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101.
Orsenigo Luigi Pammolli Fabio Riccaboni Massimo Bonaccorsi Andrea Turchetti Giuseppe 《Journal of Management and Governance》1997,1(2):147-175
The paper moves a step forward in the direction of establishing a connection between the structure and evolution of knowledge
bases and the structure and evolution of organizational forms in innovative activities in a science-intensive industry. The
paper has an explicit focus on the dynamics of the network of collaborative agreements in R&D in the pharma/biotech industry
after the “molecular biology revolution”. Using a comprehensive dataset, built by the authors integrating several sources
in the industry, the dynamics of the network over time is extensively analyzed. With regards to network structure, it is found
that, while the size of the network increases over time due to net flows of entry, its topological properties remain relatively
unchanged. The evolution of the network has occurred without relevant deformations in the core-periphery profile. With regards
to age-dependent propensity to collaborate, the paper finds that the extent of inter-generational collaboration is much more
significant than intra-generational collaboration. In addition, the propensity of firms of a given generation to enter into
collaboration with firms of a different generation increases with the distance between the two, while the total number of
intra-generational collaborations decreases over time and, moreover, tends to decrease for most recent generations. In the
paper a unitary and coherent explanation of the evidence is developed, coming to reveal the existence of a striking isomorphism
between structural properties of the dynamics of knowledge and of the evolution of network structure.
This revised version was published online in July 2006 with corrections to the Cover Date. 相似文献
102.
Why do most people have stable responses to census race questions, while some do not? Using linked Canadian data, we examine personal, social, and economic characteristics that predict response stability as White or as one of six large visible minority groups, versus a change in response to/from White or to/from another visible minority group. Response change rates in Canada are generally comparable to those in the US, UK, and New Zealand. Likely reflecting the centuries-old hegemony of Whites in these countries, White is the most stable response group in Canada as well as the US, UK, and New Zealand. Multiple-race response groups are among the newest and least stable response groups. Social statuses and experiences (mixed ethnic heritage, immigration status, and exposure to own-group members) are generally more predictive of race response stability and change than economic (income level and change in income) or personal statuses (education, age). This highlights the socially-constructed nature of race group boundaries. Joining and leaving a group are often predicted by the same status/characteristic and in the same direction, hinting that the status/characteristic adds complexity to the race-related experiences of constituents. 相似文献
103.
基于最新的全国42部门投入产出表,创新性地编制出2007年全国能源投入产出表、全国绿色能源投入产出表,并在此基础上通过分析比较两表间的影响力系数、感应度系数及能源部门环境成本弹性系数,结果表明:煤炭开采业、石油开采业、火电业和炼焦业对其他部门的制约程度更大;石油开采业、石油加工业、火电业和炼焦业对其他生产部门的“拉动”作用明显下降;天然气开采业的感应度系数和影响力系数有明显改善;煤炭开采业、石油开采业、火电业和石油加工业的生产成本受环境治理成本变化影响较大.鉴此,提出中国“十二五”期间能源产业结构调整的有关政策建议. 相似文献
104.
基于随机化回答模型的最低工资敏感性问题研究 总被引:2,自引:0,他引:2
针对最低工资调查中出现的敏感性问题,引入随机化回答技术,并针对定性和定量两类敏感性问题,分别引入不同的随机化回答模型。同时还考虑到最低工资调查中,不同调查单位对同一问题敏感程度不相同的特性,在定量问题的随机化回答模型中引入敏感性水平,对原有模型进行有效的改进,使被调查者能够更加积极配合最低工资调查,从而能够进一步减少由于各类敏感性问题造成的非抽样误差。这套随机化处理方法还可推广应用到其他类型的敏感性问题中。 相似文献
105.
《Journal of Statistical Computation and Simulation》2012,82(6):779-793
In this article, new pseudo-Bayes and pseudo-empirical Bayes estimators for estimating the proportion of a potentially sensitive attribute in a survey sampling have been introduced. The proposed estimators are compared with the recent estimator proposed by Odumade and Singh [Efficient use of two decks of cards in randomized response sampling, Comm. Statist. Theory Methods 38 (2009), pp. 439–446] and Warner [Randomized response: A survey technique for eliminating evasive answer bias, J. Amer. Statist. Assoc. 60 (1965), pp. 63–69]. 相似文献
106.
