  相似文献   
275.
An inventory system is described in which demand information may be incorrectly transmitted from the field to the stocking point. The stocking point employs a forwarding policy which attempts to send out to the field a quantity which, in general, is some function of the observed demand. The optimal ordering rules for the general n-period problem and the steady state case are derived. In addition orderings of the actual reorder points as functions of the errors are presented, as well as some useful economic interpretations and numerical illustrations.  相似文献   
276.
This note extends some previous work in dependent inventory models previously studied by the author. A comparison is given between optimal policies under the shortage probability criterion and a class of suboptimal policies using the usual cost minimization criterion.  相似文献   
277.
278.
In a recent paper, Kent and Quesenberry [19] considered using certain optimal invariant statistics to select the best fitting member of a collection of probability distributions using complete samples of life data. In the present work extensions of this approach in two directions are given. First, selection for complete samples based on scale and shape invariant statistics is considered. Next, the selection problem for type I censored samples is considered, and both scale invariant and maximum likelihood selection procedures are studied. The two-parameter (scale and shape) Weibull, lognormal, and gamma distributions are considered and applications to real data are given. Results from a (small) comparative simulation study are presented.  相似文献   
279.
A new bivariate negative binomial distribution is derived by convoluting an existing bivariate geometric distribution; the probability function has six parameters and admits of positive or negative correlations and linear or nonlinear regressions. Given are the moments to order two and, for special cases, the regression function and a recursive formula for the probabilities. Purely numerical procedures are utilized in obtaining maximum likelihood estimates of the parameters. A data set with a nonlinear empirical regression function and another with negative sample correlation coefficient are discussed.  相似文献   
280.
This paper provides a method for solving linear fractional interval programming problems in integers with the help of a branch and bound technique.  相似文献   
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