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A model for a vehicle moving evasively along a fixed path is defined in terms of a two- state semi-Markov process. An important feature of this model is the continuous movement of the vehicle as a function of time. One potential application of this model is the development of a strategy for the deployment of long-range missiles on long underground tracks. 相似文献
475.
This paper considers sequential test procedures to decision problems where there exists time delays in obtaining observations. 相似文献
476.
This paper describes a technique for the calculation of the probability that a helicopter can lift a specified load, or number of loads with a specified frequency distribution, in a given geographical region. This probability is computed by determining the bivariate altitude-temperature probability distribution for the specified region. The payload capability at any given temperature and altitude is calculated from standard performance equations. By integrating this over the altitude-temperature distribution, it is possible to obtain the probability distribution of payload capability, from which the required probabilities of lifting specific loads can be determined. 相似文献
477.
This paper presents a method of selecting design parameters which optimizes a specific measure (aircraft design example: minimum weight, maximum mission effectiveness) and guarantees designated levels of response in specified areas (such as combal ceiling, acceleration time). The method employs direct search optimization applied to a nonlinear functional constrained by nonlinear surfaces. The composite design technique is combined with regression methods to determine adequate surface representations with a minimum of required data points. A sensitivity analysis is conducted at the optimum set of design parameters to test for uniqueness. 相似文献
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479.
Gunnar T. Thowsen 《海军后勤学研究》1975,22(3):461-476
A dynamic and nonstationary model is formulated for a firm which attempts to minimize total expected costs over a finite planning horizon. The control variables are price and production. The price p and the demand ζ are linked through the relationship ζ = g(p) + η, where g(p) is the riskless demand curve and η is a random variable. The general model allows for proportional ordering costs, convex holding and stockout costs, downward sloping riskless demand curve, backlogging, partial backlogging, lost sales, partial spoilage of inventory, and two modes of collecting revenue. Sufficient conditions are developed for this problem to have an optimal policy which resembles the single critical number policy known from stochastic inventory theory. It is also shown what set of parameters will satisfy these sufficiency conditions. 相似文献
480.
We investigate periodic replacement policies with minimal repair at failure, thereby, minimizing the average expected cost per unit time over an infinite time span. The standard cost structure is modified by the introduction of a term which takes adjustment costs into account. 相似文献