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61.
The purpose of the present work is to extend the work of Gupta et al. (2010) to s  -level column balanced supersaturated designs. Addition of runs to an existing E(χ2)-optimalE(χ2)-optimal supersaturated design and to study the optimality of the resulting design is an important issue. This paper considers the study of the optimality of the resulting design. A lower bound to E(χ2)E(χ2) has been obtained for the extended supersaturated designs. Some examples and a small catalogue of E(χ2)-optimalE(χ2)-optimal supersaturated designs are also presented.  相似文献   
62.
回溯法与分支限界法的用法取向探讨   总被引:1,自引:0,他引:1  
周建军  詹芹 《九江学院学报》2009,28(3):18-20,34
回溯算法与分支限界算法是两种用法非常相似,甚至某些问题两种算法都可以求解,因此有些初学者不容易严格区分这两种算法,可能在这两种算法的用法取向上出现误区.本文对这两种算法做深入分析,详细说明这两种算法的用法取向.  相似文献   
63.
并行工程产品开发过程定量化建模与计划制订   总被引:1,自引:0,他引:1  
由于现有的一些并行工程定量化模型中修改设计微循环的细节特征描述得还不够充分 ,本文提出了一种新的基于产品 -工艺设计活动对网络的定量化模型来描述并行工程产品开发过程 ,并且给出了产品 -工艺设计活动对平均持续时间与产品或工艺设计活动资源占用率的计算方法 .在此基础上 ,将并行工程产品开发过程的计划制订问题建模成一个有资源约束的项目调度问题 .与其它此类问题不同的是 ,在本文中 ,分配给产品开发项目的各类资源的数量不是事先给定的 ,而是与最优产品开发计划一起获得的 ,所以这是一个资源分配与计划制订的集成优化问题 .本文提出了一种新的基于分枝定界的算法来解决此问题并引入一个启发式规则来提高算法的搜索效率  相似文献   
64.
Researchers in statistical shape analysis often analyze outlines of objects. Even though these contours are infinite-dimensional in theory, they must be discretized in practice. When discretizing, it is important to reduce the number of sampling points considerably to reduce computational costs, but to not use too few points so as to result in too much approximation error. Unfortunately, determining the minimum number of points needed to achieve sufficiently approximate the contours is computationally expensive. In this paper, we fit regression models to predict these lower bounds using characteristics of the contours that are computationally cheap as predictor variables. However, least squares regression is inadequate for this task because it treats overestimation and underestimation equally, but underestimation of lower bounds is far more serious. Instead, to fit the models, we use the LINEX loss function, which allows us to penalize underestimation at an exponential rate while penalizing overestimation only linearly. We present a novel approach to select the shape parameter of the loss function and tools for analyzing how well the model fits the data. Through validation methods, we show that the LINEX models work well for reducing the underestimation for the lower bounds.  相似文献   
65.
In this paper, we investigate the effects of correlation among observations on the accuracy of approximating the distribution of sample mean by its asymptotic distribution. The accuracy is investigated by the Berry-Esseen bound (BEB), which gives an upper bound on the error of approximation of the distribution function of the sample mean from its asymptotic distribution for independent observations. For a given sample size (n0) the BEB is obtained when the observations are independent. Let this be BEB. We then find the sample size (n*) required to have BEB below BEB0, when the observations are dependent. Comparison of n* with n0 reveals the effects of correlation among observations on the accuracy of the asymptotic distribution as an approximation. It is shown that the effects of correlation among observations are not appreciable if the correlation is moderate to small but it can be severe for extreme correlations.  相似文献   
66.
图的直径与宽直径是并行与分布式网络通信延迟的度量,据此研究了两类图的W-宽直径,在n点圈Cn中添加t条边得到图C(n,t),讨论了图C(n,t)的2-宽直径的最小值问题,并得到其上下界,进而提出了h(n,t)精确取值的猜想;在分析联图连通度的基础上,导出了联图的W-宽直径上界估计式。  相似文献   
67.
In this article, utilizing a scale mixture of skew-normal distribution in which mixing random variable is assumed to follow a mixture model with varying weights for each observation, we introduce a generalization of skew-normal linear regression model with the aim to provide resistant results. This model, which also includes the skew-slash distribution in a particular case, allows us to accommodate and detect outlying observations under the skew-normal linear regression model. Inferences about the model are carried out through the empirical Bayes approach. The conditions for propriety of the posterior and for existence of posterior moments are given under the standard noninformative priors for regression and scale parameters as well as proper prior for skewness parameter. Then, for Bayesian inference, a Markov chain Monte Carlo method is described. Since posterior results depend on the prior hyperparameters, we estimate them adopting the empirical Bayes method as well as using a Monte Carlo EM algorithm. Furthermore, to identify possible outliers, we also apply the Bayes factor obtained through the generalized Savage-Dickey density ratio. Examining the proposed approach on simulated instance and real data, it is found to provide not only satisfactory parameter estimates rather allow identifying outliers favorably.  相似文献   
68.
This study presents a model for a pollution production-routing problem under carbon cap-and-trade. The aim is to incorporate carbon emissions into production inventory and routing decisions. The model is characterized by an additional flow-related cost structure, which generalizes models for pollution-routing problems and production inventory and routing problems. Correspondingly, we develop a branch-and-price heuristic by incorporating a column-generation formulation based on the Dantzig–Wolfe decomposition. In addition, we design an ad hoc label-setting algorithm to deal with time-slice networks in pricing subproblems. Computational results allow us to provide managerial insights concerning reduction of carbon emissions in supply chains. We prove that the model has the potential to reduce emission levels of carbon dioxide and operational costs.  相似文献   
69.
研究了慢变频率非选择性瑞利衰落信道下Turbo码的性能。采用修正的欧几里德距离量度和信道状态信息进行最大似然译码的Turbo译码器,推导出完全交织瑞利衰落信道基于联合限和码字重量分布的性能上限,为瑞利衰落信道下Turbo码的设计提供一个有效的分析工具。  相似文献   
70.
In this paper, we introduce a partially linear single-index additive hazards model with current status data. Both the unknown link function of the single-index term and the cumulative baseline hazard function are approximated by B-splines under a monotonicity constraint on the latter. The sieve method is applied to estimate the nonparametric and parametric components simultaneously. We show that, when the nonparametric link function is an exact B-spline, the resultant estimator of regression parameter vector is asymptotically normal and achieves the semiparametric information bound and the rate of convergence of the estimator for the cumulative baseline hazard function is optimal. Simulation studies are presented to examine the finite sample performance of the proposed estimation method. For illustration, we apply the method to a clinical dataset with current status outcome.  相似文献   
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