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1.
ABSTRACT. The excessive and unsustainable exploitation of our marine resources has led to the promotion of marine reserves as a fisheries management tool. Marine reserves, areas in which fishing is restricted or prohibited, can offer opportunities for the recovery of exploited stock and fishery enhancement. In this paper we examine the contribution of fully protected tropical marine reserves to fishery enhancement by modeling marine reserve‐fishery linkages. The consequences of reserve establishment on the long‐run equilibrium fish biomass and fishery catch levels are evaluated. In contrast to earlier models this study highlights the roles of both adult (and juvenile) fish migration and larval dispersal between the reserve and fishing grounds by employing a spawner‐recruit model. Uniform larval dispersal, uniform larval retention and complete larval retention combined with zero, moderate and high fish migration scenarios are analyzed in turn. The numerical simulations are based on Mombasa Marine National Park, Kenya, a fully protected coral reef marine reserve comprising approximately 30% of former fishing grounds. Simulation results suggest that the establishment of a fully protected marine reserve will always lead to an increase in total fish biomass. If the fishery is moderately to heavily exploited, total fishery catch will be greater with the reserve in all scenarios of fish and larval movement. If the fishery faces low levels of exploitation, catches can be optimized without a reserve but with controlled fishing effort. With high fish migration from the reserve, catches are optimized with the reserve. The optimal area of the marine reserve depends on the exploitation rate in the neighboring fishing grounds. For example, if exploitation is maintained at 40%, the ‘optimal’ reserve size would be 10%. If the rate increases to 50%, then the reserve needs to be 30% of the management area in order to maximize catches. However, even in lower exploitation fisheries (below 40%), a small reserve (up to 20%) provides significantly higher gains in fish biomass than losses in catch. Marine reserves are a valuable fisheries management tool. To achieve maximum fishery benefits they should be complemented by fishing effort controls.  相似文献   
2.
We present a general risk model where the aggregate claims, as well as the premium function, evolve by jumps. This is achieved by incorporating a Lévy process into the model. This seeks to account for the discrete nature of claims and asset prices. We give several explicit examples of Lévy processes that can be used to drive a risk model. This allows us to incorporate aggregate claims and premium fluctuations in the same process. We discuss important features of such processes and their relevance to risk modeling. We also extend classical results on ruin probabilities to this model. Copyright © 2003 John Wiley & Sons, Ltd.  相似文献   
3.
外汇储备规模与多元变量弹性系数的实证研究   总被引:5,自引:0,他引:5  
中国外汇储备近几年的迅速增长引发了关于中国外汇储备规模是否适度的广泛讨论。本文从需求的角度,运用计量经济学的多元线性回归的方法,建立中国外汇储备与平均进口倾向、进口和国际收支三变量的双对数模型,通过计算并通过相关检验得到外汇储备与相关变量的弹性系数。为预测和制定相关政策提供依据。  相似文献   
4.
计秉玉  孟新 《运筹与管理》2022,31(9):135-139
大型油田开发过程中,随着不同类型新储量的不断投入,地质储量结构发生变化,表征油田整体开发技术与经济效果的关键性指标,如产量、可采储量、采收率、储采比、开发成本与操作成本等等也随之改变,其变化规律可用一套数学模型来描述。在开发指标预测基础上,运用多属性决策方法如TOPSIS,可以实现新投产区块组合方案的优选。应用实例表明,本文方法实用、操作性强,可以为油区开发决策提供重要方法与手段。  相似文献   
5.
