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221.
Ahmed A. Soliman A. H. Abd Ellah N. A. Abou-Elheggag A. A. Modhesh 《Journal of applied statistics》2012,39(12):2741-2758
The coefficient of variation (CV) is extensively used in many areas of applied statistics including quality control and sampling. It is regarded as a measure of stability or uncertainty, and can indicate the relative dispersion of data in the population to the population mean. In this article, based on progressive first-failure-censored data, we study the behavior of the CV of a random variable that follows a Burr-XII distribution. Specifically, we compute the maximum likelihood estimations and the confidence intervals of CV based on the observed Fisher information matrix using asymptotic distribution of the maximum likelihood estimator and also by using the bootstrapping technique. In addition, we propose to apply Markov Chain Monte Carlo techniques to tackle this problem, which allows us to construct the credible intervals. A numerical example based on real data is presented to illustrate the implementation of the proposed procedure. Finally, Monte Carlo simulations are performed to observe the behavior of the proposed methods. 相似文献
222.
This paper examines earnings differentials between homo- and heterosexual individuals by identifying sexual orientation with
the help of information from register data. Register data enable us to avoid the misclassifications of sexual orientation
often mentioned as a potential bias in survey-based studies. The results show that gay men are at an earnings disadvantage
as compared to male heterosexuals while the earnings differential between lesbians and heterosexual women is very small. Our
results are in line with results from previous research but are more reliable since we use a more reliable measure of sexual
orientation than previous research. 相似文献
223.
In this paper, we review several recurrence relations and identities established for the single and product moments of order statistics from an arbitrary continuous distribution. We point out the interrelationships between many of these recurrence relations. We discuss the results giving the bounds for the number of single and double integrals needed to be evaluated in order to compute the first, second and product moments of order statistics in a sample of size n from an arbitrary continuous distribution, given these moments in samples of sizes n-1 and less. Improvements of these bounds for the case of symmetric continuous distributions are also discussed 相似文献
224.
S.E. Ahmed 《统计学通讯:理论与方法》2013,42(10):2391-2421
Shrinkage pretest nonparametric estimation of the location parameter vector in a multivariate regression model is considered when nonsample information (NSI) about the regression parameters is available. By using the quadratic risk criterion, the dominance of the pretest estimators over the usual estimators has been investigated. We demonstrate analytically and computationally that the proposed improved pretest estimator establishes a wider dominance range for the parameter under consideration than that of the usual pretest estimator in which it is superior over the unrestricted estimator. 相似文献
225.
Ahmed M. Soliman 《Habitat International》2012,36(2):226-236
The Egyptian experience has rarely been incorporated into housing literature within the context of self-build technique. In the last five decades, Egypt has passed through various self-build housing policies. This paper demonstrates shifting the onus of self-build techniques, and shows how these policies and changes affected the urban poor. The paper develops an understanding of the recent transformations of self-help techniques in Egypt through five phases and transpired into varied forms of urban policies. It highlights the shifting liaison of the state and civil society within the implementation of self-build housing. An analysis of self-build housing options designed to accommodate the urban poor concludes the study. 相似文献
226.
In this paper we address the problem of estimating a vector of regression parameters in the Weibull censored regression model. Our main objective is to provide natural adaptive estimators that significantly improve upon the classical procedures in the situation where some of the predictors may or may not be associated with the response. In the context of two competing Weibull censored regression models (full model and candidate submodel), we consider an adaptive shrinkage estimation strategy that shrinks the full model maximum likelihood estimate in the direction of the submodel maximum likelihood estimate. We develop the properties of these estimators using the notion of asymptotic distributional risk. The shrinkage estimators are shown to have higher efficiency than the classical estimators for a wide class of models. Further, we consider a LASSO type estimation strategy and compare the relative performance with the shrinkage estimators. Monte Carlo simulations reveal that when the true model is close to the candidate submodel, the shrinkage strategy performs better than the LASSO strategy when, and only when, there are many inactive predictors in the model. Shrinkage and LASSO strategies are applied to a real data set from Veteran's administration (VA) lung cancer study to illustrate the usefulness of the procedures in practice. 相似文献
227.
Neighbor designs are useful to neutralize the neighbor effects. In literature, most of the constructed neighbor designs are in circular blocks but linear blocks have more practical application in field experiments. In this article, some infinite series of minimal neighbor designs are constructed in proper linear blocks. There are many situations where minimal neighbor designs cannot be constructed in proper linear blocks. To overcome this problem neighbor designs in improper linear blocks and GN2-designs in proper linear blocks are constructed. 相似文献
228.
Neighbor-balanced designs are useful to remove the neighbor effects in experiments where the performance of a treatment is affected by the treatments applied to its adjacent neighbors. In this article, neighbor-balanced designs are constructed in linear blocks of (i) equal sizes and (ii) two different sizes k 1 and k 2. 相似文献
229.
ABSTRACTWe consider the estimation of the conditional cumulative distribution function of a scalar response variable Y given a Hilbertian random variable X when the observations are linked via a single-index structure. We establish the pointwise and the uniform almost complete convergence (with the rate) of the kernel estimate of this model. As an application, we show how our result can be applied in the prediction problem via the conditional median estimate. Also, the choice of the functional index via the cross-validation procedure is also discussed but not attacked. 相似文献
230.
Estimation of population coverage in the 1990 United States census based on demographic analysis 总被引:1,自引:0,他引:1
Robinson JG Ahmed B Das Gupta P Woodrow KA 《Journal of the American Statistical Association》1993,88(423):1,061-1,079
"This article presents estimates of net coverage of the national population in the 1990 [U.S.] census, based on the method of demographic analysis. The general techniques of demographic analysis as an analytic tool for coverage measurement are discussed, including use of the demographic accounting equation, data components, and strengths and limitations of the method. Patterns of coverage displayed by the 1990 estimates are described, along with similarities or differences from comparable demographic estimates for previous censuses....A final section presents the results of the first statistical assessment of the uncertainty in the demographic coverage estimates for 1990." Comments by Clifford C. Clogg and Christine L. Himes (pp. 1,072-4) and Jeffrey S. Passel (pp. 1,074-7) and a rejoinder by the authors (pp. 1,077-9) are included. 相似文献