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1.
考虑授权再制造企业融资金额无法满足资金短缺需求的情况,构建资金约束下再制造企业的决策模型,研究初始资金及融资策略对再制造企业生产决策的影响。研究表明:资金约束下初始资金成为影响再制造企业生产决策的关键,同时授权费的增加会增大资金压力,限制其利润的增长;不论融资金额是否能满足资金短缺需求,再制造企业融资策略的选择都受初始资金限制,当其融资偏好为风险厌恶型时,可选择混合融资策略;在一定条件下再制造企业选择股权融资可提升再制造产品的社会效益。  相似文献   
2.
The role of language in mathematics teaching and learning is increasingly highlighted by standards and reform movements in the US. However, little is known about teachers’, and especially early career teachers’ (ECTs) practices and understandings related to language in mathematics instruction. This multiple case study explored the language-related understandings and practices of six ECTs in diverse elementary classrooms. Using iterative cycles of analysis, we found that all ECTs regularly attended to students’ mathematical vocabulary use and development. Yet, there was variability in ECTs’ focus on how to teach mathematical vocabulary, expectations for students’ precise use of mathematical terminology, and the use of multiple languages during instruction. These findings indicate that ECTs need more targeted support during teacher preparation and early career teaching in order to better support all students’ language development in the mathematics classroom.  相似文献   
3.
Teachers involved in a Master's level course in diversity participated in virtual, synchronous, anonymized discussions around issues of ethnic and racial diversity, gender, and stereotypes that could impact their students’ participation in fields related to science, technology, engineering, and mathematics (STEM). Guided by theoretical frameworks from Social Cognitive Career Theory (SCCT) and Critical Race Theory (CRT), a convenience sample of 14 science and mathematics teachers participated in a series of virtual chats using open‐ended questioning and facilitated by two university instructors. Using conversation and critical discourse analyses, three primary themes emerged: understanding of issues related to stereotypes, encouragement of females and minorities to pursue careers in STEM, and the place for diversity discussions in science and mathematics classrooms. The teachers felt burdened by curricular and administrative constraints that inhibit their ability to participate in thought‐provoking critical conversations. The paper concludes with a discussion of ways teachers can assist in the STEM career identity development of their underrepresented females and students of color and calls for research that combines the key findings in SCCT and CRT to build confidence and capacity for teachers to effectively confront issues of racism, sexism, and stereotyping in science and mathematics classrooms.  相似文献   
4.
本文对企业如何科学合理地选择股权激励模式问题进行研究探讨。不仅考虑到以往研究中的企业特征因素,同时也考虑了激励对象特征因素和外部实施环境因素,建立股权激励模式选择指标体系,并分析各指标间的依存关系,基于此构建了ANP网络结构模型,并选取两个代表性样本企业进行算例验证和应用,最终使得不同企业可根据自身的实际情况选择合适的股权激励模式,验证了该模型的合理性与可行性。  相似文献   
5.
Coupled spring equations for modelling the motion of two springs with weights attached, hung in series from the ceiling are described. For the linear model using Hooke's Law, the motion of each weight is described by a fourth-order linear differential equation. A nonlinear model is also described and damping and external forcing are considered. The model has many features that permit the meaningful introduction of many concepts including: accuracy of numerical algorithms, dependence on parameters and initial conditions, phase and synchronization, periodicity, beats, linear and nonlinear resonance, limit cycles, harmonic and subharmonic solutions. These solutions produce a wide variety of interesting motions and the model is suitable for study as a computer laboratory project in a beginning course on differential equations or as an individual or a small-group undergraduate research project.  相似文献   
6.
为了应对公司财务困境问题,在兼顾股东与债权人利益的基础上,采用激励相容理论,构建了基于权益再融资和策略性债务支付的公司定价模型,厘清了权益再融资、债务重组、财务困境及其伴生的再谈判之间的关系,据此提出了一种公司财务困境纾解方案。特别地,给出了策略性债务支付下进行权益再融资的可行性依据,并辅以再谈判手段及股东、债权人双方利益最大化目标,确定了最优重组边界及最优减记息票。分析结果表明:①将策略性债务支付置于财务困境之后、兼容权益再融资的综合方案,可在一定程度上避免策略性债务支付行为的投机性所导致的对公司定价的高估,产生了在一定条件下增加债务价值、放缓信用价差增长速度的效果;②权益再融资成本与信用价差之间呈现倒U型关系;③基于纳什均衡博弈的策略性债务支付减记息票不受流动性及权益再融资的影响,并可保证其处于公司的支付能力之内。  相似文献   
7.
This paper concerns the finite-horizon optimal reorganization problem under debt–equity swap. The model of equity is formulated as a parabolic variational inequality, or equivalently, a free boundary problem, where the free boundary corresponds to the optimal reorganization boundary. The existence and uniqueness of the solution are proven and the behavior of the free boundary, such as smoothness, monotonicity and boundedness, is studied. To the best of our knowledge, this is the first complete set of results on debt–equity swap for finite maturity obtained using PDE techniques.  相似文献   
8.
Implementing mathematically challenging tasks is difficult for teachers when working with emergent bilinguals because cognitively demanding tasks in mathematics commonly have high language demand. Currently, inadequate teacher preparation for teaching emergent bilinguals is becoming a significant concern in the United States as this population of students is rapidly growing. This study investigated how two mathematics preservice teachers (PSTs) support middle school emergent bilinguals to understand cognitively demanding mathematical problems through task modification. Fieldwork with a concurrent intervention was designed for the PSTs to work with emergent bilinguals in a one‐on‐one setting. The PSTs modified cognitively demanding mathematics tasks and designed a lesson for the emergent bilinguals based on the modified tasks. The results revealed that the task modification made by the PSTs tended to shift from reducing cognitive demands in mathematics and language to maintaining the demands through learning strategies of contextual support.  相似文献   
9.
在无套利框架的基础上,讨论基于个体公平原则下的寿险产品定价问题,即运用倒向随机微分方程理论,将投保人和保险人置于同一系统中进行考虑:首先,根据双方的随机投资决策目标分别建立无套利寿险定价模型和动态资产份额定价模型,得出两个特殊线性倒向随机微分方程的显式解;然后,建立基于个体公平原则的寿险定价模型,从投保人和保险人双方的角度对寿险产品进行公平定价,得出了从供需双方考虑的投资回报定价公式;最后,利用所建立的模型进行案例分析,计算出基于个体公平原则的保费及保险公司的投资策略.该寿险产品定价模型不仅考虑了保险人的意愿,还同时考虑了投保人的实际情况,因此,按此定价理念开发出的保险产品,不仅可以提高产品研发的成功率,而且使得研发出的新产品更能在竞争激烈的保险市场中站稳脚步.  相似文献   
10.
Abstract

Empirical evidence confirms that asset price processes exhibit jumps and that asset returns are not Gaussian. We provide a pricing model for equity swaps including quanto equity swaps for a non-Gaussian market. The market is driven by a general marked point process as well as by a standard multidimensional Wiener process. In order to obtain closed-form solutions of the swap values, we assume that all parameters in the asset price processes are deterministic, but possibly functions of time. We derive swap prices using martingale methods rather than replicating portfolios, and we show how to calculate the convexity correction term analytically. Our results are an extension of the results of Liao and Wang (2003 Liao, M. and Wang, M. 2003. Pricing models of equity swaps. The Journal of Futures Markets, 23(8): 751772. [Crossref], [Web of Science ®] [Google Scholar]; Pricing models of equity swaps, The Journal of Futures Markets, 23(8), pp. 751–772). The martingale method is the key that enables the extension.  相似文献   
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