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71.
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   
72.
In this paper, we consider the simple step-stress model for a two-parameter exponential distribution, when both the parameters are unknown and the data are Type-II censored. It is assumed that under two different stress levels, the scale parameter only changes but the location parameter remains unchanged. It is observed that the maximum likelihood estimators do not always exist. We obtain the maximum likelihood estimates of the unknown parameters whenever they exist. We provide the exact conditional distributions of the maximum likelihood estimators of the scale parameters. Since the construction of the exact confidence intervals is very difficult from the conditional distributions, we propose to use the observed Fisher Information matrix for this purpose. We have suggested to use the bootstrap method for constructing confidence intervals. Bayes estimates and associated credible intervals are obtained using the importance sampling technique. Extensive simulations are performed to compare the performances of the different confidence and credible intervals in terms of their coverage percentages and average lengths. The performances of the bootstrap confidence intervals are quite satisfactory even for small sample sizes.  相似文献   
73.
Simplified proofs are given of a standard result that establishes positive semi–definiteness of the difference of the inverses of two non–singular matrices, and of the extension of this result by Milliken and Akdeniz (1977) to the difference of the Moore–Penrose inverse of two singular matrices.  相似文献   
74.
Summary.  Square contingency tables with matching ordinal rows and columns arise in particular as empirical transition matrices and the paper considers these in the context of social class and income mobility tables. Such tables relate the socio-economic position of parents to the socio-economic position of their child in adulthood. The level of association between parental and child socio-economic position is taken as a measure of mobility. Several approaches to analysis are described and illustrated by UK data in which interest focuses on comparisons of social class and income mobility tables that are derived from the same individuals. Account is taken of the use of the same individuals in the two tables. Additionally comparisons over time are considered.  相似文献   
75.
This deals with chemical balance weighing designs which attain a lower bound for the variance of the estimated total weight, The results extend those of Chacko Dey (1978).  相似文献   
76.
Standard resulrs on the extrema of quotients of quadratic forms are extended to the non-negative definite case. The maximum and the set over which it is achieved are characterized explicitly both in terms of generalized inverse matrices and generalized eigenvalues. These results become the basis of Scheffe type multiple comparisons in the usual way. To demonstrate their application to statistics with singular covariance matrices, the method is detailed for Mantel-Haenszel, Breslow, and Cox statistics. An example is presented illustrating a situation where the proposed Scheffe type comparisons may be better than the pairwise method.  相似文献   
77.
This article provides an expository account of the multivariate autoregressive moving average models and proposes an extended sample cross-correlation approach for practical model identification. An iterative model building procedure for applying these models to real data is discussed and demonstrated by analyzing the 5-series U.S. Hog Data.  相似文献   
78.
The main object of this paper is to consider structural comparative calibration models under the assumption that the unknown quantity being measured is not identically distributed for all units. We consider the situation where the mean of the unknown quantity being measured is different within subgroups of the population. Method of moments and maximum likelihood estimators are considered for estimating the parameters in the model. Large sample inference is facilitated by the derivation of the asymptotic variances. An application to a data set which indeed motivated the consideration of such general model and was obtained by measuring the heights of a group of trees with five different instruments is considered.  相似文献   
79.
In this paper, we consider experimental situations in which a regular fractional factorial design is to be used to study the effects of m two-level factors using n=2mk experimental units arranged in 2p blocks of size 2mkp. In such situations, two-factor interactions are often confounded with blocks and complete information is lost on these two-factor interactions. Here we consider the use of the foldover technique in conjunction with combining designs having different blocking schemes to produce alternative partially confounded blocked fractional factorial designs that have more estimable two-factor interactions or a higher estimation capacity or both than their traditional counterparts.  相似文献   
80.
For the first time, a new class of generalized Weibull linear models is introduced to be competitive to the well-known generalized (gamma and inverse Gaussian) linear models which are adequate for the analysis of positive continuous data. The proposed models have a constant coefficient of variation for all observations similar to the gamma models and may be suitable for a wide range of practical applications in various fields such as biology, medicine, engineering, and economics, among others. We derive a joint iterative algorithm for estimating the mean and dispersion parameters. We obtain closed form expressions in matrix notation for the second-order biases of the maximum likelihood estimates of the model parameters and define bias corrected estimates. The corrected estimates are easily obtained as vectors of regression coefficients in suitable weighted linear regressions. The practical use of the new class of models is illustrated in one application to a lung cancer data set.  相似文献   
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