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21.
Sales data of a certain product for the various competitors are usually available at the aggregate level. However these data give no clue to the heterogeneities in the sales pattern across different market segments. Heterogeneities are caused by different purchasing behavior in each market segment; as a purchaser in a segment will be attracted to the attributes of the product most important to that segment. This concept can be formalized via a simple attraction model that utilizes an elasticity measure for each quality or price attribute [G.S. Carpenter, L.G. Cooper, D.M. Hanssens, D.F. Midgley, Modeling asymmetric competition, Marketing Science 7 (4) (1998) 393–412]. Assessment of these elasticities is not difficult since customer response – in each market segment – to perception of quality and price is tracked by most firms [J. Ross, D. Georgoff, A survey of productive and quality issues in manufacturing. The state of the industry, Industrial Management 3 (5) (1991) 22–25]. This paper attempts to formulate a generic framework based on the information entropy concept that utilizes such an attraction model to estimate competitors’ sales in each market segment.  相似文献   
22.
In this research, we investigate stopping rules for software testing and propose two stopping rules from the aspect of software reliability testing based on the impartial reliability model. The impartial reliability difference (IRD-MP) rule considers the difference between the impartial transition-probability reliabilities estimated for both software developer and consumers at their predetermined prior information levels. The empirical–impartial reliability difference (EIRD-MP) rule suggests stopping a software test when the computed empirical transition reliability is tending to its estimated impartial transition reliability. To insure the high-standard requirement for safety-critical software, both rules take the maximum probability (MP) of untested paths into account.  相似文献   
23.
A redundant system of independent repairable components with general failure time and repair time distributions is considered. It is shown that the system failure time has an expectation dependent only on the mean failure times and mean repair times of the components and not on their distributions. An intuitive argument is provided, based on the time of onset of the quasi-stationary distribution on the set of working states, to show that for highly reliable systems, the system failure time is exponentially distributed to good approximation. The argument also justifies a simple figure of merit for the quality of the exponential approximation. A key ingredient in the analysis is the system relaxation time, an informal review of which is provided.  相似文献   
24.
This paper studied the cost allocation for the unfunded liability in a defined benefit pension scheme incorporating the stochastic phenomenon of its returns. In the recent literature represented by Cairns and Parker [Insurance: Mathematics and Economics 21 (1997) 43], Haberman [Insurance: Mathematics and Economics 11 (1992) 179; Insurance: Mathematics and Economics 13 (1993) 45; Insurance: Mathematics and Economics 14 (1994) 219; Insurance: Mathematics and Economics 14 (1997) 127], Owadally and Haberman [North American Actuarial Journal 3 (1999) 105], the fund level is modeled based on the plan dynamics and the returns are generated through several stochastic processes to reflect the current realistic economic perspective to see how the contribution changed as the cost allocation period increased. In this study, we generalize the previous constant value assumption in cost amortization by modeling the returns and valuation rates simultaneously. Taylor series expansion is employed to approximate the unconditional and conditional moments of the plan contribution and fund level. Hence the stability of the plan contribution and the fund size under different allocation periods could be estimated, which provide valuable information adding to the previous works.  相似文献   
25.
We analyze the performance of a prototypical scheme for shared storage allocation: two initially empty stacks evolving in a contiguous block of memory of size m. We treat the case in which the stacks are more likely to shrink than grow, but with the probabilities of insertion and deletion allowed to depend arbitrarily on stack height as a fraction of m. New results are obtained on the m → ∞ asymptotics of the stack collision time, and of the final stack heights. The results of Wentzell and Freidlin on the large deviations of Markov chains are used, and the relation of their formalism to the Hamiltonian formulation of classical mechanics is emphasized. Certain results on higher-order asymptotics follow from WKB expansions.  相似文献   
26.
火工品可靠性试验数据的综合分析方法   总被引:1,自引:0,他引:1  
升降法试验数据和固定刺激量下的成败型试验数据,是两种最常见的火工品可靠性试验数据.我们应用Markov链,研究了升降法试验数据下,感度分布参数的极大似然估计的特性.在此基础上,应用Bootstrap方法和Bayes方法,给出了综合分析两种试验数据的方法.最后,将该方法应用于520底火的可靠性鉴定,得出了有益的结论.  相似文献   
27.
赵毅  万星拱 《物理学报》2006,55(6):3003-3006
用斜坡电压法(Voltage Ramp, V-ramp)评价了0.18μm双栅极 CMOS工艺栅极氧化膜击穿电量(Charge to Breakdown, Qbd)和击穿电压(Voltage to Breakdown, Vbd). 研究结果表明,低压器件(1.8V)的栅极氧化膜(薄氧)p型衬底MOS电容和N型衬底电容的击穿电量值相差较小,而高压器件(3.3V)栅极氧化膜(厚氧)p衬底MOS电容和n衬底MOS电容的击穿电量值相差较大,击穿电压测试值也发现与击穿电量 关键词: 薄氧 可靠性 击穿电压 击穿电量  相似文献   
28.
孟宪云 《经济数学》2002,19(3):91-94
本文给出了单目标多约束下串、并联混合系统中 ,由选取重要单元 (重要度最大的单元 )的方法 ,来提高系统可靠度的有效优化判定模型及算法 ,用同样思想给出了串、并联系统中冗余度的优化判定模型及算法  相似文献   
29.
分析了现行户籍制度的弊端:劳动力市场多重分隔、劳动力交易成本居高不下、劳动力的非正常供给和劳动力的逆向需求。针对存在的问题,从劳动力资源合理配置的角度,提出了渐进性户籍制度改革的总体思路和具体措施。  相似文献   
30.
具有位相型修理的离散时间可修排队系统   总被引:1,自引:0,他引:1  
本文研究了具有一般独立输入,位相型修理的离散时间可修排队系统,假定服务台对顾客的服务时间和服务台寿命服从几何分布,运用矩阵解析方法我们给出系统嵌入在到达时刻的稳态队长分布和等待时间分布,并证明这些分布均为离散位相型分布.我们也得到在广义服务时间内服务台发生故障次数的分布,证明它服从一个修正的几何分布.我们对离散时间可修排队与连续时间可修排队进行了比较,说明这两种排队系统在一些性能指标方面的区别之处.最后我们通过一些数值例子说明在这类系统中顾客的到达过程、服务时间和服务台的故障率之间的关系.  相似文献   
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