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911.
建立了S波段相对论速调管放大器双间隙输出腔开放腔的3维模型。采用时域有限差分法,通过监测激励电流源的响应计算了该双间隙输出腔的谐振频率、有载Q值、场分布以及特性阻抗,并分析了腔体结构尺寸对谐振频率、有载Q值和特性阻抗的影响。研究表明:腔体半径对开放腔的谐振频率影响很大,耦合孔尺寸对腔体谐振频率的影响较小;随着耦合孔张角增加,有载Q值逐渐减小;随着腔体半径增大、间隙的减小,腔体特性阻抗降低。研究结果可为S波段强流相对论速调管放大器双间隙输出腔的设计提供理论依据。 相似文献
912.
The approach we follow consists in transforming the numerical evaluation of hyper-singular integrals into the calculation of a nearly singular integral whose mass is distributed according to a positive parameter ε. To evaluate the latter we apply a Gauss quadrature formula associated with a nearly singular weight function. It is estimated the error in terms of ε. Some numerical results are presented. 相似文献
913.
罗群 《数学的实践与认识》2013,43(3)
给出了函数的平均值问题的良定性概念,并证明了有界闭区间上连续函数的平均值问题是G-wp和GLP-wp的等结论. 相似文献
914.
This study introduces a rollon–rolloff waste collection vehicle routing problem involving large containers that accumulate huge amounts of garbage at construction sites and shopping districts. In this problem, tractors move one container at a time between customer locations, a depot, disposal facilities, and container storage yards. The complicated constraints discussed in this study arise from having multiple disposal facilities, multiple container storage yards, seven service types of customer demands, different time windows for customer demands and facilities, various types and sizes of containers, and the lunch break of tractor drivers. In addition, real-world issues, such as changing service types, multiple demands at a customer’s location, and tractors with different work schedules, are dealt with. This study proposes a large neighborhood search based iterative heuristic approach consisting of several algorithms for the problem. The effectiveness of the proposed methods is demonstrated by computational experiments using benchmark data, some instances of which are derived from real-world problems. 相似文献
915.
Lothar von Wolfersdorf 《Applicable analysis》2013,92(1-4):309-319
Two basic inverse problems for determining the constitutive relation in an attenuating medium from given absorption behavior of plane waves in the medium are dealt with in the frequency domain by methods of complex analysis. In particular the case of a prescribed constant internal friction function over the seismic frequencies is considered in detail. 相似文献
916.
John Cagnol 《Journal of Differential Equations》2011,250(2):1114-3225
The dynamic Maxwell equations with a strictly dissipative boundary condition is considered. Sharp trace regularity for the electric and the magnetic field are established for both: weak and differentiable solutions. As an application a shape optimization problem for Maxwell's equations is considered. In order to characterize the shape derivative as a solution to a boundary value problem, the aforementioned sharp regularity of the boundary traces is critical. 相似文献
917.
Shruti A. Dubey 《Journal of Mathematical Analysis and Applications》2011,376(1):275-281
This paper discusses nonlinear functional differential equation in a real reflexive Banach space with nonlocal history condition. By using the method of lines, the existence and uniqueness of a strong solution are established. Finally, some applications of the abstract results are presented. 相似文献
918.
A class of multi-point boundary value problems are studied.Easily verified suffcient conditions to guarantee the existence of at least one solutions of above mentioned BVPs are established.The examples are presented to illustrate the main results. 相似文献
919.
A new approach to solve the inverse problem of the non-stationary chemical kinetics by a reparametrization of the initial
model is suggested. This approach permits to obtain all solutions of IP in the case of a finite number or some parametric
functions in the case of the infinite number of solutions. 相似文献
920.
The aim of this paper is to expand the methodological spectrum of socially responsible investing by introducing stochastic sustainability returns into safety first models for portfolio choice. We provide a foundation of the notion of sustainability in portfolio theory and establish a general model for generalized safety first portfolio management with probabilistic constraints and three specifications of it. Moreover, we prove theorems about conditions for unique optimal solutions and for the constraints of one model being more restrictive than those of another. In an empirical part, we calculate the costs of investing according to our approach in terms of less financial return. 相似文献