基于全球稀土资源的供需形势和中国稀土资源减少的趋势,运用系统动力学的模型来预测未来17年我国稀土资源储备量。选取了2000~2013的生产和消费数据,通过定量模拟计算中国稀土供需差波动系数,设计了稀土资源供需差波动范围分别为0%,20%的两个方案,模拟计算了两个方案的年储备量、累计储备量和储备量绝对值。方案一范围是(-0%,+0%),仿真预测出稀土未来17年累积储备量为720551 t,即战略储备规模达到720551 t,该方案下不论供需差发生如何波动,国家都会进行储备或释放调节;方案二范围是(-20%,+20%),预测出未来17年战略储备规模为461331 t,国家只需在这个范围外进行收储释放调节,从而调节市场供求,降低价格波动幅度。本文从不同供需差的波动系数来模拟计算储备量,目的是为国家相关部门在进行稀土储备决策时提供参考,可以根据我国经济景气状况和供需形势,以及稀土产业发展状况,进行不同规模的稀土储备。  相似文献   
6.
This paper investigates a discrete‐time risk model that involves exchangeable dependent loss generating claim occurrences and compound binomially distributed aggregate loss amounts. First, a general framework is presented to derive the distribution of a surplus sequence using the model. This framework is then applied to obtain the distribution of any function of a surplus sequence in a finite‐time interval. Specifically, the distribution of the maximum surplus is obtained under nonruin conditions. Based on this distribution, the computation of the minimum surplus distribution is given. Asset and risk management–oriented implications are discussed for the obtained distributions based on numerical evaluations. In addition, comparisons are made involving the corresponding results of the classical discrete‐time compound binomial risk model, for which claim occurrences are independent and identically distributed.  相似文献   
7.
We develop a two-stage stochastic program for energy and reserve dispatch of a joint power and gas system with a high penetration of renewables. Data-driven distributionally robust chance constraints ensure that there is no load shedding and renewable spillage with high probability. We solve this problem efficiently using conditional value-at-risk approximations and linear decision rules. Out-of-sample experiments show that this model dominates the corresponding stochastic program without chance constraints that models the effects of load shedding and renewable spillage explicitly.  相似文献   
8.
Life insurance cash flows become reserve dependent when contract conditions are modified during the contract term on condition that actuarial equivalence is maintained. As a result, insurance cash flows and prospective reserves depend on each other in a circular way, and it is a non-trivial problem to solve that circularity and make cash flows and prospective reserves well-defined. In Markovian models, the (stochastic) Thiele equation and the Cantelli Theorem are the standard tools for solving the circularity issue and for maintaining actuarial equivalence. This paper expands the stochastic Thiele equation and the Cantelli Theorem to non-Markovian frameworks and presents a recursive scheme for the calculation of multiple contract modifications.  相似文献   
9.
重大灾害下应急物资储备决策是阻止突发灾难蔓延的有效手段之一。针对救灾信息具备不确定性与复杂性特点,构建基于区间二型梯形模糊集的应急物资储备动态协同决策模型,并给出应急物资储备策略。利用区间二型模糊集理论的决策方案并结合比例分析法(COPRAS),构建常态环境下应急物资供应商选择的群决策模型,解决不相容群决策属性之间的冲突问题;进而,充分考虑“救灾阶段性动态时间因素”对储备决策的影响,构建动态救灾环境下应急物资储备结构模糊优化模型,实现常态决策与非常态应急决策之间的动态协同;最后,以2012年云南丽江“6.14”突发特大山洪灾害为实例进行数值分析,验证该动态协同决策模型的合理性与可行性,能有效解决动态救灾环境下应急物资储备结构优化问题。  相似文献   
10.
应用模糊综合评判方法优选非均质油藏调剖井和层   总被引:1,自引:0,他引:1  
通过注水保持油层压力的方法开发非均质油藏,不可避免会造成油井含水或部分油井水淹.注入水窜入油井时,不管低渗透层是否受到开发,大部分注入水进入到高渗透层,因而使低渗透层在开发过程中采油速度很慢,或是基本未投入生产.为了降低产水量,保持或提高采油量,必须对已开发的非均质油藏实施相应的堵水调剖措施,防止注入水沿高渗透带水锥突进到油井,影响水驱采收率.本文建立了应用模糊综合评判方法优选非均质油藏调剖井和层的数学模型,通过实例分析表明,运用综合评判方法优选调剖井和层是一种客观有效的方法,该评价方法计算方便,易于操作和推广.  相似文献   
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