《Journal of Statistical Computation and Simulation》2012,82(11):1679-1699
Item response theory (IRT) comprises a set of statistical models which are useful in many fields, especially when there is an interest in studying latent variables (or latent traits). Usually such latent traits are assumed to be random variables and a convenient distribution is assigned to them. A very common choice for such a distribution has been the standard normal. Recently, Azevedo et al. [Bayesian inference for a skew-normal IRT model under the centred parameterization, Comput. Stat. Data Anal. 55 (2011), pp. 353–365] proposed a skew-normal distribution under the centred parameterization (SNCP) as had been studied in [R.B. Arellano-Valle and A. Azzalini, The centred parametrization for the multivariate skew-normal distribution, J. Multivariate Anal. 99(7) (2008), pp. 1362–1382], to model the latent trait distribution. This approach allows one to represent any asymmetric behaviour concerning the latent trait distribution. Also, they developed a Metropolis–Hastings within the Gibbs sampling (MHWGS) algorithm based on the density of the SNCP. They showed that the algorithm recovers all parameters properly. Their results indicated that, in the presence of asymmetry, the proposed model and the estimation algorithm perform better than the usual model and estimation methods. Our main goal in this paper is to propose another type of MHWGS algorithm based on a stochastic representation (hierarchical structure) of the SNCP studied in [N. Henze, A probabilistic representation of the skew-normal distribution, Scand. J. Statist. 13 (1986), pp. 271–275]. Our algorithm has only one Metropolis–Hastings step, in opposition to the algorithm developed by Azevedo et al., which has two such steps. This not only makes the implementation easier but also reduces the number of proposal densities to be used, which can be a problem in the implementation of MHWGS algorithms, as can be seen in [R.J. Patz and B.W. Junker, A straightforward approach to Markov Chain Monte Carlo methods for item response models, J. Educ. Behav. Stat. 24(2) (1999), pp. 146–178; R.J. Patz and B.W. Junker, The applications and extensions of MCMC in IRT: Multiple item types, missing data, and rated responses, J. Educ. Behav. Stat. 24(4) (1999), pp. 342–366; A. Gelman, G.O. Roberts, and W.R. Gilks, Efficient Metropolis jumping rules, Bayesian Stat. 5 (1996), pp. 599–607]. Moreover, we consider a modified beta prior (which generalizes the one considered in [3]) and a Jeffreys prior for the asymmetry parameter. Furthermore, we study the sensitivity of such priors as well as the use of different kernel densities for this parameter. Finally, we assess the impact of the number of examinees, number of items and the asymmetry level on the parameter recovery. Results of the simulation study indicated that our approach performed equally as well as that in [3], in terms of parameter recovery, mainly using the Jeffreys prior. Also, they indicated that the asymmetry level has the highest impact on parameter recovery, even though it is relatively small. A real data analysis is considered jointly with the development of model fitting assessment tools. The results are compared with the ones obtained by Azevedo et al. The results indicate that using the hierarchical approach allows us to implement MCMC algorithms more easily, it facilitates diagnosis of the convergence and also it can be very useful to fit more complex skew IRT models. 相似文献
107.
《Journal of Statistical Computation and Simulation》2012,82(12):2545-2556
Binary response models are often applied in dose–response settings where the number of dose levels is limited. Commonly, one can find cases where the maximum likelihood estimation process for these models produces infinite values for at least one of the parameters, often corresponding to the ‘separated data’ issue. Algorithms for detecting such data have been proposed, but are usually incorporated directly into in the parameter estimation. Additionally, they do not consider the use of asymptotes in the model formulation. In order to study this phenomenon in greater detail, we define the class of specifiably degenerate functions where this can occur (including the popular logistic and Weibull models) that allows for asymptotes in the dose–response specification. We demonstrate for this class that the well-known pool-adjacent-violators algorithm can efficiently pre-screen for non-estimable data. A simulation study demonstrates the frequency with which this problem can occur for various response models and conditions. 相似文献
108.
《Journal of Statistical Computation and Simulation》2012,82(14):2874-2902
We propose tests for parameter constancy in the time series direction in panel data models. We construct a locally best invariant test based on Tanaka [Time series analysis: nonstationary and noninvertible distribution theory. New York: Wiley; 1996] and an asymptotically point optimal test based on Elliott and Müller [Efficient tests for general persistent time variation in regression coefficients. Rev Econ Stud. 2006;73:907–940]. We derive the limiting distributions of the test statistics as T→∞ while N is fixed, and calculate the critical values by applying numerical integration and response surface regression. Simulation results show that the proposed tests perform well if we apply them appropriately. 相似文献
109.
《Journal of Statistical Computation and Simulation》2012,82(1-4):261-270
Sensitivity analysis of air scattered neutron dose at several distances from a particle accelerator with respect to shield thickness and neutron yield distributions has been carried out. We illustrate the successful use of Response Surface Methodology in studying the behaviour of the sensitivity coefficients for main effects and interaction terms. A comparison of the full six factor design and the orthogonal Central Composite Design has been made. The overhead shield is found to be the most sensitive parameter followed by the high energy part of the neutron energy distribution. 相似文献
110.
《统计学通讯:理论与方法》2012,41(13-14):2394-2404
Sousa et al. (2010) introduced a ratio estimator for the mean of a sensitive variable and showed that this estimator performs better than the ordinary mean estimator based on a randomized response technique (RRT). In this article, we introduce a regression estimator that performs better than the ratio estimator even for modest correlation between the primary and the auxiliary variables. The underlying assumption is that the primary variable is sensitive in nature but a non sensitive auxiliary variable exists that is positively correlated with the primary variable. Expressions for the Bias and MSE (Mean Square Error) are derived based on the first order of approximation. It is shown that the proposed regression estimator performs better than the ratio estimator and the ordinary RRT mean estimator (that does not utilize the auxiliary information). We also consider a generalized regression-cum-ratio estimator that has even smaller MSE. An extensive simulation study is presented to evaluate the performances of the proposed estimators in relation to other estimators in the study. The procedure is also applied to some financial data: purchase orders (a sensitive variable) and gross turnover (a non sensitive variable) in 2009 for a population of 5,336 companies in Portugal from a survey on Information and Communication Technologies (ICT) usage. 相似文献