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21.
利用全微分方程的条件,给出一类微分方程的积分因子及通解公式,得出一类全微分方程中未知函数所满足的二阶线性微分方程,获得未知函数及全微分方程的通解。 相似文献
22.
丁金国 《烟台大学学报(哲学社会科学版)》2002,15(1):82-90
从功能的角度考察语言的本质 ,是诸多著作理解语言性质的哲学基础。功能论固然看到了语言对于人类社会的决定性作用 ,然而却丝毫未触及语言自身的结构特征和机制。仅从功能的角度认识语言是不够的 ,还必须深入到语言结构内部 ,对语言的特征、机制及结构体系进行多角度观察 ,才能较为完整地揭示语言的本质 相似文献
23.
Mark S. Pearce Heather O. Dickinson Murray Aitkin Louise Parker 《Journal of the Royal Statistical Society. Series A, (Statistics in Society)》2002,165(3):523-548
Summary. This study investigates whether there was evidence of increasing risk of still-birth with increasing paternal exposure to ionizing radiation received during employment at the Sellafield nuclear installation before the child was conceived. A significant positive association is found between the total paternal preconceptional exposure to external ionizing radiation and the risk of still-birth (after adjustment for year of birth, social class, birth order and paternal age, odds ratio at 100 mSv 1.24 (95% confidence interval 1.04–1.45)). A summary of the principal scientific findings of this study has been published in the Lancet . This paper describes in detail the statistical methods that were used in the investigation and presents the results in full. 相似文献
24.
《Australian & New Zealand Journal of Statistics》2002,44(4):505-506
Books reviewed:
M Hollander and D Wolfe, Nonparametric Statistical Methods
T Leonard and J.S.J Hsu, Bayesian Methods 相似文献
M Hollander and D Wolfe, Nonparametric Statistical Methods
T Leonard and J.S.J Hsu, Bayesian Methods 相似文献
25.
一般本科院校人才培养目标与培养模式研究 总被引:16,自引:6,他引:10
文章通过对高等学校分类、定位的介绍,提出了一般本科院校的人才培养目标应根据社会的需求和学生的差异而多元化,即以应用型、复合型为主体,以研究型为激励,以技能型为补充。按照强化基础、拓宽专业、突出能力、注重创新、提高素质、全面发展的模式实施人才培养。 相似文献
26.
Modelling daily multivariate pollutant data at multiple sites 总被引:7,自引:1,他引:6
Gavin Shaddick Jon Wakefield 《Journal of the Royal Statistical Society. Series C, Applied statistics》2002,51(3):351-372
Summary. This paper considers the spatiotemporal modelling of four pollutants measured daily at eight monitoring sites in London over a 4-year period. Such multiple-pollutant data sets measured over time at multiple sites within a region of interest are typical. Here, the modelling was carried out to provide the exposure for a study investigating the health effects of air pollution. Alternative objectives include the design problem of the positioning of a new monitoring site, or for regulatory purposes to determine whether environmental standards are being met. In general, analyses are hampered by missing data due, for example, to a particular pollutant not being measured at a site, a monitor being inactive by design (e.g. a 6-day monitoring schedule) or because of an unreliable or faulty monitor. Data of this type are modelled here within a dynamic linear modelling framework, in which the dependences across time, space and pollutants are exploited. Throughout the approach is Bayesian, with implementation via Markov chain Monte Carlo sampling. 相似文献
27.
《蝇王》的象征意蕴及艺术特色 总被引:1,自引:0,他引:1
戈尔丁寓言体小说《蝇王》构拟了一整套象征体系,不但人物有象征意蕴,所写的事物大多也有象征意蕴。象征意蕴是多义的,有时彼此相反。由于喻体和本体的相似点和关联点或源于西方传统文化,或源于事物的普通联系,并且作者循着孩子们在荒岛上的故事情节有机设置喻体,因此自然流畅,毫无雕琢痕迹。 相似文献
28.
Sets of relatively short time series arise in many situations. One aspect of their analysis may be the detection of outlying
series. We examine the performance of standard normal outlier tests applied to the means, or to simple functions of the means,
of AR(1) series, not necessarily of equal lengths. Although unequal lengths of series implies that the means have unequal
variances, that are only known approximately, it is shown that nominal significance levels hold good under most circumstances.
Thus a standard outlier test can usefully be applied, avoiding the complication of estimating the time series' parameters.
The test's power is affected by unequal lengths, being higher when the slippage occurs in one of the longer series 相似文献
29.
Craig H. Mallinckrodt Christopher J. Kaiser John G. Watkin Michael J. Detke Geert Molenberghs Raymond J. Carroll 《Pharmaceutical statistics》2004,3(3):171-186
The last observation carried forward (LOCF) approach is commonly utilized to handle missing values in the primary analysis of clinical trials. However, recent evidence suggests that likelihood‐based analyses developed under the missing at random (MAR) framework are sensible alternatives. The objective of this study was to assess the Type I error rates from a likelihood‐based MAR approach – mixed‐model repeated measures (MMRM) – compared with LOCF when estimating treatment contrasts for mean change from baseline to endpoint (Δ). Data emulating neuropsychiatric clinical trials were simulated in a 4 × 4 factorial arrangement of scenarios, using four patterns of mean changes over time and four strategies for deleting data to generate subject dropout via an MAR mechanism. In data with no dropout, estimates of Δ and SEΔ from MMRM and LOCF were identical. In data with dropout, the Type I error rates (averaged across all scenarios) for MMRM and LOCF were 5.49% and 16.76%, respectively. In 11 of the 16 scenarios, the Type I error rate from MMRM was at least 1.00% closer to the expected rate of 5.00% than the corresponding rate from LOCF. In no scenario did LOCF yield a Type I error rate that was at least 1.00% closer to the expected rate than the corresponding rate from MMRM. The average estimate of SEΔ from MMRM was greater in data with dropout than in complete data, whereas the average estimate of SEΔ from LOCF was smaller in data with dropout than in complete data, suggesting that standard errors from MMRM better reflected the uncertainty in the data. The results from this investigation support those from previous studies, which found that MMRM provided reasonable control of Type I error even in the presence of MNAR missingness. No universally best approach to analysis of longitudinal data exists. However, likelihood‐based MAR approaches have been shown to perform well in a variety of situations and are a sensible alternative to the LOCF approach. MNAR methods can be used within a sensitivity analysis framework to test the potential presence and impact of MNAR data, thereby assessing robustness of results from an MAR method. Copyright © 2004 John Wiley & Sons, Ltd. 相似文献
30.
Merging information for semiparametric density estimation 总被引:1,自引:0,他引:1
Konstantinos Fokianos 《Journal of the Royal Statistical Society. Series B, Statistical methodology》2004,66(4):941-958
Summary. The density ratio model specifies that the likelihood ratio of m −1 probability density functions with respect to the m th is of known parametric form without reference to any parametric model. We study the semiparametric inference problem that is related to the density ratio model by appealing to the methodology of empirical likelihood. The combined data from all the samples leads to more efficient kernel density estimators for the unknown distributions. We adopt variants of well-established techniques to choose the smoothing parameter for the density estimators proposed. 相似文献