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51.
Vidyadhar G. Kulkarni Subodha Kumar Vijay S. Mookerjee Suresh P. Sethi 《Production and Operations Management》2009,18(5):506-515
We develop variations of the M|G|1 queue to model the process of software maintenance within organizations and use these models to compute the optimal allocation of resources to software maintenance. User requests are assumed to arrive following a Poisson process and a binomial distribution is used to model duplication of requests. We obtain expressions for expected queue lengths with an exponential server using an N‐policy for an integer N≥1. We also obtain the optimal batching size and mean service rate by minimizing the total cost consisting of the cost of the server, the cost of waiting, and the fixed cost of maintenance, if applicable. 相似文献
52.
In this paper we consider the problem of testing the means of k multivariate normal populations with additional data from an unknown subset of the k populations. The purpose of this research is to offer test procedures utilizing all the available data for the multivariate analysis of variance problem because the additional data may contain valuable information about the parameters of the k populations. The standard procedure uses only the data from identified populations. We provide a test using all available data based upon Hotelling' s generalized T2statistic. The power of this test is computed using Betz's approximation of Hotelling' s generalized T2statistic by an F-distribution. A comparison of the power of the test and the standard test procedure is also given. 相似文献
53.
The estimation of percentage defectives using a normal sampling plan will not be appropriate when the assumption of normality is violated. In this paper, we propose a sampling plan based on a more general symmetric family of distributions with the parameters estimated using the modified maximum likelihood (MML) procedures introduced by Tiku and Suresh . This sampling plan works well for most of the symmetric non-normal distributions. Some numerical study has also been carried out to show the superiority of the proposed plan. 相似文献
54.
A social policy experiment is presented that was conducted from 1997 to 2000 in a setting with a high level of readiness for implementing a randomized experiment of therapeutic community (TC) drug treatment training in Peru. Seventy-six drug abuse treatment organizations were randomly assigned into three groups, and data were collected at multiple assessment periods. Staff and directors in organizations assigned to the training groups participated in either 6-week basic training or 8-week basic plus booster training sessions, which were theoretically grounded. Small- to medium-size positive effects were found on increased staff empowerment to use actual tools and principles from the training; medium and large positive effects were found on the implementation of TC methods with fidelity after the training. A follow-up with the funding and training organizations 1 year later showed use of the evaluation results in decision making in both organizations. 相似文献
55.
Wholesale price contracts are widely studied in a single supplier‐single retailer supply chain, but without considering an outside market where the supplier may sell if he gets a high enough price and the retailer may buy if the price is low enough. We fill this gap in the literature by studying push and pull contracts in a local supplier–retailer supply chain with the presence of an outside market. Taking the local supplier's maximum production capacity and the outside market barriers into account, we identify the Pareto set of the push and/or pull contracts and draw managerial implications. The main results include the following. First, the most inefficient point of the pull Pareto set cannot always be removed by considering both the push and pull contracts. Second, the supplier's production capacity plays a significant role in the presence of an outside market; it affects the supplier's negotiating power with the retailer and the coordination of the supply chain can be accomplished only with a large enough capacity. Third, the import and export barriers influence the supply chain significantly: (i) an export barrier in the local market and the supplier's production capacity influence the supplier's export strategy; (ii) a low import (resp., export) barrier in the local market can improve the local supply chain's efficiency by use of a push (resp., pull) contract; and (iii) a high import (resp., export) barrier in the local market encourages the supplier (resp., retailer) to bear more inventory risk. 相似文献
56.
Suresh Chand 《决策科学》1982,13(1):113-119
This paper presents a modification of the dynamic lot-size algorithm of Wagner and Whitin for rolling horizon environments. The computational results show that the modified algorithm gives better cost performance than the Wagner-Whitin algorithm and the Silver-Meal heuristic. The improvements over the Wagner-Whitin algorithm require very few additional computations. 相似文献
57.
Markov-modulated processes have been used in stochastic inventory models with setup costs for modeling demand under the influence of uncertain environmental factors, such as fluctuating economic and market conditions. The analyses of these models have been carried out in the literature only under the assumption that unsatisfied demand is fully backlogged. The lost sales situation occurs in many retail establishments such as department stores and supermarkets. We use the analysis of the Markovian demand model with backlogging to analyze the lost sales case; in particular, we establish the optimality of an (s, S)-type policy under fairly general conditions. 相似文献
58.
A likelihood ratio test for interaction in an analysis of variance model, when observations are variances is considered. Another statistic based on the logarithmic transformation is also considered and the null and non-null distributions of the test statistics are considered. 相似文献
59.
The extant supply chain management literature has not addressed the issue of coordination in supply chains involving risk‐averse agents. We take up this issue and begin with defining a coordinating contract as one that results in a Pareto‐optimal solution acceptable to each agent. Our definition generalizes the standard one in the risk‐neutral case. We then develop coordinating contracts in three specific cases: (i) the supplier is risk neutral and the retailer maximizes his expected profit subject to a downside risk constraint; (ii) the supplier and the retailer each maximizes his own mean‐variance trade‐off; and (iii) the supplier and the retailer each maximizes his own expected utility. Moreover, in case (iii), we show that our contract yields the Nash Bargaining solution. In each case, we show how we can find the set of Pareto‐optimal solutions, and then design a contract to achieve the solutions. We also exhibit a case in which we obtain Pareto‐optimal sharing rules explicitly, and outline a procedure to obtain Pareto‐optimal solutions. 相似文献
60.
This paper is concerned with a partially explosive linear model with polynomial regression components generating a pair of
related time series. The least squares estimates of the coefficients are shown to be √N-consistent and asymptotically singular
normal, when the degrees of polynomial regression components are same, thus generalising a result due to Venkataraman (1974). 相似文献