全文获取类型
收费全文 | 225篇 |
免费 | 6篇 |
专业分类
管理学 | 24篇 |
民族学 | 2篇 |
人口学 | 19篇 |
丛书文集 | 1篇 |
理论方法论 | 15篇 |
综合类 | 1篇 |
社会学 | 61篇 |
统计学 | 108篇 |
出版年
2024年 | 1篇 |
2023年 | 1篇 |
2022年 | 7篇 |
2021年 | 2篇 |
2020年 | 3篇 |
2019年 | 16篇 |
2018年 | 13篇 |
2017年 | 20篇 |
2016年 | 9篇 |
2015年 | 4篇 |
2014年 | 4篇 |
2013年 | 54篇 |
2012年 | 8篇 |
2011年 | 8篇 |
2010年 | 13篇 |
2009年 | 5篇 |
2008年 | 5篇 |
2007年 | 6篇 |
2006年 | 4篇 |
2005年 | 6篇 |
2004年 | 5篇 |
2003年 | 6篇 |
2002年 | 3篇 |
2001年 | 5篇 |
2000年 | 3篇 |
1998年 | 1篇 |
1997年 | 1篇 |
1996年 | 1篇 |
1994年 | 1篇 |
1993年 | 2篇 |
1991年 | 1篇 |
1990年 | 1篇 |
1989年 | 1篇 |
1987年 | 2篇 |
1985年 | 3篇 |
1981年 | 3篇 |
1980年 | 1篇 |
1975年 | 1篇 |
1967年 | 1篇 |
排序方式: 共有231条查询结果,搜索用时 218 毫秒
131.
This study analyses the key factors that shape inter-governorates migration in Tunisia, focusing mainly on the role of demographic, geographical and socio-economic factors in driving migration flows. It uses basic and extended gravity models, as well as Poisson pseudo-maximum-likelihood model for modeling migration data to assess the relative importance of distance, job market characteristics and economic variables. The main findings reveal that inter-governorate migrations in Tunisia are affected by high population size at the origin and destination locations, high unemployment rate at the origin and low unemployment rate at the destination. The results suggest also that migration flows are negatively affected by high job vacancies and the annual average per capita household expenditure at the origin. 相似文献
132.
The aim of this paper is to study the asymptotic properties of a class of kernel conditional mode estimates whenever functional stationary ergodic data are considered. To be more precise on the matter, in the ergodic data setting, we consider a random elements (X, Z) taking values in some semi-metric abstract space \(E\times F\). For a real function \(\varphi \) defined on the space F and \(x\in E\), we consider the conditional mode of the real random variable \(\varphi (Z)\) given the event “\(X=x\)”. While estimating the conditional mode function, say \(\theta _\varphi (x)\), using the well-known kernel estimator, we establish the strong consistency with rate of this estimate uniformly over Vapnik–Chervonenkis classes of functions \(\varphi \). Notice that the ergodic setting offers a more general framework than the usual mixing structure. Two applications to energy data are provided to illustrate some examples of the proposed approach in time series forecasting framework. The first one consists in forecasting the daily peak of electricity demand in France (measured in Giga-Watt). Whereas the second one deals with the short-term forecasting of the electrical energy (measured in Giga-Watt per Hour) that may be consumed over some time intervals that cover the peak demand. 相似文献
133.
134.
Ali A. Al-Kandari T. Kenn Gaither Mohamed Mubarak Alfahad Ali A. Dashti Ahmed R. Alsaber 《Public Relations Review》2019,45(3):101774
This study examines the public relations functions of eight Kuwaiti banks listed in the Kuwait Stock Exchange Market (KSEM) that post on their Instagram accounts. It also uses market-size, organization, and individual level predictors to model Instagram postings. A content analysis of 1502 posts revealed the banks use Instagram for promotion, information dissemination, community building, and interactive engagement, in that order of prominence. The findings suggest banks operate at the confluence of visual communication through Instagram and integration of religious symbolism to serve a public relations function predicated on image and influence. In doing so, the banks tap into the wellspring of social media use by target publics by navigating a balance between obedience to Allah and meeting bank business objectives. The resulting tension between sacred and secular highlights Arab cultural values and suggests Instagram fosters individualism, which challenges Arab emphasis on collectivism and fractures the notion online platforms can effectively build meaningful relationships that characterize Arab culture. The study posits Instagram is more effective in an Arab context at image building than relationship building, threading the importance of visual communication through social media across Arab culture and global public relations practices. 相似文献
135.
