首页 | 本学科首页   官方微博 | 高级检索  
文章检索
  按 检索   检索词:      
出版年份:   被引次数:   他引次数: 提示:输入*表示无穷大
  收费全文   509篇
  免费   98篇
  国内免费   24篇
  2024年   1篇
  2023年   3篇
  2022年   3篇
  2021年   14篇
  2020年   13篇
  2019年   9篇
  2018年   6篇
  2017年   10篇
  2016年   16篇
  2015年   28篇
  2014年   23篇
  2013年   73篇
  2012年   24篇
  2011年   23篇
  2010年   43篇
  2009年   32篇
  2008年   44篇
  2007年   34篇
  2006年   30篇
  2005年   30篇
  2004年   24篇
  2003年   17篇
  2002年   25篇
  2001年   22篇
  2000年   13篇
  1999年   20篇
  1998年   6篇
  1997年   3篇
  1996年   1篇
  1995年   5篇
  1994年   5篇
  1993年   3篇
  1992年   4篇
  1991年   1篇
  1990年   4篇
  1989年   2篇
  1988年   1篇
  1987年   3篇
  1986年   2篇
  1985年   2篇
  1983年   1篇
  1982年   1篇
  1981年   1篇
  1979年   1篇
  1978年   3篇
  1973年   1篇
  1967年   1篇
排序方式: 共有631条查询结果,搜索用时 15 毫秒
381.
电子对抗与舰空导弹系统综合反导的电磁兼容的初步分析   总被引:1,自引:0,他引:1  
电子对抗与舰空导弹在综合反导时,往往会存在电磁不兼容的情况。电磁兼容问题会影响舰空导弹和电子对抗的防御效果。因此,为了充分发挥舰艇的综合防御效能,提高单舰防空反导体系的作战能力,必须充分考虑二者在综合使用时的电磁兼容问题。在对电磁兼容性分析的基础上,针对电磁不兼容情况下2种手段的使用进行了具体分析,得出综合反导中舰空导弹为主,电子对抗为辅的原则。  相似文献   
382.
以相对运动方程组为基础,分析了导引律的运动学实质和过重力补偿的信号流图,进而分别对比例导引和基于过重力补偿为常值的过重力补偿比例导引下的弹道进行了对比仿真计算。结果表明,过重力补偿比例导引适用于攻击非机动和机动性不大的目标,落角增大,命中点附近视线偏转和控制过载变大,能够实现对目标的大落角攻顶效应。  相似文献   
383.
传统的虚拟现实系统通常是基于C /OpenGL的,对硬件配置要求高、不利于网络传输,在MATLAB环境下进行调用和渲染时运算量大、实时性差.一种基于VRML虚拟现实技术和MATLAB仿真技术的虚拟试验方案,有效地解决了电传动装甲车辆动态仿真的实时性问题.运行结果表明,该方案简便可行、运行可靠,很好地满足了虚拟试验的要求,为MATLAB环境下的可视化仿真提供了一种有效方法.  相似文献   
384.
本文主要论述土地革命初期党的“六大”以前中共中央的探索对中国革命道路理论的贡献。文章认为,这一时期中央虽然存在“左”的偏差,但党提出了土地革命、农民起义与割据、建立革命政权、建设工农武装的思想。这些思想通过中央的指示和宣传,深入到全党的思想之中,成为工农武装割据、农村包围城市道路理论的重要思想源泉。  相似文献   
385.
采用恒压比较法设计了人体综合电阻测试系统,电路结构为两路双限比较器,符合国标、军标的防静电测试要求,具有声光提示功能,可广泛应用于弹药库、电子产品及火工品生产车间等防静电工作区。  相似文献   
386.
Motivated by wind energy applications, we consider the problem of optimally replacing a stochastically degrading component that resides and operates in a partially observable environment. The component's rate of degradation is modulated by the stochastic environment process, and the component fails when it is accumulated degradation first reaches a fixed threshold. Assuming periodic inspection of the component, the objective is to minimize the long‐run average cost per unit time of performing preventive and reactive replacements for two distinct cases. The first case examines instantaneous replacements and fixed costs, while the second considers time‐consuming replacements and revenue losses accrued during periods of unavailability. Formulated and solved are mixed state space, partially observable Markov decision process models, both of which reveal the optimality of environment‐dependent threshold policies with respect to the component's cumulative degradation level. Additionally, it is shown that for each degradation value, a threshold policy with respect to the environment belief state is optimal if the environment alternates between two states. The threshold policies are illustrated by way of numerical examples using both synthetic and real wind turbine data. © 2015 Wiley Periodicals, Inc. Naval Research Logistics 62: 395–415, 2015  相似文献   
387.
