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21.
The paper evaluates the accuracy of Burr approximations of critical values and p-values for test a of autocorrelation and heteroscedasticity in the linear regression model. 相似文献
22.
Impacts of complex emergencies or relief interventions have often been evaluated by absolute mortality compared to international standardized mortality rates. A better evaluation would be to compare with local baseline mortality of the affected populations. A projection of population-based survival data into time of emergency or intervention based on information from before the emergency may create a local baseline reference. We find a log-transformed Gaussian time series model where standard errors of the estimated rates are included in the variance to have the best forecasting capacity. However, if time-at-risk during the forecasted period is known then forecasting might be done using a Poisson time series model with overdispersion. Whatever, the standard error of the estimated rates must be included in the variance of the model either in an additive form in a Gaussian model or in a multiplicative form by overdispersion in a Poisson model. Data on which the forecasting is based must be modelled carefully concerning not only calendar-time trends but also periods with excessive frequency of events (epidemics) and seasonal variations to eliminate residual autocorrelation and to make a proper reference for comparison, reflecting changes over time during the emergency. Hence, when modelled properly it is possible to predict a reference to an emergency-affected population based on local conditions. We predicted childhood mortality during the war in Guinea-Bissau 1998-1999. We found an increased mortality in the first half-year of the war and a mortality corresponding to the expected one in the last half-year of the war. 相似文献
23.
BAYESIAN SUBSET SELECTION AND MODEL AVERAGING USING A CENTRED AND DISPERSED PRIOR FOR THE ERROR VARIANCE 总被引:1,自引:0,他引:1
Edward Cripps Robert Kohn David Nott 《Australian & New Zealand Journal of Statistics》2006,48(2):237-252
This article proposes a new data‐based prior distribution for the error variance in a Gaussian linear regression model, when the model is used for Bayesian variable selection and model averaging. For a given subset of variables in the model, this prior has a mode that is an unbiased estimator of the error variance but is suitably dispersed to make it uninformative relative to the marginal likelihood. The advantage of this empirical Bayes prior for the error variance is that it is centred and dispersed sensibly and avoids the arbitrary specification of hyperparameters. The performance of the new prior is compared to that of a prior proposed previously in the literature using several simulated examples and two loss functions. For each example our paper also reports results for the model that orthogonalizes the predictor variables before performing subset selection. A real example is also investigated. The empirical results suggest that for both the simulated and real data, the performance of the estimators based on the prior proposed in our article compares favourably with that of a prior used previously in the literature. 相似文献
24.
探索、检验因果关系是教育科学研究的重要目标之一,相关分析、回归分析、路径分析等常用统计方法存在许多不足。结构方程模型是针对这些不足提出来的,从统计思路上,它具有优点,但还不够完善,应引起我国教育学界的注意。 相似文献
25.
We used two statistical methods to identify prognostic factors: a log-linear model (logistic and COX regression, based on the notions of linearity and multiplicative relative risk), and the CORICO method (ICOnography of CORrelations) based on the geometric significance of the correlation coefficient. We applied the methods to two different situations (a "case-control study' and a "historical cohort'). We show that the geometric exploratory tool is particularly suited to the analysis of small samples with a large number of variables. It could save time when setting up new study protocols. In this instance, the geometric approach highlighted, without preconceived ideas, the potential role of multihormonality in the course of pituitary adenoma and the unexpected influence of the date of tumour excision on the risk attached to haemorrhage. 相似文献
26.
物流成本对国际贸易影响的实证分析 总被引:1,自引:0,他引:1
刘金钵 《河北理工大学学报(社会科学版)》2003,3(4):82-84
多年来中美贸易发展迅速 ,美国成为我国主要出口国家。当今形势下 ,物流成本成为影响中美贸易的主要因素 ;借助计量经济学方法 ,定量地探讨了物流成本对两国贸易尤其是我国出口贸易的影响。 相似文献
27.
朱汉民 《武汉理工大学学报(社会科学版)》2003,16(3):226-230
随着现代物流业的迅速发展和金融体制改革的不断创新,双方需要在更高层次上以一种更新的理念构建更顺畅的合作关系和更高效的运行机制,以此取得良好的互动发展效果。中国的金融业应当与物流业携起手来,加强合作,共通信息,互相促进,将有限的资金合理、科学、高效地利用好,更好地为我国的经济建设服务,实现真正的“双赢”。 相似文献
28.
俞颖 《安徽大学学报(哲学社会科学版)》2004,28(5):143-148
本文用信息经济学的理论和计量经济学的实证分析方法研究了我国核准制下的新股定价问题 ,指出市场主体决策时的信息差异是造成新股发行价和上市价相背离的主要原因 ,并构建多元回归模型对这一假设进行了检验。 相似文献
29.
We analyse whether the psychological pricing in the private sector has a public sector counterpart in tax policy. Analysing the main theoretical arguments for the existence of price points, and applying them to the public sector, suggests that psychological taxing reveals itself by the use of non-0 ending tax rates. The tax rate endings of the local income taxes, which are set by 308 Flemish municipalities in the fiscal year 1998, suggests the presence of psychological taxing. Non-0 endings occur more frequently in municipalities where demand for public policy is more elastic (and where, therefore, the benefits to the politicians from setting a tax just below a tax point is higher). The pre-tax income inequality and the level of the tax rate positively affect psychological taxing. The latter effect is reinforced in those municipalities where the existing tax rate is above the average tax rate in neighbouring municipalities and below their neighbours’ minimum, although this effect has a limited effect and is offset the further below the minimum the tax is set. 相似文献
30.
Douglas G. Bonett 《Journal of applied statistics》2005,32(10):1089-1094
The residual standard deviation of a general linear model provides information about predictive accuracy that is not revealed by the multiple correlation or regression coefficients. The classic confidence interval for a residual standard deviation is hypersensitive to minor violations of the normality assumption and its robustness does not improve with increasing sample size. An approximate confidence interval for the residual standard deviation is proposed and shown to be robust to moderate violations of the normality assumption with robustness to extreme non-normality that improves with increasing sample size. 相似文献