Mohamed Ahkim 《统计学通讯:理论与方法》2018,47(4):890-911
We consider varying coefficient models, which are an extension of the classical linear regression models in the sense that the regression coefficients are replaced by functions in certain variables (for example, time), the covariates are also allowed to depend on other variables. Varying coefficient models are popular in longitudinal data and panel data studies, and have been applied in fields such as finance and health sciences. We consider longitudinal data and estimate the coefficient functions by the flexible B-spline technique. An important question in a varying coefficient model is whether an estimated coefficient function is statistically different from a constant (or zero). We develop testing procedures based on the estimated B-spline coefficients by making use of nice properties of a B-spline basis. Our method allows longitudinal data where repeated measurements for an individual can be correlated. We obtain the asymptotic null distribution of the test statistic. The power of the proposed testing procedures are illustrated on simulated data where we highlight the importance of including the correlation structure of the response variable and on real data. 相似文献
136.
Dhouha Mejri Riadh Khanchel Mohamed Limam 《Journal of Statistical Computation and Simulation》2013,83(6):1115-1128
Most statistical and data-mining algorithms assume that data come from a stationary distribution. However, in many real-world classification tasks, data arrive over time and the target concept to be learned from the data stream may change accordingly. Many algorithms have been proposed for learning drifting concepts. To deal with the problem of learning when the distribution generating the data changes over time, dynamic weighted majority was proposed as an ensemble method for concept drift. Unfortunately, this technique considers neither the age of the classifiers in the ensemble nor their past correct classification. In this paper, we propose a method that takes into account expert's age as well as its contribution to the global algorithm's accuracy. We evaluate the effectiveness of our proposed method by using m classifiers and training a collection of n-fold partitioning of the data. Experimental results on a benchmark data set show that our method outperforms existing ones. 相似文献
137.
This work is concerned with robustness in Principal Component Analysis (PCA). The approach, which we adopt here, is to replace the criterion of least squares by another criterion based on a convex and sufficiently differentiable loss function ρ. Using this criterion we propose a robust estimate of the location vector and introduce an orthogonality with respect to (w.r.t.) ρ in order to define the different steps of a PCA. The influence functions of a vector mean and principal vectors are developed in order to provide method for obtaining a robust PCA. The practical procedure is based on an alternative-steps algorithm. 相似文献
138.
This article considers the order selection problem of periodic autoregressive models. Our main goal is the adaptation of the Bayesian Predictive Density Criterion (PDC), established by Djuric' and Kay (1992) for selecting the order of a stationary autoreg-ressive model, to deal with the order identification problem of a periodic autoregressive model. The performance of the established criterion, (P-PDC), is compared, via simulation studies, to the performances of some well-known existing criteria. 相似文献
139.
In this article, we propose a general framework for performance evaluation of organizations and individuals over time using routinely collected performance variables or indicators. Such variables or indicators are often correlated over time, with missing observations, and often come from heavy-tailed distributions shaped by outliers. Two new double robust and model-free strategies are used for evaluation (ranking) of sampling units. Strategy 1 can handle missing data using residual maximum likelihood (RML) at stage two, while strategy two handles missing data at stage one. Strategy 2 has the advantage that overcomes the problem of multicollinearity. Strategy one requires independent indicators for the construction of the distances, where strategy two does not. Two different domain examples are used to illustrate the application of the two strategies. Example one considers performance monitoring of gynecologists and example two considers the performance of industrial firms. 相似文献
140.
We are concerned with the problem of local weighted average estimation of the regression operator when the responses are real-valued random variables, the explanatory data are of functional fixed-design type, and the errors consist of an independent and identically distributed variables. In this article, our main contributions on the local linear functional estimation concern from one part, the situation when the data are of functional fixed-design kind, and from the other part, in deriving uniform asymptotic results on the behavior of this estimator with respect to the topological properties of the space data (normed or semi-metric). 相似文献