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91.
在我国积极推进高校“应用型”本科院校改革与建设的过程中,科学发展观是决定其成败的关键问题。而建立科学发展 观的前提是理清高校日常教学工作与教育内容所依据和参考的标准——“底线”与“顶线”问题。而在以徐州工程学院艺术设 计专业为代表的“应用型”学科的发展过程中,由于院校间的差异,存在着制度和内容各不相同的“底线”与“顶线”问题。为此, 在应用型本科艺术设计专业办学过程中理清两条线各自的定位与标准,对于科学推进应用型高校本科层次艺术设计专业的教 育教学改革,提升应用型艺术设计人才培养水平有着十分重要的作用。  相似文献   
92.
在分析了聚合物驱提高采收率技术在实际应用中的局限性基础上,提出了采用就地起泡形成泡沫的泡沫增强聚合物体系以减小聚合物沿大通道窜流的问题。为了有效确定该体系的配方,实验中采用了均匀设计实验方法安排实验,并运用DPS数据处理软件对实验数据进行了二次多项式逐步回归处理,找出了影响该体系性能的主要因素。  相似文献   
93.
包装不仅是商品的载体,也是品牌信息和情感体验的载体,是商品与消费者之间的信息沟通桥梁及商品体验营销的实现手段。以某护肤品包装设计为例,阐述了基于情感体验的本能层、行为层、反思层上的具体设计实践。同时,选取情感互动性、方便性、功能性、效率性、识别性5个评价指标,使用模糊综合评判法构建包装设计评价模型,对两个设计方案进行评价。方案一的评价结果为“良”,方案二的评价结果为“优”。  相似文献   
94.
随着教育事业的发展,高校教职工上缴个人所得税的数量因收入的增长也有很大的提升,教职工也越来越关注纳税筹划的问题,如何在国家税收法律法规的允许范围内合理节税,运用科学的筹划方法减轻高校教职工的负担。本文通过介绍纳税筹划的相关理论,针对不同的工薪种类提出纳税筹划方法。  相似文献   
95.
研究价差期权的合约设计及其定价方法,对于提高我国各类经济实体的风险管理水平以及我国衍生品市场的未来发展具有重要意义.依据我国螺纹钢与铁矿石等冶炼价差的统计特征,借鉴国外价差期权定价方法,对冶炼价差期权的实际价值、理论价格进行了测算,结果表明:在冶炼价差期权中,螺纹钢与铁矿石的价差、钢坯与铁矿石的价差的绝对变化幅度更大,对应的价差期权的实际价值更大,对应的套保需求会更大;与铁矿石有关的价差(螺纹钢与铁矿石、钢坯与铁矿石)期权的套保效果更好.建议先行推出螺纹钢与铁矿石、钢坯与铁矿石这两种冶炼价差期权.  相似文献   
96.
Multiphase experiments are introduced and an overview of their design and analysis as it is currently practised is given via an account of their development since 1955 and a literature survey. Methods that are available for designing and analysing them are outlined, with an emphasis on making explicit the role of the model in their design. The availability of software and its use is described in detail. Overall, while multiphase designs have been applied in areas such as plant breeding, plant pathology, greenhouse experimentation, product storage, gene expression studies, and sensory evaluation, their deployment has been limited.  相似文献   
97.
Several researchers have proposed solutions to control type I error rate in sequential designs. The use of Bayesian sequential design becomes more common; however, these designs are subject to inflation of the type I error rate. We propose a Bayesian sequential design for binary outcome using an alpha‐spending function to control the overall type I error rate. Algorithms are presented for calculating critical values and power for the proposed designs. We also propose a new stopping rule for futility. Sensitivity analysis is implemented for assessing the effects of varying the parameters of the prior distribution and maximum total sample size on critical values. Alpha‐spending functions are compared using power and actual sample size through simulations. Further simulations show that, when total sample size is fixed, the proposed design has greater power than the traditional Bayesian sequential design, which sets equal stopping bounds at all interim analyses. We also find that the proposed design with the new stopping for futility rule results in greater power and can stop earlier with a smaller actual sample size, compared with the traditional stopping rule for futility when all other conditions are held constant. Finally, we apply the proposed method to a real data set and compare the results with traditional designs.  相似文献   
98.
In this paper, we present an access network design problem with end-to-end quality of service (QoS) requirement. The problem can be conceptualized as a two-level hierarchical location-allocation problem on the tree topology with nonlinear side constraints. The objective function of the nonlinear mixed integer programming model minimizes the total cost of switch and fiber cable, while satisfying demand within the prescribed level of QoS. By exploiting the inherent structure of the nonlinear QoS constraints, we develop linearization techniques for finding an optimal solution. Also, we devise an effective exact optimal algorithm within the context of disjunctive constraint generation. We present promising computational results that demonstrate the effectiveness of the proposed solution procedure.  相似文献   
99.
The present study uses the concept of technological efficacy derived from ecological psychology and design studies to offer an alternative way of analyzing how policy instruments affect change. Reasoning from this, the paper outlines a framework for analyzing policy instruments in terms of their affordances. We define affordances as the means through which an instrument exerts influence on its intended target audience. Using this approach, we contend that policy instruments may be analyzed as interfaces that organize social relations and create structures of opportunity and/or restrict possibilities for action. We argue that explicating the pathways through which instruments afford or constrain action is a central task for policy analysis. Our proposed framework of analysis builds on the idea that instruments yield effects by facilitating action and learning. We further contend that the actions that an instrument can facilitate or inhibit are determined by specific affordance modalities of the instrument in conjunction with contingencies of the actor and the policy environment. Examples from research policy are used to illustrate some of these effects.  相似文献   
100.
The three classic pillars of risk analysis are risk assessment (how big is the risk and how sure can we be?), risk management (what shall we do about it?), and risk communication (what shall we say about it, to whom, when, and how?). We propose two complements as important parts of these three bases: risk attribution (who or what addressable conditions actually caused an accident or loss?) and learning from experience about risk reduction (what works, and how well?). Failures in complex systems usually evoke blame, often with insufficient attention to root causes of failure, including some aspects of the situation, design decisions, or social norms and culture. Focusing on blame, however, can inhibit effective learning, instead eliciting excuses to deflect attention and perceived culpability. Productive understanding of what went wrong, and how to do better, thus requires moving past recrimination and excuses. This article identifies common blame‐shifting “lame excuses” for poor risk management. These generally contribute little to effective improvements and may leave real risks and preventable causes unaddressed. We propose principles from risk and decision sciences and organizational design to improve results. These start with organizational leadership. More specifically, they include: deliberate testing and learning—especially from near‐misses and accident precursors; careful causal analysis of accidents; risk quantification; candid expression of uncertainties about costs and benefits of risk‐reduction options; optimization of tradeoffs between gathering additional information and immediate action; promotion of safety culture; and mindful allocation of people, responsibilities, and resources to reduce risks. We propose that these principles provide sound foundations for improving successful risk management.  相似文献   
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