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91.
92.
Göran Kauermann Christian Schellhase David Ruppert 《Scandinavian Journal of Statistics》2013,40(4):685-705
The paper introduces a new method for flexible spline fitting for copula density estimation. Spline coefficients are penalized to achieve a smooth fit. To weaken the curse of dimensionality, instead of a full tensor spline basis, a reduced tensor product based on so called sparse grids (Notes Numer. Fluid Mech. Multidiscip. Des., 31, 1991, 241‐251) is used. To achieve uniform margins of the copula density, linear constraints are placed on the spline coefficients, and quadratic programming is used to fit the model. Simulations and practical examples accompany the presentation. 相似文献
93.
94.
Christian Kleiber 《Statistical Papers》2013,54(4):1121-1130
The Benini distribution is a lognormal-like distribution generalizing the Pareto distribution. Like the Pareto and the lognormal distributions it was originally proposed for modeling economic size distributions, notably the size distribution of personal income. This paper explores a probabilistic property of the Benini distribution, showing that it is not determined by the sequence of its moments although all the moments are finite. It also provides explicit examples of distributions possessing the same set of moments. Related distributions are briefly explored. 相似文献
95.
The paper presents a new method for flexible fitting of D-vines. Pair-copulas are estimated semi-parametrically using penalized Bernstein polynomials or constant and linear B-splines, respectively, as spline bases in each knot of the D-vine throughout each level. A penalty induce smoothness of the fit while the high dimensional spline basis guarantees flexibility. To ensure uniform univariate margins of each pair-copula, linear constraints are placed on the spline coefficients and quadratic programming is used to fit the model. The amount of penalizations for each pair-copula is driven by a penalty parameter which is selected in a numerically efficient way. Simulations and practical examples accompany the presentation. 相似文献
96.
97.
Christian Klesse 《The Sociological review》2007,55(3):571-591
This article explores discourses on non‐monogamy in relationship manuals published in the 1980s and 1990s for gay men from a perspective of governmentality. A distinctive feature of relationship manuals for gay men is the presentation of (non‐) monogamy as a matter of choice and negotiation. However, within this paradigm, most manuals problematise recreational, casual, or non‐relational sex or relationships with multiple partners through a set of discourses around the concepts intimacy, maturity, addiction and compulsion. The normative ideal of a successful gay male partnership is fleshed out in the provision of narrative schemata based on stage model theories which naturalise white middle class relationship experiences and concerns. Governmental rationality thereby enfolds itself in an interplay of several strategies including psychologisation, individualisation, normalisation, problematisation, and responsibilisation. 相似文献
98.
99.
Dipl.-Math. oec. Dennis Diepold Dipl.-Kfm. Christian Ullrich Dr. Alexander Wehrmann Dr. Steffen Zimmermann 《Zeitschrift für Betriebswirtschaft》2011,81(7-8):805-831
Companies often decide in favour of IT investments (especially IT infrastructure investments) only because these investments build the foundation for more lucrative follow-up investments. Those intertemporal interdependencies among IT projects have to be considered within the scope of a value-based IT portfolio management. Therefore, current literature suggests the use of real options analysis??and therefore the application of option pricing models such as the binomial model or the Black-Scholes model. Both models require a complete market. However, because IT projects are characterized by project specific risks, which cannot be duplicated on a capital market, the forthright application of these models is problematic. This issue has been addressed within the scope of the discrete binomial model so far. In this paper we transfer these findings to the Black-Scholes model. Furthermore, we apply this approach to a real case and illustrate how a correct consideration of project specific risks using the Black-Scholes model can affect investment decisions. 相似文献
100.
This paper explores a wide range of cross-country determinants of life satisfaction exploiting a database of 90,000 observations
in 70 countries. We distinguish four groups of aggregate variables as potential determinants of satisfaction: political, economic,
institutional, and human development and culture. We use ordered probit to investigate the importance of these variables on
individual life satisfaction and test the robustness of our results with Extreme Bounds Analysis. The results show that only
a small number of factors, such as openness, business climate, postcommunism, the number of chambers in parliament, Christian
majority, and infant mortality, robustly influence life satisfaction across countries while the importance of many variables
suggested in the previous literature is not confirmed. This remains largely true when the analysis splits national populations
according to gender, income, and political orientation also.
We thank Stephen Lea, participants at the 30th IAREP conference in Prague and the referees of this journal for comments on
earlier versions. Gilles Winkler provided excellent research assistance. 相似文献