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51.
52.
李利君 《河南科技大学学报(社会科学版)》2009,27(6):91-94
附条件逮捕发端于司法实践,对协调办案需要和人权保障意义重大。但各地运行状况并不统一,学界也存在着一定的理论争议。对此可以从文本认同、理论认同和感情认同三个角度加以探讨,既指出理论质疑,也阐明其存在的合理性和改善的必要性。 相似文献
53.
Bruce Levin 《统计学通讯:理论与方法》2013,42(11):1299-1327
We describe a method of computing the cumulative distribution function of the maximum and minimum cell frequencies in sampling distributions commonly encountered in the analysis of categorical data.The procedure is efficient for exact or approximate calculation in both homogeneous and non-homogeneous cases, is non-recursive, and does not require Dirichlet integrals.Some related statistical problems are also discussed. 相似文献
54.
Limited information bayesian analysis of a structural coefficient in a simultaneous equations system
Hiroki Tsurumi 《统计学通讯:理论与方法》2013,42(5):1103-1120
An analytical expression is obtained for the marginal posterior density for a structural coefficient in a simultaneous equations system based on a limited information Bayesian analysis. A con- ditional posterior density is obtained given reduced form para- meters. This conditional posterior density is in univariate student t form. Numerical examples suggest that the conditional density hasa tighter distribution around the posterior mean than the unconditional density when the correlation between the endo- genous variables and the structural error term is high. 相似文献
55.
Marilena Furno 《Statistical Methods and Applications》1996,5(3):369-385
Summary The paper shows that the informaton matrix test presented by White (1982) decomposes into the sum of quadratic forms in the
case of a linear model with ARMA errors. By extending previous results, which analysed the information matrix test in the
presence of serial correlation, the test allows detection of additional sources of misspecification. 相似文献
56.
在粗糙表面高度起伏服从高斯统计和表面服从圆型相关的情况下,分析了由弱散射体产生的远场高斯激光散斑相位差的条件统计分布与表面粗糙度的关系. 相似文献
57.
In this paper we present a perfect simulation method for obtaining perfect samples from collections of correlated Poisson random variables conditioned to be positive. We show how to use this method to produce a perfect sample from a Boolean model conditioned to cover a set of points: in W.S. Kendall and E. Thönnes (Pattern Recognition 32(9): 1569–1586, 1999), this special case was treated in a more complicated way. The method is applied to several simple examples where exact calculations can be made, so as to check correctness of the program using 2-tests, and some small-scale experiments are carried out to explore the behaviour of the conditioned Boolean model. 相似文献
58.
《商业与经济统计学杂志》2013,31(1):138-149
We introduce a new multivariate GARCH model with multivariate thresholds in conditional correlations and develop a two-step estimation procedure that is feasible in large dimensional applications. Optimal threshold functions are estimated endogenously from the data and the model conditional covariance matrix is ensured to be positive definite. We study the empirical performance of our model in two applications using U.S. stock and bond market data. In both applications our model has, in terms of statistical and economic significance, higher forecasting power than several other multivariate GARCH models for conditional correlations. 相似文献
59.
This paper numerically examines the size robustness of various conditional moment tests in misspecified tobit and probit models. The misspecifications considered include the incorrect exclusion of regressors, ignored heteroskedasticity and false distributional assumptions. An important feature of the experimental design is that it is based on an existing empirical study and is more realistic than many simulation studies. The tests are seen to have mixed performance depending on both the original null hypothesis being tested and type of misspecification encountered. 相似文献
60.
《Journal of Statistical Computation and Simulation》2012,82(9):1643-1659
The construction of a joint model for mixed discrete and continuous random variables that accounts for their associations is an important statistical problem in many practical applications. In this paper, we use copulas to construct a class of joint distributions of mixed discrete and continuous random variables. In particular, we employ the Gaussian copula to generate joint distributions for mixed variables. Examples include the robit-normal and probit-normal-exponential distributions, the first for modelling the distribution of mixed binary-continuous data and the second for a mixture of continuous, binary and trichotomous variables. The new class of joint distributions is general enough to include many mixed-data models currently available. We study properties of the distributions and outline likelihood estimation; a small simulation study is used to investigate the finite-sample properties of estimates obtained by full and pairwise likelihood methods. Finally, we present an application to discriminant analysis of multiple correlated binary and continuous data from a study involving advanced breast cancer patients. 相似文献