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71.
Tang Qingguo 《统计学通讯:理论与方法》2017,46(8):3782-3800
This paper studies M-estimation in functional linear regression in which the dependent variable is scalar while the covariate is a function. An estimator for the slope function is obtained based on the functional principal component basis. The global convergence rate of the M-estimator of unknown slope function is established. The convergence rate of the mean-squared prediction error for the proposed estimators is also established. Monte Carlo simulation studies are conducted to examine the finite-sample performance of the proposed procedure. Finally, the proposed method is applied to analyze the Berkeley growth data. 相似文献
72.
In this paper, the researchers attempt to introduce a new generalization of the Weibull-geometric distribution. The failure rate function of the new model is found to be increasing, decreasing, upside-down bathtub, and bathtub-shaped. The researchers obtained the new model by compounding Weibull distribution and discrete generalized exponential distribution of a second type, which is a generalization of the geometric distribution. The new introduced model contains some previously known lifetime distributions as well as a new one. Some basic distributional properties and moments of the new model are discussed. Estimation of the parameters is illustrated and the model with two known real data sets is examined. 相似文献
73.
David R. Bickel 《统计学通讯:理论与方法》2017,46(21):10788-10799
Empirical Bayes estimates of the local false discovery rate can reflect uncertainty about the estimated prior by supplementing their Bayesian posterior probabilities with confidence levels as posterior probabilities. This use of coherent fiducial inference with hierarchical models generates set estimators that propagate uncertainty to varying degrees. Some of the set estimates approach estimates from plug-in empirical Bayes methods for high numbers of comparisons and can come close to the usual confidence sets given a sufficiently low number of comparisons. 相似文献
74.
75.
Weighted distributions (univariate and bivariate) have received widespread attention over the last two decades because of their flexibility for analyzing skewed data. In this article, we propose an alternative method to construct a new family of bivariate and multivariate weighted distributions. For illustrative purposes, some examples of the proposed method are presented. Several structural properties of the bivariate weighted distributions including marginal distributions together with distributions of the minimum and maximum, evaluation of the reliability parameter, and verification of total positivity of order two are also presented. In addition, we provide some multivariate extensions of the proposed models. A real-life data set is used to show the applicability of these bivariate weighted distributions. 相似文献
76.
This tutorial focuses on how to produce reliable and generalizable data from random‐digit‐dialing (RDD) landline and cell phone surveys. The article notes that RDD response rates have declined and explores the impact of this pronounced decline. The tutorial addresses order, response mode, and many other biases, sample size, cooperation and response rates, weighting, and hybrid designs‐all using examples from risk analysis to illustrate the key points. The article ends with a brief review of the advantages and disadvantages of major Internet and paper surveys tools, and how these can be molded and sometimes combined in repeated, longitudinal, and other designs to answer questions about risk preferences and perceptions. 相似文献
77.
黄灿灿 《重庆文理学院学报》2016,35(2):152-157
文章选取初次分配工资分配率、城镇居民基尼系数、各收入阶层旅游消费占比作为分析指标,经分析研究所得结论为:低、中收入阶层旅游消费占比与分配率负相关,分配率所代表的初次收入分配总量性影响对中收入阶层旅游消费影响较大,中、高收入阶层旅游消费占比都与城镇居民基尼系数正相关,其中城镇居民基尼系数代表的初次收入分配结构性影响对高收入阶层旅游消费影响较大;并针对各阶层的特殊性对各收入阶层旅游消费发展提出相应政策建议. 相似文献
78.
Maryam Esna-Ashari 《Statistics》2016,50(6):1421-1433
In survival analysis and reliability theory, a fundamental problem is the study of lifetime properties of a live organism or system. In this regard, there have been considered and studied several models based on different concepts of ageing such as hazard rate and mean residual life. In this paper, we consider an additive-multiplicative hazard model (AMHM) and study some reliability and ageing properties of the proposed model. We then specify the bivariate models whose conditionals satisfy AMHM. Several properties of the proposed bivariate model are investigated and adequacy of the model is evaluated based on a real data set. 相似文献
79.
80.
Here we consider an exponentiated version of the reduced Kies distribution and discuss some of its properties. The parameters of the distribution are estimated by the method of maximum likelihood and illustrated with the help of certain real-life data sets. Asymptotic behavior of the maximum likelihood estimators of the parameters of the distribution is also studied by using certain simulated data sets. 相似文献