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151.
This paper introduces a general or “distribution‐free” model to analyze the lifetime of components under accelerated life testing. Unlike the accelerated failure time (AFT) models, the proposed model shares the advantage of being “distribution‐free” with the proportional hazard (PH) model and overcomes the deficiency of the PH model not allowing survival curves corresponding to different values of a covariate to cross. In this research, we extend and modify the extended hazard regression (EHR) model using the partial likelihood function to analyze failure data with time‐dependent covariates. The new model can be easily adopted to create an accelerated life testing model with different types of stress loading. For example, stress loading in accelerated life testing can be a step function, cyclic, or linear function with time. These types of stress loadings reduce the testing time and increase the number of failures of components under test. The proposed EHR model with time‐dependent covariates which incorporates multiple stress loadings requires further verification. Therefore, we conduct an accelerated life test in the laboratory by subjecting components to time‐dependent stresses, and we compare the reliability estimation based on the developed model with that obtained from experimental results. The combination of the theoretical development of the accelerated life testing model verified by laboratory experiments offers a unique perspective to reliability model building and verification. © 1999 John Wiley & Sons, Inc. Naval Research Logistics 46: 303–321, 1999  相似文献   
152.
Scheduling a set of n jobs on a single machine so as to minimize the completion time variance is a well‐known NP‐hard problem. In this paper, we propose a sequence, which can be constructed in O(n log n) time, as a solution for the problem. Our primary concern is to establish the asymptotical optimality of the sequence within the framework of probabilistic analysis. Our main result is that, when the processing times are randomly and independently drawn from the same uniform distribution, the sequence is asymptotically optimal in the sense that its relative error converges to zero in probability as n increases. Other theoretical results are also derived, including: (i) When the processing times follow a symmetric structure, the problem has 2⌊(n−1)/2⌋ optimal sequences, which include our proposed sequence and other heuristic sequences suggested in the literature; and (ii) when these 2⌊(n−1)/2⌋ sequences are used as approximate solutions for a general problem, our proposed sequence yields the best approximation (in an average sense) while another sequence, which is commonly believed to be a good approximation in the literature, is interestingly the worst. © 1999 John Wiley & Sons, Inc. Naval Research Logistics 46: 373–398, 1999  相似文献   
153.
The problem of searching for randomly moving targets such as children and submarines is known to be fundamentally difficult, but finding efficient methods for generating optimal or near optimal solutions is nonetheless an important practical problem. This paper investigates the efficiency of Branch and Bound methods, with emphasis on the tradeoff between the accuracy of the bound employed and the time required to compute it. A variety of bounds are investigated, some of which are new. In most cases the best bounds turn out to be imprecise, but very easy to compute. © 1998 John Wiley & Sons, Inc. Naval Research Logistics 45: 243–257, 1998  相似文献   
154.
This article investigates inference for pmax, the largest cell probability in multinomial trials for the case of a small to moderate number of trials. Emphasis focuses on point and interval estimation. Both frequentist and Bayesian approaches are developed. The results of extensive simulation investigation are included as well as the analysis of a set of crime data for the city of New Orleans taken from the National Crime Survey.  相似文献   
155.
This article proposes a mathematical-programming-based approach to solve the classification problem in discriminant analysis which explicitly considers the classification gap. The procedure consists of two distinct phases and initially treats the classification gap as a fuzzy set in which the classification rule is not yet established. The nature of the classification gap is examined and a variety of methods are discussed which can be applied to identify the most appropriate classification rule over the fuzzy set. The proposed methodology has several potential advantages. First, it offers a more refined approach to the classification problem, facilitating careful analysis of the fuzzy region where the classification decision may not be obvious. Secondly, the two-phase approach enables the analysis of larger data sets when using computer-intensive procedures such as mixed-integer programming. Finally, because of the restricted choice of separating hyperplanes in phase 2, the approach appears to be more robust than other classification techniques with respect to outlier-contaminated data conditions. The robustness issue and computational advantage of our proposed methodology are illustrated using a limited simulation experiment.  相似文献   
156.
Without restricting the class of permissible schedules, we derive optimal schedules for economic lot scheduling problems that are fully loaded, have external setups, and have only two products. The fully loaded condition accurately represents certain types of bottlenecks. We show that the optimal schedule must have the Wagner-Whitin property. We also develop a measure of aggregate inventory, derive an optimal steady-state aggregate inventory policy, and provide conditions under which the aggregate inventory level of an optimal schedule must approach a steady state. By restricting the class of permissible schedules to rotation cycle schedules, we extend these results to more than two products.  相似文献   
157.
Let X be a positive random variable. The distribution F of X is said to be “new better than used in expectation,” or “NBUE,” if E(X)E(Xt|X > t) for all t ⩾ 0. Suppose X1, …, Xn, is a random sample from an NBUE distribution F. The problem of estimating F by a distribution which is itself NBUE is considered. The estimator Gn, defined as the NBUE distribution supported on the sample which minimizes the (sup norm) distance between the NBUE class and the empirical distribution function, is studied. The strong uniform consistency of Gn, is proven, and a numerical algorithm for obtaining Gn, is given. Our approach is applied to provide an estimate of the distribution of lifetime following the diagnosis of chronic granulocytic leukemia based on data from a National Cancer Institute study.  相似文献   
158.
In this article we consider two versions of two-on-two homogeneous stochastic combat and develop expressions, in each case, for the state probabilities. The models are natural generalizations of the exponential Lanchester square law model. In the first version, a marksman whose target is killed resumes afresh the killing process on a surviving target; in the second version, the marksman whose target is killed merely uses up his remaining time to a kill on a surviving target. Using the state probabilities we then compute such important combat measures as (1) the mean and variance of the number of survivors as they vary with time for each of the sides, (2) the win probabilities for each of the sides, and (3) the mean and variance of the battle duration time. As an application, computations were made for the specific case of a gamma (2) interfiring time random variable for each side and the above combat measures were compared with the appropriate exponential and deterministic Lanchester square law approximations. The latter two are shown to be very poor approximations in this case.  相似文献   
159.
A procedure for obtaining a facilities scatter diagram within a rectangular boundary is developed using a multifacility location model. This method gives favorable computational results and has the advantage over other scatter diagram methods of being able to accommodate fixed facility locations. Examples illustrate how this method can be used by a designer/analyst either as a one-step algorithm or iteratively to build a layout.  相似文献   
160.
Studied here is the problem of evaluating the formation of coalitions in cooperative games by considering its internal and external effects. Our analysis is based upon a formal theory of the quotient game and the use of multilinear extensions to compute the Shapley value and the coalitional value. When it applies to simple games, a series of interesting results is obtained. © 1996 John Wiley & Sons, Inc.  相似文献   
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