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111.
ABSTRACTWe propose a generalization of the one-dimensional Jeffreys' rule in order to obtain non informative prior distributions for non regular models, taking into account the comments made by Jeffreys in his article of 1946. These non informatives are parameterization invariant and the Bayesian intervals have good behavior in frequentist inference. In some important cases, we can generate non informative distributions for multi-parameter models with non regular parameters. In non regular models, the Bayesian method offers a satisfactory solution to the inference problem and also avoids the problem that the maximum likelihood estimator has with these models. Finally, we obtain non informative distributions in job-search and deterministic frontier production homogenous models. 相似文献
112.
AbstractThe notions of (sample) mean, median and mode are common tools for describing the central tendency of a given probability distribution. In this article, we propose a new measure of central tendency, the sample monomode, which is related to the notion of sample mode. We also illustrate the computation of the sample monomode and propose a statistical test for discrete monomodality based on the likelihood ratio statistic. 相似文献
113.
The distribution of the ratio of two independent normal random variables X and Y is heavy tailed and has no moments. The shape of its density can be unimodal, bimodal, symmetric, asymmetric, and/or even similar to a normal distribution close to its mode. To our knowledge, conditions for a reasonable normal approximation to the distribution of Z = X/Y have been presented in scientific literature only through simulations and empirical results. A proof of the existence of a proposed normal approximation to the distribution of Z, in an interval I centered at β = E(X) /E(Y), is given here for the case where both X and Y are independent, have positive means, and their coefficients of variation fulfill some conditions. In addition, a graphical informative way of assessing the closeness of the distribution of a particular ratio X/Y to the proposed normal approximation is suggested by means of a receiver operating characteristic (ROC) curve. 相似文献
114.
115.
ABSTRACTA common Bayesian hierarchical model is where high-dimensional observed data depend on high-dimensional latent variables that, in turn, depend on relatively few hyperparameters. When the full conditional distribution over latent variables has a known form, general MCMC sampling need only be performed on the low-dimensional marginal posterior distribution over hyperparameters. This improves on popular Gibbs sampling that computes over the full space. Sampling the marginal posterior over hyperparameters exhibits good scaling of compute cost with data size, particularly when that distribution depends on a low-dimensional sufficient statistic. 相似文献
116.
Willian Luís de Oliveira Carlos Alberto Ribeiro Diniz Maria Durbán 《统计学通讯:模拟与计算》2013,42(8):2359-2383
ABSTRACTA general class of models for discrete and/or continuous responses is proposed in which joint distributions are constructed via the conditional approach. It is assumed that the distributions of one response and of the other response given the first one belong to exponential family of distributions. Furthermore, the marginal means are related to the covariates by link functions and a dependency structure between the responses is inserted into the model. Estimation methods, diagnostic analysis and a simulation study considering a Bernoulli-exponential model, a particular case of the class, are presented. Finally, this model is used in a real data set. 相似文献
117.
A. Martin Andrés 《统计学通讯:模拟与计算》2013,42(2-3):551-583
The 2 × 2 tables used to present the data in an experiment for comparing two proportions by means of two observations of two independent binomial distributions may appear simple but are not. The debate about the best method to use is unending, and has divided statisticians into practically irreconcilable groups. In this article, all the available non-asymptotic tests are reviewed (except the Bayesian methodology). The author states which is the optimal (for each group), referring to the tables and programs that exist for them, and contrast the arguments used by supporters of each of the options. They also sort the tangle of solutions into "families", based on the methodology used and/or prior assumptions, and point out the most frequent methodological mistakes committed when comparing the different families. 相似文献
118.
Maria Ivanilde Araújo 《统计学通讯:模拟与计算》2013,42(2):297-309
Some alternative Bayes Factors: Intrinsic, Posterior, and Fractional have been proposed to overcome the difficulties presented when prior information is weak and improper prior are used. Additional difficulties also appear when the models are separated or non nested. This article presents both simulation results and some illustrative examples analysis comparing these alternative Bayes factors to discriminate among the Lognormal, the Weibull, the Gamma, and the Exponential distributions. Simulation results are obtained for different sample sizes generated from the distributions. Results from simulations indicates that these alternative Bayes factors are useful for comparing non nested models. The simulations also show some similar behavior and that when both models are true they choose the simplest model. Some illustrative example are also presented. 相似文献
119.
Inmaculada Arostegui Vicente Núñez-Antón José M. Quintana 《Journal of applied statistics》2013,40(3):563-582
The statistical analysis of patient-reported outcomes (PROs) as endpoints has shown to be of great practical relevance. The resulting scores or indexes from the questionnaires used to measure PROs could be treated as continuous or ordinal. The goal of this study is to propose and evaluate a recoding process of the scores, so that they can be treated as binomial outcomes and, therefore, analyzed using logistic regression with random effects. The general methodology of recoding is based on the observable values of the scores. In order to obtain an optimal recoding, the evaluation of the recoding method is tested for different values of the parameters of the binomial distribution and different probability distributions of the random effects. We illustrate, evaluate and validate the proposed method of recoding with the Short Form-36 (SF-36) Survey and real data. The optimal recoding approach is very useful and flexible. Moreover, it has a natural interpretation, not only for ordinal scores, but also for questionnaires with many dimensions and different profiles, where a common method of analysis is desired, such as the SF-36. 相似文献
120.
Carlos Oscar Grushka Octavio Nicolás Bramajo Luciana Tibi 《International social security review》2020,73(4):49-73
This article describes the differential mortality of Argentina’s disability pension beneficiaries during the 2015–16 period, based on National Social Security Administration (Administración Nacional de la Seguridad Social – ANSES) payment records. It compares data for those with an assessed disability with overall population data, as well as with available international data (from Canada, Chile, Mexico, and the United States of America). In addition to breaking down mortality rates for people with disabilities by age and sex, it also factors in duration of benefit, establishing an inverse correlation between benefit duration and mortality. 相似文献