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71.
The economic recession, the dynamism and complexity of the markets and the generalised globalisation of the world economy have forced many companies to rethink and reorganise their industrial strategies. Through identifying and taking advantage of the key technologies of a company, this work presents a new and original methodology for dealing with a general technological diversification process. The methodology, which includes an innovative cognitive perspective and its corresponding decisional tool (decision support system) has been used to select the best product in a process of technological diversification that, along with the key technologies, identifies the sub-levels consonant to the sub-technologies and applications to sectors and products. The multicriteria selection tool employed in the proposed methodology, based on the analytic hierarchy process, allows the integration of multiple scenarios, actors and criteria, both tangible and intangible. The methodology has been applied to a case study in the Spanish automotive auxiliary sector. 相似文献
72.
We investigate the exact coverage and expected length properties of the model averaged tail area (MATA) confidence interval proposed by Turek and Fletcher, CSDA, 2012, in the context of two nested, normal linear regression models. The simpler model is obtained by applying a single linear constraint on the regression parameter vector of the full model. For given length of response vector and nominal coverage of the MATA confidence interval, we consider all possible models of this type and all possible true parameter values, together with a wide class of design matrices and parameters of interest. Our results show that, while not ideal, MATA confidence intervals perform surprisingly well in our regression scenario, provided that we use the minimum weight within the class of weights that we consider on the simpler model. 相似文献
73.
从不均等选择概率的角度,提出两类常见的权数调整类型及其调整方法:一是规模调整,使得样本单元权数之和等于总体规模;二是结构调整,使得样本结构和总体结构一致,并构造出加权调整的设计效应模型,应用于复杂样本设计。案例分析显示,加权调整往往导致设计效应变大,带来负的效应,但校准调整能降低设计效应,提高估计精度。 相似文献
74.
围绕创新创业环境的内涵,梳理了影响创新创业环境的六类主要因素,归纳潜在指标;对各潜在指标进行"聚类—因子—权重"综合分析,提炼影响创新创业环境的主要因子,构建出以6个一级指标和20个二级指标为核心的创新创业环境评价指标体系,并建立评价模型。以中国各省为样本,对全国31个省级单位的创新创业环境在2014年的状况进行测评排序。依据各省创新创业环境综合得分情况,得出全国31省2014年创新创业环境的地理空间分布图。分地区评价结果显示,东部地区创新创业环境具有明显优势,中部、东北和西部地区发展空间较大。从准则层指出各个地区优化创新创业环境的着力点。 相似文献
75.
本文通过对“首都大学生成长追踪调查”中三所精英大学(北京大学、清华大学和中国人民大学)具有代表性样本的数据分析,从教育公平和人才选拔效率两个角度检验了自主招生政策实施的效果。研究结果表明,从教育公平的方面来讲,获得自主招生破格录取的学生更有可能来自父母受过高等教育的家庭、城市家庭和好的重点高中。从人才选拔效率的角度来讲,获得自主招生破格录取学生的学业表现、社会活动能力、非认知能力、毕业后的计划和实际去向与统招学生却并无显著差别。本文的发现对于如何完善自主招生政策、促进教育公平、科学选拔和培养优秀人才等议题具有重要的政策启示意义。 相似文献
76.
《Omega》2017
In this paper, multiple criteria sorting methods based on data envelopment analysis (DEA) are developed to evaluate research and development (R&D) projects. The weight intervals of the criteria are obtained from Interval Analytic Hierarchy Process and employed as the assurance region constraints of models. Based on data envelopment analysis, two threshold estimation models, and five assignment models are developed for sorting. In addition to sorting, these models also provide ranking of the projects. The developed approach and the well-known sorting method UTADIS are applied to a real case study to analyze the R&D projects proposed to a grant program executed by a government funding agency in 2009. A five level R&D project selection criteria hierarchy and an assisting point allocation guide are defined to measure and quantify the performance of the projects. In the case study, the developed methods are observed to be more stable than UTADIS. 相似文献
77.
Motivated by the need to analyze the National Longitudinal Surveys data, we propose a new semiparametric longitudinal mean‐covariance model in which the effects on dependent variable of some explanatory variables are linear and others are non‐linear, while the within‐subject correlations are modelled by a non‐stationary autoregressive error structure. We develop an estimation machinery based on least squares technique by approximating non‐parametric functions via B‐spline expansions and establish the asymptotic normality of parametric estimators as well as the rate of convergence for the non‐parametric estimators. We further advocate a new model selection strategy in the varying‐coefficient model framework, for distinguishing whether a component is significant and subsequently whether it is linear or non‐linear. Besides, the proposed method can also be employed for identifying the true order of lagged terms consistently. Monte Carlo studies are conducted to examine the finite sample performance of our approach, and an application of real data is also illustrated. 相似文献
78.
In this article, we present a new efficient iteration estimation approach based on local modal regression for single-index varying-coefficient models. The resulted estimators are shown to be robust with regardless of outliers and error distributions. The asymptotic properties of the estimators are established under some regularity conditions and a practical modified EM algorithm is proposed for the new method. Moreover, to achieve sparse estimator when there exists irrelevant variables in the index parameters, a variable selection procedure based on SCAD penalty is developed to select significant parametric covariates and the well-known oracle properties are also derived. Finally, some numerical examples with various distributed errors and a real data analysis are conducted to illustrate the validity and feasibility of our proposed method. 相似文献
79.
We address the issue of model selection in beta regressions with varying dispersion. The model consists of two submodels, namely: for the mean and for the dispersion. Our focus is on the selection of the covariates for each submodel. Our Monte Carlo evidence reveals that the joint selection of covariates for the two submodels is not accurate in finite samples. We introduce two new model selection criteria that explicitly account for varying dispersion and propose a fast two step model selection scheme which is considerably more accurate and is computationally less costly than usual joint model selection. Monte Carlo evidence is presented and discussed. We also present the results of an empirical application. 相似文献
80.
《Journal of Statistical Computation and Simulation》2012,82(1):71-87
In Wu and Zen (1999), a linear model selection procedure based on M-estimation is proposed, which includes many classical model selection criteria as its special cases, and it is shown that the selection procedure is strongly consistent for a variety of penalty functions. In this paper, we will investigate its small sample performances for some choices of fixed penalty functions. It can be seen that the performance varies with the choice of the penalty. Hence, a randomized penalty based on observed data is proposed, which preserves the consistency property and provides improved performance over a fixed choice of penalty functions. 相似文献