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81.
In this article, some conditions on variances are presented under which the (Generalized) Pitman Nearness Criterion Would Prefer one estimator over another. Results for univariate as well as multivariate cases are derived. An exact expression for a result of Rao, Keating and Mason (1985) is provided. 相似文献
82.
Rabindra Nath Das 《Journal of applied statistics》2012,39(1):97-111
In regression models with multiplicative error, estimation is often based on either the log-normal or the gamma model. It is well known that the gamma model with constant coefficient of variation and the log-normal model with constant variance give almost the same analysis. This article focuses on the discrepancies of the regression estimates between the two models based on real examples. It identifies that even though the variance or the coefficient of variation remains constant, but regression estimates may be different between the two models. It also identifies that for the same positive data set, the variance is constant under the log-normal model but non-constant under the gamma model. For this data set, the regression estimates are completely different between the two models. In the process, it explains the causes of discrepancies between the two models. 相似文献
83.
Chandrasekhar Das 《决策科学》1984,15(3):350-358
In many developing countries where supply is limited, a premium rather than a discounted price is paid for buying in larger amounts. In order for management science/operations research solutions to be relevant to developing economies, such realities need to be explicitly recognized and any decisions evaluated from that perspective. To illustrate this point, a typical inventory-purchasing problem is solved. In the process, formulae are developed that introduce simultaneous price and quantity sensitivity into the inventory equation. A systematic procedure is suggested to locate the optimal order quantity for a given schedule of discounts or premiums. 相似文献
84.
85.
Suchismita Das 《统计学通讯:理论与方法》2017,46(12):5707-5727
In the literature of information theory, the concept of generalized entropy has been proposed and the length-based shift dependent information measure has been studied. In this paper, the concept of weighted generalized entropy has been introduced. The properties of weighted generalized residual entropy and weighted generalized past entropy are also discussed. 相似文献
86.
Shubhabrata Das 《统计学通讯:理论与方法》2017,46(6):2736-2750
Batting average is the most popular way of measuring a batsman's performance in cricket. However, in light of scores from not-out innings, the conventional way of computing the batting average is unsatisfactory from theoretical statistical perspective, as well as from intuitive and practitioner's point of view. We adopt alternative methods of calculating batting average, treating not-outs as right-censored data and using generalized class of geometric distributions (GGD) as models for the runs scored. In the proposed family of GGD, the generalization lies in the hazard of getting out possibly changing from one score to another. Each postulated structure of the hazards leads to a different member of the GGD family. Selection of appropriate member from the GGD family and maximum likelihood estimation of the hazard parameters in the model are discussed theoretically with illustrations. The proposed method subsumes the traditional average and product limit (Kaplan-Meier) estimate as the two extreme scenarios within this structure. We also discuss two alternative methods of estimating the true mean under the proposed framework and deliberate on issues while adopting these practices in practice. 相似文献
87.
Premadhis Das 《统计学通讯:理论与方法》2017,46(16):8155-8165
Constructions of blocked mixture designs are considered in situations where BLUEs of the block effect contrasts are orthogonal to the BLUEs of the regression coefficients. Orthogonal arrays (OA), Balanced Arrays (BAs), incidence matrices of balanced incomplete block designs (BIBDs), and partially balanced incomplete block designs (PBIBDs) are used. Designs with equal and unequal block sizes are considered. Also both cases where the constants involved in the orthogonality conditions depend and do not depend on the factors have been taken into account. Some standard (already available) designs can be obtained as particular cases of the designs proposed here. 相似文献
88.
Runa Das 《Social Identities》2017,23(2):195-211
My essay highlights how this (otherwise excellent) documentary film He Named Me Malala suffers from a historical amnesia in failing to connect the historical, local, and global/Western factors that have set the political-social context within which occurred the Malala incident in 2012. This is because the documentary – exposing the voice of a Pakistani female activist as a postcolonial/global agent – does not look into the historical-colonial, Cold War, or the post-Cold War dynamics that have set the ‘context’ within which the theme of the documentary unfolded. My essay addresses these issues of historical amnesia, arguing that to better comprehend the Malala incident (and broadly the issue of gender violence in Pakistan’s socio-cultural context) it remains imperative to connect how factors of power, politics, and vested interests have intersected at historical, local, and global levels to explain the 2012 Malala incident. 相似文献
89.
Let G be a connected graph of order n. The long-standing open and close problems in distance graph theory are: what is the Wiener index W(G) or average distance \(\mu (G)\) among all graphs of order n with diameter d (radius r)? There are very few number of articles where were worked on the relationship between radius or diameter and Wiener index. In this paper, we give an upper bound on Wiener index of trees and graphs in terms of number of vertices n, radius r, and characterize the extremal graphs. Moreover, from this result we give an upper bound on \(\mu (G)\) in terms of order and independence number of graph G. Also we present another upper bound on Wiener index of graphs in terms of number of vertices n, radius r and maximum degree \(\Delta \), and characterize the extremal graphs. 相似文献
90.
Ishapathik Das Sumen Sen Pooja Sengupta 《Journal of Statistical Computation and Simulation》2019,89(13):2549-2561
Dependent multivariate count data occur in several research studies. These data can be modelled by a multivariate Poisson or Negative binomial distribution constructed using copulas. However, when some of the counts are inflated, that is, the number of observations in some cells are much larger than other cells, then the copula-based multivariate Poisson (or Negative binomial) distribution may not fit well and it is not an appropriate statistical model for the data. There is a need to modify or adjust the multivariate distribution to account for the inflated frequencies. In this article, we consider the situation where the frequencies of two cells are higher compared to the other cells and develop a doubly inflated multivariate Poisson distribution function using multivariate Gaussian copula. We also discuss procedures for regression on covariates for the doubly inflated multivariate count data. For illustrating the proposed methodologies, we present real data containing bivariate count observations with inflations in two cells. Several models and linear predictors with log link functions are considered, and we discuss maximum likelihood estimation to estimate unknown parameters of the models. 相似文献