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1.
借鉴已有相关研究成果,将劳动力转移、农业技术水平与城乡居民收入差距联系起来思考,可以具体地考察劳动力转移对城乡居民收入差距的影响.文章以农业技术水平作为门槛变量,选取2009—2019年中国31个省份的面板数据,利用泰尔指数测定城乡收入差距,以劳动力转移作为核心解释变量构建面板门槛模型,实证得出劳动力转移对城乡居民收入差距的非线性影响.研究发现:劳动力转移可以缩小城乡居民收入差距,且该影响具有单一门槛效应.在农业技术水平较低时,劳动力转移对城乡居民收入差距收敛效应较小;当农业技术水平越过门槛值达到较高水平后,劳动力转移对缩小城乡居民收入差距的效果几乎增加了一倍.此后,通过替换解释变量泰尔指数为城乡人均可支配收入比、替换核心解释变量农业技术水平为农业生产效率重新建立面板门槛模型,发现上述结论仍然成立,其检验结果具有较强的稳健性.文章将农业技术进步、劳动力转移、城乡居民收入差距这三个重要变量纳入同一模型框架中,在加深劳动力流动影响城乡居民收入差距这一视角的研究的同时,对缩小城乡居民收入差距政策的制定提供了重要的参考意义. 相似文献
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《Journal of Policy Modeling》2020,42(1):205-215
This paper explores the validity of the twin deficit hypothesis in selected 25 OECD countries with annual data for 2005–2016 by considering different real interest rate regimes. A non-dynamic panel threshold model, introduced by Hansen (1999), is employed. The novelty of the empirical findings from the present study is that there exists a non-linear relationship between the budget deficit and the trade balance, which is driven by a critical threshold level in the real interest rates. The findings suggest that twin deficit hypothesis holds only under the low real interest rate regime, that is, rises in budget deficits lead to deteriorations in the trade balance when the real interest rate is below the threshold level. When the high real interest rate (i.e. above-the-threshold) regime is concerned, increasing budget deficits give rise to improvements in the trade balance, a finding consistent with the twin divergence hypothesis. Thus, the effect on the trade balance of an expansionary fiscal policy that worsens the budget balance reverses substantially depending on the threshold level of the real interest rates. The major policy implication of this paper is that the policy makers in the selected OECD countries should pay a greater attention to fiscal discipline in order to prevent the trade balance from worsening, because the majority of the countries fall into the low real interest rate regime over the recent years of the sample period (i.e. between 2010 and 2016). 相似文献
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布鲁尔强纲领中所反对的目的论模型来源于巴恩斯提出的目的论模式,他们都拒绝将科学的发展看作真理进化过程,认为作为一种信念的科学知识应当纳入知识社会学的研究领域。布鲁尔进一步提出了与目的论模型相对立的因果性模型,并构建出科学知识社会学应当遵守的四条“强纲领”,力图促使知识社会学成为一门普遍性的学科。布鲁尔声称强纲领的因果性模型与目的论模型是两种相互排斥的形而上学立场,但实际上因果性模型与目的论模型并不完全排斥,甚至还有所交融;同时,他关于因果性模型的论证与辩护也存在诸多问题,是一种不彻底的“强纲领”。 相似文献
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Andrew J. Patton 《商业与经济统计学杂志》2020,38(4):796-809
AbstractRecent work has emphasized the importance of evaluating estimates of a statistical functional (such as a conditional mean, quantile, or distribution) using a loss function that is consistent for the functional of interest, of which there is an infinite number. If forecasters all use correctly specified models free from estimation error, and if the information sets of competing forecasters are nested, then the ranking induced by a single consistent loss function is sufficient for the ranking by any consistent loss function. This article shows, via analytical results and realistic simulation-based analyses, that the presence of misspecified models, parameter estimation error, or nonnested information sets, leads generally to sensitivity to the choice of (consistent) loss function. Thus, rather than merely specifying the target functional, which narrows the set of relevant loss functions only to the class of loss functions consistent for that functional, forecast consumers or survey designers should specify the single specific loss function that will be used to evaluate forecasts. An application to survey forecasts of U.S. inflation illustrates the results. 相似文献
