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81.
《Journal of Ethnic & Cultural Diversity in Social Work》2013,22(3):49-67
Abstract This article reviews policies and services related to immigrants, refugees and asylum seekers in the U.S. Definitions of immigration categories are provided to clarify the context in which services operate. Particular attention is given to issues that are unique to populations of the Southwest. Historical information on this region is offered; immigration trends and recent statistics are presented. The article is based on published data; field interviews with personnel in selected immigrant and refugee serving social agencies are used to compliment the literature. The authors highlight the social consequences of the global phenomenon of migration, whether motivated by economic or political realities. Recommendations for those who serve immigrants, refugees and asylum seekers are offered. 相似文献
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Elżbieta Hałas 《Symbolic Interaction》2013,36(1):60-77
This article examines the parallels between George H. Mead's theory of time and Boris A. Uspensky's semiotics of history, looking for implications relevant to the symbolic interactionist theory of historical processes. It suggests that Mead's theory of time and theory of communication hold important implications for semiotic analysis of the historical dimension of sociocultural phenomena. A further aim is to link the symbolic interactionist tradition of the Chicago school with the Tartu school and its semiotics of history. This would fuel the further development of both theoretical orientations. 相似文献
84.
This paper presents a multivariate extension of Dunnett's test for comparing simultaneously k treatment group means with a single control group mean. A test based on Hotelling T2statistics is presented and approximate critical values are evaluated for the case of equal numbers of observations in each group, for the .05 and .01 levels of significance, for 1 to 5 variates, for 1 to 10 treatment groups, and for varying degrees of freedom. The accuracy of the procedure for generating approximate critical values is assessed via simulation studies conducted for selected cases and an example is presented using real data. 相似文献
85.
This paper proposes an optimal combinatorial method for finding groups of industries with relatively large CO2 emissions through industrial relations. Using an economic input–output table, we estimated a non-symmetric matrix describing how much CO2 is emitted in producing the commodity of industry i, which was purchased to produce commodity of industry j, to meet the final demand for a specific commodity. A symmetric strength of relations matrix describing the CO2 emissions associated with the industrial relations was further estimated using the non-symmetric matrix. The strength of relations matrix can be viewed as a representation of the supply-chain network of the final commodity. In this study, we estimated the strength of relations matrix associated with the final demand for automobiles and applied the multiway cut approach using nonnegative matrix factorization to the matrix in order to find environmentally important industry clusters in the Japanese automobile supply chain. According to our empirical results, the optimal number of industry clusters is 19, and 4 industry clusters are playing a key role in CO2 emission reduction. 相似文献
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The notion of cross-product ratio for discrete two-way contingency table is extended to the case of continuous bivariate densities. This results in the “local dependence function” that measues the margin-free dependence between bivariate random variables. Properties and examples of the dependence function are discussed. The bivariate normal density plays a special role since it has constant dependence. Continuous bivariate densities can be constructed by specifying the dependence function along with two marginals in analogy to the construction of two-way contingency tables given marginals and patterns of interaction. The dependence function provides a partial ordering on bivariate dependence. 相似文献
88.
We explore sustainable paths out of a debt trap with a highly stylized two-sector differential equations model for the stocks of money in Government and Society. The model fits the data for the U.S. between 1981 and 2012 with a coefficient of correlation of 0.996. The solutions provide detailed “escape conditions” from the debt trap. A primary surplus is required. Then a government can escape its debt trap either through sustained annual monetary outflows from society to the government (taxation) but with a low initial growth rate, or through annual monetary inflows into both sectors (stimulus) with higher initial growth rate. We illustrate the use of our model with simulations which show how five indebted countries can escape their debt trap in 30 (or 70) years. 相似文献
89.
现有电子商务的信用评价体系单一维度的特点使得评级体系难以准确衡量、比较店铺在各维度之间的差异及其变化。为了提高C2C电子商务信用评级体系的信息揭示作用,本文试图从多维度指标分析店铺的诚信行为模式及其动态性。本文对淘宝7大行业不同信用等级的卖家的诚信指标数据进行聚类分析表明,店铺在动态评分、信用等级、好评率上分别具有六类不同的静态组合特征,信用积分在解释店铺诚信状态上弱于动态评分和好评率指标。动态模式分析表明,店铺的好评率、动态评分指标及其与同业行业比值会呈现出三个不同的组合变化趋势。最后本文提出对现有的评价体系改进,以体现店铺之间在模式上的差异,从而真实展现卖家的诚信水平。 相似文献
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