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1.
杨双林 《中国市场》2008,(36):36-37
服务业在整个经济中的地位是衡量一国经济结构合理程度、国际竞争力强弱、经济社会发展协调水平等的重要评判指标之一。与中国经济快速持续发展相比,服务业发展落后的短腿现象却日益突出,而服务业的库存管理问题更是落后。  相似文献   
2.
This paper considers welfare analysis with therandom utility model (RUM) when perceptions ofenvironmental quality differ from objectivemeasures of environmental quality. Environmental quality is assumed to be anexperience good, so that while perceptions ofquality determine choices, ex postutility is determined by objective quality. Given this assumption, I derive a measure ofthe welfare impact of changes in environmentalquality, and I show how this new welfaremeasure differs from the traditional welfaremeasure developed by Hanemann (1982). This newwelfare measure provides an approach tomeasuring the value of information aboutenvironmental quality within the framework ofthe random utility model.  相似文献   
3.
This paper examines the random walk hypothesis in the emerging Indian stock market using daily data on individual stocks. The statistical evidence in this paper rejects the random walk hypothesis. The results suggest that daily returns earned by individual stocks and by an equally weighted portfolio show significant non–linear dependence and persistent volatility effects. The non–linear dependence takes the form of ARCH–type conditional heteroskedasticity and does not appear to be caused by nonstationarity of underlying economic variables. Though conditional volatility is time varying, it does not explain expected returns.  相似文献   
4.
讨论了非均衡军队物资库存问题,以最优控制理论为工具,得出了消耗量与库存量之间的变量关系,从而达到在保障供应的前提下,提高军事经济效益的目的  相似文献   
5.
For an arbitrary subset A of the finite state space 5 of a Markov chain the so–called embedded matrix P A is introduced. By use of these matrices formulas expressing all kinds of probabilities can be written down almost automatically, and calculated very easily on a computer. Also derivations can be given very systematically.  相似文献   
6.
基于六西格玛流程改进的库存管理优化   总被引:1,自引:0,他引:1  
孙一苇 《物流科技》2007,30(7):92-97
库存管理是企业用来控制实际库存问题的方法,主要帮助企业经营者确定何时补充订货、补充订货多少以及安全库存等问题。现有的库存控制研究往往只关注数学建模阶段的精确性,而对库存波动根源认识不足,导致数学模型越来越复杂、完善,但库存仍然居高不下、难以控制。本文针对该问题,提出了在库存管理中糅合六西格玛管理理念的思想,通过六西格玛方法揭示库存积压的根源,从源头着手,进行流程改进,从而达到库存优化、提高客户满意度的目的。文章通过实际案例证实了基于六西格玛理念的库存优化管理的有效性。  相似文献   
7.
Summary The exact mean square error for the ratio estimator of a finite population total based on simple random sampling without replacement is shown to have an expected value less than that of the variance of the ratio estimator based on Midzuno’s scheme, under a usual super-population model.  相似文献   
8.
Probability theory in fuzzy sample spaces   总被引:2,自引:0,他引:2  
This paper tries to develop a neat and comprehensive probability theory for sample spaces where the events are fuzzy subsets of The investigations are focussed on the discussion how to equip those sample spaces with suitable -algebras and metrics. In the end we can point out a unified concept of random elements in the sample spaces under consideration which is linked with compatible metrics to express random errors. The result is supported by presenting a strong law of large numbers, a central limit theorem and a Glivenko-Cantelli theorem for these kinds of random elements, formulated simultaneously w.r.t. the selected metrics. As a by-product the line of reasoning, which is followed within the paper, enables us to generalize as well as to bring together already known results and concepts from literature.Acknowledgement. The author would like to thank the participants of the 23rd Linz Seminar on Fuzzy Set Theory for the intensive discussion of the paper. Especially he is indebted to Professors Diamond and Höhle whose remarks have helped to get deeper insights into the subject. Additionally, the author is grateful to one anonymous referee for careful reading and valuable proposals which have led to an improvement of the first draft.This paper was presented at the 23rd Linz Seminar on Fuzzy Set Theory, Linz, Austria, February 5–9, 2002.  相似文献   
9.
谢水连  李董辉 《物流科技》2007,30(2):136-139
本文研究由多供应商、多制造商和多零售商构成的三层次供应链最优库存模型,在供应链中引入协调机制使整个供应链库存总费用最小.  相似文献   
10.
This paper applies Kim and Wardes (2004) stratified Warners randomized response model to Mangat and Singhs (1990) two-stage randomized response model. The proposed stratified randomized response model has an optimal allocation and a large gain in precision. Hence, the estimator based on the proposed method is more efficient than Kim and Wardes (2004) and Mangat and Singhs (1990) estimators under the conditions presented in both the case of completely truthful reporting and that of not completely truthful reporting by the respondents.  相似文献   
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