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AbstractThis study concerns semiparametric approaches to estimate discrete multivariate count regression functions. The semiparametric approaches investigated consist of combining discrete multivariate nonparametric kernel and parametric estimations such that (i) a prior knowledge of the conditional distribution of model response may be incorporated and (ii) the bias of the traditional nonparametric kernel regression estimator of Nadaraya-Watson may be reduced. We are precisely interested in combination of the two estimations approaches with some asymptotic properties of the resulting estimators. Asymptotic normality results were showed for nonparametric correction terms of parametric start function of the estimators. The performance of discrete semiparametric multivariate kernel estimators studied is illustrated using simulations and real count data. In addition, diagnostic checks are performed to test the adequacy of the parametric start model to the true discrete regression model. Finally, using discrete semiparametric multivariate kernel estimators provides a bias reduction when the parametric multivariate regression model used as start regression function belongs to a neighborhood of the true regression model. 相似文献
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在经济下行压力加大、资本市场进一步开放的新形势下,厘清审计市场交易——监管机制,完善审计服务市场尤为必要。借由2010 年审计定价管制政策失效的自然实验,本文通过嵌入双边随机边界模型,得到审计双方的定价交易剩余指标,运用双重差分模型解析价格管制与交易定价的作用机制。研究发现,定价管制失效的原因不在于规制俘获,而在于价格管制与当前的市场效率不匹配。下限管制尽管能够提高审计师剩余,但同时会放大交易定价风险,增加剩余的错配,扰乱交易秩序。上限管制则进一步固化市场的低价竞争。进一步研究发现审计师剩余与盈余质量显著相关,2014年的放开定价管制政策提高了审计师剩余。研究厘清了审计市场交易机制,有利于未来研究审计交易机制的微观影响及与盈余质量的关联,为在新时代把握审计市场交易——监管规律、培育自发良性交易的审计市场提供有益借鉴。 相似文献
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政府反恐措施与恐怖分子袭击手段存在着相互观察、适应性演化的过程。本文首先构建了政府作为先行动者、恐怖分子作为后行动者的斯塔克伯格博弈模型,进一步建立了恐怖袭击问题的扩展式演化博弈模型。由于扩展式演化博弈的均衡分析需要考虑代际内和代际间不同层次的信念学习,造成了演化分析的复杂性。本文将"心智模型"概念引入到演化博弈,采取了心智模型演化解的分析方法,得出了简化后的演化均衡解。最后,结合新疆墨玉县6.28暴恐事件进行算例分析,比较怀特流形演化解和心智模型演化解的差异。心智模型演化解的结果表明,根据恐怖分子群体中选择袭击比例是否高于临界值,政府策略收敛到防御或者不防御。该求解方法通过将普遍接受的社会规范引入到演化过程分析,不仅简化了怀特流形的分析过程,而且均衡解展示了更为丰富的、更为切合实际管理问题的演化特征。 相似文献
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We introduce a new statistic, ‘spectral goodness of fit’ (SGOF) to measure how well a network model explains the structure of the pattern of ties in an observed network. SGOF provides a measure of fit analogous to the standard R2 in linear regression. Additionally, as it takes advantage of the properties of the spectrum of the graph Laplacian, it is suitable for comparing network models of diverse functional forms, including both fitted statistical models and algorithmic generative models of networks. After introducing, defining, and providing guidance for interpreting SGOF, we illustrate the properties of the statistic with a number of examples and comparisons to existing techniques. We show that such a spectral approach to assessing model fit fills gaps left by earlier methods and can be widely applied. 相似文献
10.
Christopher Tong 《The American statistician》2019,73(1):246-261
ABSTRACTScientific research of all kinds should be guided by statistical thinking: in the design and conduct of the study, in the disciplined exploration and enlightened display of the data, and to avoid statistical pitfalls in the interpretation of the results. However, formal, probability-based statistical inference should play no role in most scientific research, which is inherently exploratory, requiring flexible methods of analysis that inherently risk overfitting. The nature of exploratory work is that data are used to help guide model choice, and under these circumstances, uncertainty cannot be precisely quantified, because of the inevitable model selection bias that results. To be valid, statistical inference should be restricted to situations where the study design and analysis plan are specified prior to data collection. Exploratory data analysis provides the flexibility needed for most other situations, including statistical methods that are regularized, robust, or nonparametric. Of course, no individual statistical analysis should be considered sufficient to establish scientific validity: research requires many sets of data along many lines of evidence, with a watchfulness for systematic error. Replicating and predicting findings in new data and new settings is a stronger way of validating claims than blessing results from an isolated study with statistical inferences. 相似文献