Motivated by the presence of loss‐averse decision making behavior in practice, this article considers a supply chain consisting of a firm and strategic consumers who possess an S‐shaped loss‐averse utility function. In the model, consumers decide the purchase timing and the firm chooses the inventory level. We find that the loss‐averse consumers' strategic purchasing behavior is determined by their perceived gain and loss from strategic purchase delay, and the given rationing risk. Thus, the firm that is cognizant of this property tailors its inventory stocking policy based on the consumers' loss‐averse behavior such as their perceived values of gain and loss, and their sensitivity to them. We also demonstrate that the firm's equilibrium inventory stocking policy reflects both the economic logic of the traditional newsvendor inventory model, and the loss‐averse behavior of consumers. The equilibrium order quantity is significantly different from those derived from models that assume that the consumers are risk neutral and homogeneous in their valuations. We show that the firm that ignores strategic consumer's loss‐aversion behavior tends to keep an unnecessarily high inventory level that leads to excessive leftovers. Our numerical experiments further reveal that in some extreme cases the firm that ignores strategic consumer's loss‐aversion behavior generates almost 92% more leftovers than the firm that possesses consumers’ loss‐aversion information and takes it into account when making managerial decisions. To mitigate the consumer's forward‐looking behavior, we propose the adoption of the practice of agile supply chain management, which possesses the following attributes: (i) procuring inventory after observing real‐time demand information, (ii) enhanced design (which maintains the current production mix but improves the product performance to a higher level), and (iii) customized design (which maintains the current performance level but increases the variety of the current production line to meet consumers’ specific demands). We show that such a practice can induce the consumer to make early purchases by increasing their rationing risk, increasing the product value, or diversifying the product line. © 2015 Wiley Periodicals, Inc. Naval Research Logistics 62: 435–453, 2015  相似文献   
388.
We consider two specially structured assemble‐to‐order (ATO) systems—the N‐ and W‐systems—under continuous review, stochastic demand, and nonidentical component replenishment leadtimes. Using a hybrid approach that combines sample‐path analysis, linear programming, and the tower property of conditional expectation, we characterize the optimal component replenishment policy and common‐component allocation rule, present comparative statics of the optimal policy parameters, and show that some commonly used heuristic policies can lead to significant optimality loss. The optimality results require certain symmetry in the cost parameters. In the absence of this symmetry, we show that, for systems with high demand volume, the asymptotically optimal policy has essentially the same structure; otherwise, the optimal policies have no clear structure. For these latter systems, we develop heuristic policies and show their effectiveness. © 2016 Wiley Periodicals, Inc. Naval Research Logistics 62: 617–645, 2015  相似文献   
389.
A change order is frequently initiated by either the supplier or the buyer, especially when the contract is long‐term or when the contractual design is complex. In response to a change order, the buyer can enter a bargaining process to negotiate a new price. If the bargaining fails, she pays a cancellation fee (or penalty) and opens an auction. We call this process the sequential bargaining‐auction (BA). At the time of bargaining, the buyer is uncertain as to whether the bargained price is set to her advantage; indeed, she might, or might not, obtain a better price in the new auction. To overcome these difficulties, we propose a new change‐order‐handling mechanism by which the buyer has an option to change the contractual supplier after bargaining ends with a bargained price. We call this the option mechanism. By this mechanism, the privilege of selling products or services is transferred to a new supplier if the buyer exercises the option. To exercise the option, the buyer pays a prespecified cash payment, which we call the switch price, to the original supplier. If the option is not exercised, the bargained price remains in effect. When a switch price is proposed by the buyer, the supplier decides whether or not to accept it. If the supplier accepts it, the buyer opens an auction. The option is exercised when there is a winner in the auction. This article shows how, under the option mechanism, the optimal switch price and the optimal reserve price are determined. Compared to the sequential BA, both the buyer and the supplier benefit. Additionally, the option mechanism coordinates the supply chain consisting of the two parties. © 2015 Wiley Periodicals, Inc. Naval Research Logistics 62: 248–265, 2015  相似文献   
390.
In this article, we consider a loss‐averse newsvendor with stochastic demand. The newsvendor might procure options when demand is unknown, and decide how many options to execute only after demand is revealed. If the newsvendor reserves too many options, he would incur high reservation costs. Yet reserving too few could result in lost sales. So the newsvendor faces a trade‐off between reservation costs and losing sales. When there are multiple options available, the newsvendor has to consider how many units of each to reserve by studying the trade‐off between flexibility and costs. We show how the newsvendor's loss aversion behavior affects his ordering decision, and propose an efficient algorithm to compute his optimal solution in the general case with n options. We also present examples showing how the newsvendor's ordering strategy changes as loss aversion rises. © 2014 Wiley Periodicals, Inc. 62:46–59, 2015  相似文献   
设为首页 | 免责声明 | 关于勤云 | 加入收藏

Copyright©北京勤云科技发展有限公司  京ICP备09084417号