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971.
基于VAR模型,对碳市场中的EUA期货价格和CER期货价格的变动关系进行了实证研究.选取欧洲气候交易所(ECX)的EUA期货价格和CER期货价格作为研究对象,运用Johansen协整检验、Granger因果关系检验、向量误差修正模型、广义脉冲响应函数和方差分解方法形成递进式的计量分析框架.研究结果表明:第一,EUA期货价格与CER期货价格之间存在着相互影响关系;第二,CER期货价格对市场信息的反映比EUA期货价格更为敏感,反映速度更快;第三,两种价格之间,CER期货价格变动的影响起主导作用,更好地发挥了期货的定价功能,两市场间存在杠杆效应. 相似文献
972.
Quentin Brouette 《Mathematical Logic Quarterly》2013,59(3):247-254
We use the model completeness and axiomatisation of the theory of closed ordered differential fields to give a differential version of Dubois, Krivine and Risler's nullstellensatz and Stengle's positivstellensatz for ordered fields. 相似文献
973.
不确定性是复杂工程系统的内在属性,在决策依赖不确定条件下对工程系统的投资决策需考虑不确定性与决策过程之间的交互作用,使得投资决策问题的求解非常困难.提出了决策依赖不确定条件下复合实物期权估值的最小二乘模拟算法,方法较好地解决了在决策依赖不确定条件下由于不同期权价值相互耦合所带来的计算复杂性,进一步拓展了最小二乘模拟算法在期权估值中的应用,基于该方法,可以比较方便地解决决策依赖不确定条件下工程系统投资决策问题. 相似文献
974.
人民币汇率的变化直接和间接地对我国的经济产生影响.采用面板数据来实证分析人民币实际汇率变化对中国的11个贸易伙伴的进口值和出口值的影响. 相似文献
975.
976.
股权激励作为一种制度安排,作用在于促进股东和公司管理层形成利益共同体,激励管理层最大限度地为股东和公司创造价值.通过实证研究影响公司价值的相关因素,求证股权激励确实对公司价值有正面影响,同时为上市公司的实施股权激励计划提出若干建议. 相似文献
977.
Photoacoustic microscopy (PAM) is a hybrid in vivo imaging technique that acoustically detects optical contrast via the photoacoustic effect. Unlike pure optical microscopic techniques, PAM takes advantage of the weak acoustic scattering in tissue and thus breaks through the optical diffusion limit (∼1 mm in soft tissue). With its excellent scalability, PAM can provide high‐resolution images at desired maximum imaging depths up to a few millimeters. Compared with backscattering‐based confocal microscopy and optical coherence tomography, PAM provides absorption contrast instead of scattering contrast. Furthermore, PAM can image more molecules, endogenous or exogenous, at their absorbing wavelengths than fluorescence‐based methods, such as wide‐field, confocal, and multi‐photon microscopy. Most importantly, PAM can simultaneously image anatomical, functional, molecular, flow dynamic and metabolic contrasts in vivo. Focusing on state‐of‐the‐art developments in PAM, this Review discusses the key features of PAM implementations and their applications in biomedical studies. 相似文献
978.
Natalia Vladimirova 《Combustion Theory and Modelling》2013,17(3):377-400
Using the Boussinesq buoyancy approximation, we study a bubble of reaction products rising in the reactant fluid under the influence of gravity. Reaction on the surface of the bubble (the flame) results in an increase of the volume of the bubble. We consider fluids with low Prandtl and high Froude numbers (heat diffusion dominates over viscous dissipation, and burning dominates over gravitational effects). We show that, under these conditions, all initially small bubbles follow the same growth pattern, regardless of the flame speed, the reaction type, the gravity, the viscosity, the initial size, and, to some extent, the initial shape of the bubble. In the initial stage of this similarity solution a bubble grows radially in an essentially motionless fluid until it reaches some critical size, which is determined by the laminar flame speed, the gravitational acceleration, and the Atwood number. Once the bubble reaches the critical size, convection becomes significant and the bubble evolves into a more complicated, mushroom-like shape. The similarity solution is expressed using the critical bubble size for the unit length and the critical size divided by the laminar flame speed as the unit time. 相似文献
979.
We constructed an agent-based stock market model which concisely describe investors? heterogeneity and adaptability by introducing price sensitivity and feedback time. Under different parameters, the peak and fat-tail property of return distribution is produced and the obtained statistic values coincide with empirical results: the center peak exponents range from ?0.787 to ?0.661, and the tail exponents range from ?4.29 to ?2.37. Besides, long-term correlation in volatility is examined by DFA1 method, and the obtained exponent α is 0.803, which also coincides with the exponent of 0.78 found in real market. 相似文献
980.
The risks and returns of stock investment are discussed via numerically simulating the mean escape time and the probability density function of stock price returns in the modified Heston model with time delay. Through analyzing the effects of delay time and initial position on the risks and returns of stock investment, the results indicate that: (i) There is an optimal delay time matching minimal risks of stock investment, maximal average stock price returns and strongest stability of stock price returns for strong elasticity of demand of stocks (EDS), but the opposite results for weak EDS; (ii) The increment of initial position recedes the risks of stock investment, strengthens the average stock price returns and enhances stability of stock price returns. Finally, the probability density function of stock price returns and the probability density function of volatility and the correlation function of stock price returns are compared with other literatures. In addition, good agreements are found between them. 相似文献