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52.
E. Alper Yildirim Xiaofei Fan-Orzechowski 《Computational Optimization and Applications》2006,33(2-3):229-247
We study the maximum stable set problem. For a given graph, we establish several transformations among feasible solutions
of different formulations of Lovász's theta function. We propose reductions from feasible solutions corresponding to a graph
to those corresponding to its induced subgraphs. We develop an efficient, polynomial-time algorithm to extract a maximum stable
set in a perfect graph using the theta function. Our algorithm iteratively transforms an approximate solution of the semidefinite
formulation of the theta function into an approximate solution of another formulation, which is then used to identify a vertex
that belongs to a maximum stable set. The subgraph induced by that vertex and its neighbors is removed and the same procedure
is repeated on successively smaller graphs. We establish that solving the theta problem up to an adaptively chosen, fairly
rough accuracy suffices in order for the algorithm to work properly. Furthermore, our algorithm successfully employs a warm-start
strategy to recompute the theta function on smaller subgraphs. Computational results demonstrate that our algorithm can efficiently
extract maximum stable sets in comparable time it takes to solve the theta problem on the original graph to optimality.
This work was supported in part by NSF through CAREER Grant DMI-0237415. Part of this work was performed while the first author
was at the Department of Applied Mathematics and Statisticsat Stony Brook University, Stony Brook, NY, USA. 相似文献
53.
We start with a stochastic flow of diffeomorphisms of the space. Particles enter the space at random times and places. Each particle is carried by the flow for some random amount of time. We examine the point process formed by the particles at a fixed time, on the evolution of that point process as time varies, and on the equilibrium law of the point process. 相似文献
54.
改进了张维迎对地区间竞争与国有企业民营化的分析,给出了经营者的剩余索取份额对竞争性的连续依赖关系:国有企业若要降低成本,就必须参与市场竞争,随着市场竞争的加强,国有企业经营者的剩余索取份额应该逐渐增大,而当市场竞争水平超过某一阈值,国有企业经营者拥有全部剩余索取权是最优的. 相似文献
55.
Thomas Marlow 《International Journal of Theoretical Physics》2006,45(7):1247-1257
We attempt a justification of a generalisation of the consistent histories programme using a notion of probability that is valid for all complete sets of history propositions. This consists of introducing Cox's axioms of probability theory and showing that our candidate notion of probability obeys them. We also give a generalisation of Bayes' theorem and comment upon how Bayesianism should be useful for the quantum gravity/cosmology programmes.
PACS: 02.50.Cw;03.65.Ta;04.60.-m. 相似文献
56.
XIE Bai-Song DU Shu-Cheng 《理论物理通讯》2006,46(10)
Numerical axisymmetric soliton and oscillating wave solutions for the Flierl-Petviashvili equation in plasmas are presented. Solution branch paradigm and examples are given. Some implications of results to ion drift wave as well as force-free field of magnetic equilibrium are briefly discussed. 相似文献
57.
A stage structured host-parasitoid model is derived and the equilibria studied. It is shown under what conditions the parasitoid controls an exponentially growing host in the sense that a coexistence equilibrium exists. Furthermore, for host populations whose inherent growth rate is not too large it is proved that in order to minimize the adult host equilibrium level it is necessary that the parasitoids attack only one of the larval stages. It is also proved in this case that the minimum adult host equilibrium level is attained when the parasitoids attack that larval stage which also maximizes the expected number of emerging adult parasitoid per larva at equilibrium. Numerical simulations tentatively indicate that the first conclusion remains in general valid for the model. However, numerical studies also show that it is not true in general that the optimal strategy will maximize the number of emerging adult parasitoid per larva at equilibrium. 相似文献
58.
59.
We present a Bayesian theory of object identification. Here, identifying an object means selecting a particular observation from a group of observations (variants), this observation (the regular variant) being characterized by a distributional model. In this sense, object identification means assigning a given model to one of several observations. Often, it is the statistical model of the regular variant, only, that is known. We study an estimator which relies essentially on this model and not on the characteristics of the “irregular” variants. In particular, we investigate under what conditions this variant selector is optimal. It turns out that there is a close relationship with exchangeability and Markovian reversibility. We finally apply our theory to the case of irregular variants generated from the regular variant by a Gaussian linear model. 相似文献
60.
本文主要论证了在不完全市场条件下带风险指数的金融均衡的存在性,并揭示其均衡结构的特征.本文中建立的模型是一、二期货币投入产出金融经济且具有可微的资产结构,这一模型包括了许多具有特殊资产结构的均衡模型,如实资产结构、虚资产结构、恒秩资产结构的均衡模型.因此本文的这一模型具有广泛的应用前景和实用价值.接着给出了本文的金融均衡的存在性定理,再借助微分拓扑给出它的证明过程,这一证明过程较之以前证明均衡存在性的经典方法(如Duffie,D&W.Shfer(1985)的方法)要简便得多.同时也应注意到本文的这一结论既适用于资产市场下会随机风险因素的情形,也适用于商品空间为无限维的情形,除此之外,还给出了怎样判别资产结构是否属于T类的判别法,为检验均衡存在性提供了更为便利的途径.最后,本文论证了在金融市场里,尽管由于稀缺性的存在,从而导致均衡分配的多样化,然而均衡分配集却形成了一光滑子流,但该流形的维数与稀缺性有关.换句话说,尽管市场是不完全的,但均市分配不确定性的反却是可比的.如此使得人们对均衡资产结构的认识更进一步. 相似文献