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91.
中国股市收益率分布特征研究   总被引:7,自引:3,他引:7  
应用修正Weibull分布对上海综合指数收益率和深圳成分指数收益率的分布状况进行研究。结果表明:经过简单的移位变换后,上证综指收益率和深成指收益率可完全用修正Weibull分布来刻画;大收益率服从次指数分布,小收益率服从超指数分布;两股指收益率的概率分布存在一些差异,上证综指的波动性大于深成指的波动性;沪深股市收益率的分布在1996年以后发生了较大的变化,其中沪市变化更大。  相似文献   
92.
异种自由刑数罪并罚是在原有数罪并罚规则基础之上,针对多样化的犯罪现象与司法适用而设置的规则。根据我国现行《刑法》规定的异种自由刑并罚内容,吸收原则与并科原则各自蕴含着合理性依据。然而立足于整体数罪并罚的规则,此种规定却存在二者相互矛盾以及刑罚轻重的冲突,给理论研究与实践适用带来困扰。基于此,通过对域外异种自由刑数罪并罚规则的考察,借鉴其中折抵和限制加重原则的内容,提出我国异种自由刑并罚规则的改进建议:对有期徒刑和拘役刑的并罚采用综合折抵原则与限制加重原则的方式,而对有期徒刑、拘役刑和管制刑的并罚继续采用并科原则,从而更好地实现数罪并罚的适用。  相似文献   
93.
以中国知网数据库2007—2017年收录的题名中含有“员工创新行为”的293篇期刊论文作为数据来源,借助CiteSpace5.0软件绘制可视化知识图谱,对该时间段国内员工创新行为研究的年度发文量、发文机构、文献来源机构、代表性学者及研究热点进行可视化分析。研究结果表明:2007—2010年,员工创新行为研究的载文量较少但呈逐步增长趋势,2010—2017年,员工创新行为发文量增长趋势明显;发文量排名前20的研究机构中有19个为高校;载文量在5篇以上的期刊主要为经济管理类期刊;其研究热点主要集中在员工创新行为主体研究,以及个人特征、领导力、组织文化与氛围等员工创新行为前因变量研究。未来的研究方向为:开发适合中国情境的员工创新行为量表,在整体视角下探讨不同创新主体之间的关联及员工创新行为的结果变量等。  相似文献   
94.
中国省域碳排放的空间特征及影响因素   总被引:1,自引:0,他引:1  
通过核密度分布和莫兰指数对中国2000—2015年30省份碳排放强度的动态趋势及集聚特征进行测度,并利用空间杜宾模型对其主要影响因素进行分析。结果显示:(1)中国30省份碳排放强度呈下降趋势,新常态以来低碳步伐加快;(2)碳排放强度的空间集聚性具有高水平集中、低水平集聚特征,空间溢出效应不断增强;(3)本省经济规模、产业结构对本省碳排放强度具有显著的正向影响,专利产出具有显著的负向影响;相邻省份的外商投资规模及能源消费结构变化对本省碳排放具有显著的空间溢出作用。因此,未来中国加快产业结构调整幅度、优化相邻省份间的产业空间布局以及大力发展绿色技术进步是中国促进区域低碳转型的主要方向,同时生态城镇化以及继续改善外商直接投资质量也是减排潜力因子,省域间的减排空间溢出效果不容忽视。  相似文献   
95.
By using partial least squares path modeling, this paper develops a complex index of social capital, selects Croatia as the case for testing and validating the index, and investigates the regional distribution of social capital. The social capital index is defined as a complex hierarchical structured construct of third-order with social trust, participation, and civism as its core dimensions. The main results indicate that civism is the most important cause of social capital followed by active participation and social trust. As far as the regional distribution of social capital is concerned, there are statistically significant differences across the Croatian regions. Although the lowest or below the national average level of social capital and its dimensions can be mostly found in the least developed regions (with the exception of the capital), the highest level of social capital and its particular dimensions is not achieved in the most developed regions.  相似文献   
96.
The Burr XII distribution offers a flexible alternative to the distributions that play important role for modelling data in reliability, risk and process capability. However, estimating the shape parameters of the Burr XII distribution is a challenging problem. The classical estimation methods such as maximum likelihood and least squares are often used to estimate the parameters of the Burr XII distribution, but these methods are very sensitive to the outliers in the data. Thus, a robust estimation method alternative to the classical methods is needed to find robust estimators that are less sensitive to the outliers in the data. The purpose of this paper is to use the optimal B-robust estimation method [Hampel FR, Ronchetti EM, Rousseeuw PJ, Stahel WA. Robust statistics: the approach based on influence functions. New York: Wiley; 1986] to obtain robust estimators for the shape parameters of the Burr XII distribution. The simulation results show that the optimal B-robust estimators generally outperform the classical estimators in terms of the bias and root mean square errors when there are outliers in data.  相似文献   
97.
Many if not most lifetime distributions are motivated only by mathematical interest. Here, a new three-parameter distribution motivated mainly by lifetime issues is introduced. Some properties of the new distribution including estimation procedures, univariate generalizations and bivariate generalizations are derived. A real data application is described to show its superior performance versus at least that of 15 of the known lifetime models.  相似文献   
98.
The exponential–Poisson (EP) distribution with scale and shape parameters β>0 and λ∈?, respectively, is a lifetime distribution obtained by mixing exponential and zero-truncated Poisson models. The EP distribution has been a good alternative to the gamma distribution for modelling lifetime, reliability and time intervals of successive natural disasters. Both EP and gamma distributions have some similarities and properties in common, for example, their densities may be strictly decreasing or unimodal, and their hazard rate functions may be decreasing, increasing or constant depending on their shape parameters. On the other hand, the EP distribution has several interesting applications based on stochastic representations involving maximum and minimum of iid exponential variables (with random sample size) which make it of distinguishable scientific importance from the gamma distribution. Given the similarities and different scientific relevance between these models, one question of interest is how to discriminate them. With this in mind, we propose a likelihood ratio test based on Cox's statistic to discriminate the EP and gamma distributions. The asymptotic distribution of the normalized logarithm of the ratio of the maximized likelihoods under two null hypotheses – data come from EP or gamma distributions – is provided. With this, we obtain the probabilities of correct selection. Hence, we propose to choose the model that maximizes the probability of correct selection (PCS). We also determinate the minimum sample size required to discriminate the EP and gamma distributions when the PCS and a given tolerance level based on some distance are before stated. A simulation study to evaluate the accuracy of the asymptotic probabilities of correct selection is also presented. The paper is motivated by two applications to real data sets.  相似文献   
99.
In this paper, the reliability of a system is discussed when the strength of the system and the stress imposed on it are independent, non-identical exponentiated Pareto distributed random variables. Different point estimations and interval estimations are proposed. The point estimators obtained are maximum likelihood, uniformly minimum variance unbiased and Bayesian estimators. The interval estimations obtained are approximate, exact, bootstrap-p and bootstrap-t confidence intervals and Bayesian credible interval. Different methods and the corresponding confidence intervals are compared using Monte-carlo simulations.  相似文献   
100.
A major focus of India's ongoing policy debate over labour market flexibilization has been the statutory requirement that firms employing 100 or more workers cannot dismiss employees without prior government permission. The case for repealing that requirement (or greatly increasing the workforce threshold) is notably underpinned by Basu, Fields and Debgupta (2009). Here, the author challenges their particular theoretical argument for hiring and firing at will based on the voluntary signing of contracts, demonstrating that their general policy conclusion is logically unsustainable even within the framework of that model. The case for labour market flexibilization through voluntary contracting thus remains unfounded.  相似文献   
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