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61.
经济法的基本价值是实现社会整体利益。这一价值取向是经济法的功能和目标所决定的。是克服市场失灵、民法失灵的要求;是追求公平的要求;是可持续发展的必然要求。为了实现经济法的社会整体利益,对政府失灵也要有所控制,因此,笔者提出要加强法制建设,转变政府职能,“限制政府”。  相似文献   
62.
Donor imputation is frequently used in surveys. However, very few variance estimation methods that take into account donor imputation have been developed in the literature. This is particularly true for surveys with high sampling fractions using nearest donor imputation, often called nearest‐neighbour imputation. In this paper, the authors develop a variance estimator for donor imputation based on the assumption that the imputed estimator of a domain total is approximately unbiased under an imputation model; that is, a model for the variable requiring imputation. Their variance estimator is valid, irrespective of the magnitude of the sampling fractions and the complexity of the donor imputation method, provided that the imputation model mean and variance are accurately estimated. They evaluate its performance in a simulation study and show that nonparametric estimation of the model mean and variance via smoothing splines brings robustness with respect to imputation model misspecifications. They also apply their variance estimator to real survey data when nearest‐neighbour imputation has been used to fill in the missing values. The Canadian Journal of Statistics 37: 400–416; 2009 © 2009 Statistical Society of Canada  相似文献   
63.
The authors consider dimensionality reduction methods used for prediction, such as reduced rank regression, principal component regression and partial least squares. They show how it is possible to obtain intermediate solutions by estimating simultaneously the latent variables for the predictors and for the responses. They obtain a continuum of solutions that goes from reduced rank regression to principal component regression via maximum likelihood and least squares estimation. Different solutions are compared using simulated and real data.  相似文献   
64.
In this paper we study the sampling properties of a test statistic which has important applications in the area of linear stochastic control systems with multi-inputs and multi-outputs. The statistic is the ratio of a partial sum of the eigenvalues of a sample covariance matrix and its trace. It turns out that using a method due to Sugiura we may derive a useful approximation for its distribution up to and including terms of order l/n, where n denotes the appropriate size. Numerical illustrations using real data are given.  相似文献   
65.
For the balanced variance component model when the intraclass correlation coefficient is of interest, Bayesian analysis is often appropriate. Berger and Bernardo’s (1992a) grouped ordering reference prior approach is used to analyze this model. The reference priors are developed and compared for the posterior inference with real and simulated data. We examine whether the reference priors satisfy the probability-matching criterion. Further, the reference prior is shown to be good in the sense of correct frequentist coverage probability of the posterior quantile.  相似文献   
66.
Row-column designs may be considered to have two blocking schemes, namely the treatments by rows and treatments by columns component block designs. The (M,S)-optimality criterion is applied to row-column designs, and che connection between the (M,S)-optimal design and its component block designs is demonstrated.  相似文献   
67.
It is widely recognized that the coordinated development between urban and rural areas can not only narrow gaps in infrastructure between urban and rural areas, promote balanced development in rural areas in terms of society, economy and environment, but is also an effective way to address issues facing agriculture, rural areas and farmers. In line with this, development of infrastructure projects has been an important means for promoting coordinated urban-rural development in developing countries (such as China). However, there is a lack of indicators that can be used to assess the contribution of infrastructure projects to coordinated urban-rural development. This paper thus attempts to present a set of critical indicators for evaluating the contribution of infrastructure projects to coordinated urban-rural development in the particular context of Chongqing, Western China.First, a list of optional indicators that are with potential for assessing the contribution of infrastructure projects to coordinated urban-rural development is presented based on examination on related project feasibility reports, official reports and literature. Then 42 indicators are identified from the optional list through a questionnaire survey. By using the data collected, the relative level of significance of each indicator is derived. Finally, an indicator system consisting of 19 critical indicators is established based on results of principle component analysis. The applicability and significance of the identified indicators for assessing the contribution of infrastructure projects to coordinated urban-rural development are discussed as well.  相似文献   
68.
Abstract. This is probably the first paper which discusses likelihood inference for a random set using a germ‐grain model, where the individual grains are unobservable, edge effects occur and other complications appear. We consider the case where the grains form a disc process modelled by a marked point process, where the germs are the centres and the marks are the associated radii of the discs. We propose to use a recent parametric class of interacting disc process models, where the minimal sufficient statistic depends on various geometric properties of the random set, and the density is specified with respect to a given marked Poisson model (i.e. a Boolean model). We show how edge effects and other complications can be handled by considering a certain conditional likelihood. Our methodology is illustrated by analysing Peter Diggle's heather data set, where we discuss the results of simulation‐based maximum likelihood inference and the effect of specifying different reference Poisson models.  相似文献   
69.
Tests based on the Anderson–Darling statistic, a third moment statistic and the classical Pearson–Fisher X 2 statistic, along with its third-order component, are considered. A small critical value and power study are given. Some examples illustrate important applications.  相似文献   
70.
我国少数民族构成要素的因子分析   总被引:1,自引:0,他引:1  
黄行 《民族研究》2001,4(1):45-51
本文用总人口、自治地方本民族人口、自治地方少数民族人口、人均GDP、农业人口、识字人口、在校生、母语人、单语人、双语人人数等 10项指标作为民族的地区、经济、教育和语言构成要素 ,对这些要素在我国现有少数民族中的构成情况作了描述、相关和因子提取等统计分析 ,以说明目前我国少数民族构成的基本社会状况 ,以及这些要素对少数民族整体和个体的构成的作用或代表的信息量有多大。文章还依据已有的经验知识对统计分析结果作了相应的说明和解释。结论是 ,目前我国少数民族之间的区别特征主要在于经济发展水平、人口的教育水平、居住地区、使用语言等方面的社会差别 ;但是从发展趋势看 ,传统意义上的各民族构成要素的作用将逐渐减弱 ,民族间的差别将逐渐缩小  相似文献   
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