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   5730篇
  免费   642篇
  国内免费   383篇
化学   1269篇
晶体学   10篇
力学   542篇
综合类   110篇
数学   3455篇
物理学   1369篇
  2024年   8篇
  2023年   68篇
  2022年   189篇
  2021年   165篇
  2020年   221篇
  2019年   199篇
  2018年   166篇
  2017年   239篇
  2016年   296篇
  2015年   151篇
  2014年   316篇
  2013年   429篇
  2012年   323篇
  2011年   319篇
  2010年   301篇
  2009年   355篇
  2008年   363篇
  2007年   368篇
  2006年   292篇
  2005年   306篇
  2004年   261篇
  2003年   236篇
  2002年   197篇
  2001年   154篇
  2000年   129篇
  1999年   109篇
  1998年   83篇
  1997年   78篇
  1996年   61篇
  1995年   48篇
  1994年   42篇
  1993年   30篇
  1992年   28篇
  1991年   27篇
  1990年   27篇
  1989年   14篇
  1988年   20篇
  1987年   12篇
  1986年   17篇
  1985年   12篇
  1984年   14篇
  1983年   9篇
  1982年   9篇
  1981年   17篇
  1980年   9篇
  1979年   8篇
  1978年   8篇
  1977年   8篇
  1976年   4篇
  1975年   3篇
排序方式: 共有6755条查询结果,搜索用时 0 毫秒
1.
Signed graphs for portfolio analysis in risk management   总被引:1,自引:0,他引:1  
We introduce the notion of structural balance for signed graphsin the context of portfolio analysis. A portfolio of securitiescan be represented as a signed graph with the nodes denotingthe securities and the edges representing the correlation betweenthe securities. With signed graphs, the characteristics of aportfolio from a risk management perspective can be uncoveredfor analysis purposes. It is shown that a portfolio characterizedby a signed graph of positive and negative edges that is structurallybalanced is characteristically more predictable. Investors whoundertake a portfolio position with all positively correlatedsecurities do so with the intention to speculate on the upside(or downside). If the portfolio consists of negative edges andis balanced, then it is likely that the position has a hedgingdisposition within it. On the other hand, an unbalanced signedgraph is representative of an investment portfolio which ischaracteristically unpredictable.  相似文献   
2.
信用担保机构是连接银行和企业的桥梁,对于改善企业融资环境和拓展银行业务具有重要意义,信用担保风险的评审是担保机构能否生存及有效运行的关键。信用风险的评审机制主观性强,对担保项目进行客观,公正的评审比较困难。本采用模糊数学中的综合判别方法,全面考虑风险评审所涵盖的各种风险指标及其重要度,建立了定性分析与定量分析方法相结合的信用担保风险综合评审模型,为担保机构提供了一种相对科学、客观的评审方法。  相似文献   
3.
The problem of the stability of steady convective viscous incompressible fluid flow in a vertical layer with boundaries at different temperatures is considered in the presence of transverse blowing through the layer. The complete spectral problem is solved for a silicon melt. The neutral curve is constructed and the critical Grashof number is found. The numerical calculations show that the presence of transverse blowing significantly affects the flow stability. As compared with the Oberbeck-Boussinesq model, in the microconvection model the instability develops at lower wavenumbers.  相似文献   
4.
The asymptotic behaviour of a Stokes flow with Tresca free boundary friction conditions when one dimension of the fluid domain tends to zero is studied. A specific Reynolds equation associated with variational inequalities is obtained and uniqueness is proved.  相似文献   
5.
OSCILLATION RESULTS FOR A SECOND ORDER NEUTRAL DELAY DIFFERENTIAL EQUATIONS   总被引:1,自引:0,他引:1  
Some new oscillation criteria are established for a second order neutral delay differential equations. These results improve oscillation results of Y.V. Rogo-vchenko for the retarded delay differential equations. The relevance of our theorems is illustrated with two carefully selected examples.  相似文献   
6.
This paper presents an analysis of a portfolio model which can be used to assist a property-liability insurance company in determining the optimal composition of the insurance and investment portfolios. By introducing insurer's threshold risk and relaxing some non-realistic assumptions made in traditional chance constraint insurance and investment portfolio models, we propose a method for an insurer to maximize his return threshold for a given threshold risk level. This proposed model can be used to optimize the composition of underwriting and investment portfolios regarding the insurer's threshold risk level, as well as to generate the efficient frontier by adjusting insurer's threshold risk levels. A numerical example is given based on the industry's aggregated data for a sixteen year period.  相似文献   
7.
Neutral community theory explains biodiversity, i.e. the coexistence of several species, as the result of a stochastic balance between immigration and extinction on a local level, and between speciation and extinction on a regional level. The most popular model, presented by Hubbell in 2001, has seen many analytical developments in recent years, which can be used in model analysis, model testing and model comparison. We review these developments here, and present alternative derivations and shine previously unnoticed lights on them.  相似文献   
8.
9.
In this paper we prove existence results for semilinear neutral functional differential inclusions with finite or infinite delay in Banach spaces. Our theory makes use of analytic semigroups and fractional powers of closed operators, integrated semigroups and cosine families.   相似文献   
10.
To validate approximate optimization schemes for estimate calculation algorithms (ECAs), it is necessary to compute the optimal height, which cannot be done in a reasonable amount of time. A variety of samples are built for which the optimal height of the ECAs is known by construction.  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