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211.
地下空间的广泛开发利用给防火安全带来了很多新的问题,现有的:处方式建筑防火规范严重滞后于现代建筑对消防设计的要求。结合杭州波浪文化广场具体工程设计中存在的问题,利用火灾模拟和火灾安全工程学进行火灾风险评估,借助区域模拟软件CFAST对防火分区火灾蔓延、烟气运动过程进行模拟和定量分析,提出优化设计意见,并在工程设计中得到了应用。  相似文献   
212.
假设舰艇舱室内火灾蔓延按照发生燃烧的物品引燃次序进行,将舰艇舱室内可燃物燃烧分成若干种不同的燃烧状态,采用时问连续状态离散的Marcov模型,先后计算舰艇舱室火灾蔓延的转移概率速率函数和转移概率函数,得到不同时间下各种燃烧状态的概率分布,从而得到舰艇舱室火灾最大风险来临时间.此半经验的理论模型,可以用于舰艇火灾风险预测.  相似文献   
213.
Supplier diversification, contingent sourcing, and demand switching (whereby a firm shifts customers to a different product if their preferred product is unavailable), are key building blocks of a disruption‐management strategy for firms that sell multiple products over a single season. In this article, we evaluate 12 possible disruption‐management strategies (combinations of the basic building‐block tactics) in the context of a two‐product newsvendor. We investigate the influence of nine attributes of the firm, its supplier(s), and its products on the firs preference for the various strategies. These attributes include supplier reliability, supplier failure correlation, payment responsibility in the event of a supply failure, product contribution margin, product substitutability, demand uncertainties and correlation, and the decision makes risk aversion. Our results show that contingent sourcing is preferred to supplier diversification as the supply risk (failure probability) increases, but diversification is preferred to contingent sourcing as the demand risk (demand uncertainty) increases. We find that demand switching is not effective at managing supply risk if the products are sourced from the same set of suppliers. Demand switching is effective at managing demand risk and so can be preferred to the other tactics if supply risk is low. Risk aversion makes contingent sourcing preferable over a wider set of supply and demand‐risk combinations. We also find a two‐tactic strategy provides almost the same benefit as a three‐tactic strategy for most reasonable supply and demand‐risk combinations. © 2009 Wiley Periodicals, Inc. Naval Research Logistics, 2009  相似文献   
214.
This paper explores the construction of combat motivation in the Israel Defense Forces (IDF), arguing that although Israeli society at large is in a ‘Post Heroic’ era, the ‘Heroic Spirit’ is revealed during emergencies. A total of 1535 questionnaires were administered among combat soldiers during large-scale operations fought during national emergency and during small-scale routine operations. The results reveal differences in the construction of combat motivation typical for emergency vs. routine, as well as for reserves vs. regular units. These results indicate that the Post Heroic era is a condition that could be shifted according to cultural, organisational and individual determinants. This paper discusses the roots of these constructions and their implications on the theory of combat motivation and combat experience.  相似文献   
215.
In this article, a model for a repairable consecutive‐k‐out‐of‐n: F system with Markov dependence is studied. A binary vector is used to represent the system state. The failure rate of a component in the system depends on the state of the preceding component. The failure risk of a system state is then introduced. On the basis of the failure risk, a priority repair rule is adopted. Then the transition density matrix can be determined, and the analysis of the system reliability can be conducted accordingly. One example each of a linear and a circular system is then studied in detail to explain the model and methodology developed in this paper. © 2000 John Wiley & Sons, Inc. Naval Research Logistics 47: 18–39, 2000  相似文献   
216.
扼要地阐述了边坡工程事故引发的原因和边坡工程体系包含的不确定因素,从自然、社会、经济、管理等方面对这些因素进行了归纳,介绍了安全评估的故障树分析法以及由顶事件概率求底事件概率的计算公式.从技术的角度对土质开挖边坡工程体系进行了研究,建立了边坡工程故障树模型以及在此模型下边坡工程风险事件发生概率Pf的计算方法.在求解风险损失的过程中分析了传统专家调查法存在的不足,从而提出改进的专家调查法.通过工程实例,定性和定量地对边坡工程风险进行了分析,利用风险分级体系对风险的大小进行评价,为边坡工程风险管理提供了一定的依据.  相似文献   
217.
装备研制项目技术风险评估模型   总被引:2,自引:0,他引:2  
建立了装备研制项目技术风险评估模型,并用系统分析的方法,实现了对技术风险的动态评估,并以示例进行了验证.  相似文献   
218.
A mathematical formulation of an optimization model designed to select projects for inclusion in an R&D portfolio, subject to a wide variety of constraints (e.g., capital, headcount, strategic intent, etc.), is presented. The model is similar to others that have previously appeared in the literature and is in the form of a mixed integer programming (MIP) problem known as the multidimensional knapsack problem. Exact solution of such problems is generally difficult, but can be accomplished in reasonable time using specialized algorithms. The main contribution of this paper is an examination of two important issues related to formulation of project selection models such as the one presented here. If partial funding and implementation of projects is allowed, the resulting formulation is a linear programming (LP) problem which can be solved quite easily. Several plausible assumptions about how partial funding impacts project value are presented. In general, our examples suggest that the problem might best be formulated as a nonlinear programming (NLP) problem, but that there is a need for further research to determine an appropriate expression for the value of a partially funded project. In light of that gap in the current body of knowledge and for practical reasons, the LP relaxation of this model is preferred. The LP relaxation can be implemented in a spreadsheet (even for relatively large problems) and gives reasonable results when applied to a test problem based on GM's R&D project selection process. There has been much discussion in the literature on the topic of assigning a quantitative measure of value to each project. Although many alternatives are suggested, no one way is universally accepted as the preferred way. There does seem to be general agreement that all of the proposed methods are subject to considerable uncertainty. A systematic way to examine the sensitivity of project selection decisions to variations in the measure of value is developed. It is shown that the solution for the illustrative problem is reasonably robust to rather large variations in the measure of value. We cannot, however, conclude that this would be the case in general. © 2001 John Wiley & Sons, Inc. Naval Research Logistics 48: 18–40, 2001  相似文献   
219.
李兵 《国防科技》2020,41(3):19-24,66
突发重大疫情后,科学的风险管理方法可为有效规避和控制风险提供有力支撑。在突发重大疫情风险管理中,风险识别是基础,风险评估是核心,风险控制是目的。本文系统梳理与分析了风险管理中的常用方法,包括风险识别中的现场勘查法、事故树分析法、过程回溯法、专家认证法和案例分析法等5种方法,风险评估中的风险坐标图法、关键风险指标法、蒙特卡罗法、因果关系法和综合评价法等5种方法,以及风险控制决策中的成本收益决策法、决策树法和损失期望值决策法等3种方法,并对每种方法如何在此次由新型冠状病毒引发的突发重大疫情中实践应用进行了举例说明,可为今后在应对突发重大疫情时进行科学风险识别、有效风险评估和精准风险控制决策提供借鉴与参考。  相似文献   
220.
军事演习风险对军事演习的安全顺利进行有很大的影响。有效控制演习风险,首先需要全面、系统地识别出军事演习中存在的风险因素。本文在给出军事演习风险定义的基础上,运用等级全息模型(hierarchical holographic modeling,HHM)~([1])的思想和方法建立HHM风险识别模型,对军事演习中存在的风险进行分析和识别,有助于提升军事演习风险识别的准确性和全面性,为军事演习风险的评估和控制打下坚实的基础,对军事演习的安全进行和军事训练水平的提升具有重要意义。  相似文献   
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