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1.
Marwan Diab Raija‐Leena Punamäki Esa Palosaari Samir R. Qouta 《Social Development》2014,23(2):215-231
Social resources are considered important protectors in traumatic conditions, but few studies have analyzed their role in psychosocial interventions among war‐affected children. We examined (1) whether a psychosocial intervention (teaching recovery techniques, TRT) is effective in improving peer and sibling relations, and (2) whether these potentially improved relations mediate the intervention's impacts on children's mental health. Participants were 428 Palestinian children [10–13 (mean = 11.29, standard deviation SD = .68)‐year‐old girls (49.4 percent) and boys (50.6 percent)], who were cluster‐randomized into the TRT and wait‐list control groups. They reported the quality of peer (friendship and loneliness) and sibling (intimacy, warmth, conflict, and rivalry) relations, and posttraumatic stress, depressive and psychological distress symptoms, as well as psychosocial well‐being at baseline (T1), postintervention (T2), and six month follow‐up (T3). Results showed gender‐specific TRT intervention effects: Loneliness in peer relations reduced among boys and sibling rivalry reduced among girls. The TRT prevented the increase in sibling conflict that happened in the control group. The mediating hypothesis was partially substantiated for improved peer relations, and beneficial changes in sibling relations were generally associated with improved mental health. 相似文献
2.
Les auteurs s'intéressent aux disparités salariales entre les différents groupes de migrants qualifiés qui travaillent en grand nombre pour le secteur privé dans les États du Conseil de coopération du Golfe. Ils se demandent notamment si la prime salariale des Occidentaux (par rapport aux travailleurs venus d'Asie ou d'autres États arabes) découle d'éventuels a priori des employeurs. L'analyse, qui repose sur des données de 2012–2014 et sur deux méthodes de décomposition classiques, infirme l'hypothèse: les caractéristiques observables relatives à la productivité expliquent entre un tiers et trois quarts des écarts; le coût d'opportunité de la migration, supérieur pour les Occidentaux, explique la portion restante. 相似文献
3.
Composite samples are formed by physically mixing samples. Usually, composite samples are used to reduce the overall cost associated with analytical procedures that must be performed on each sample, but they can also be used to protect the privacy of individuals. Composite sampling can reduce the cost of identifying individual cases that have a certain trait, such as those with a rare disease or those exceeding pollution-level standards. Not much is lost by applying this method as long as the trait is relatively rare. Composite sampling can reduce the cost of estimating the mean of some process. When samples are composited, the ability to estimate the variance is lost. In spite of this, the potential savings are so great that composite samples have been used. Much of this paper deasl with the variance of estimators based on composite sampling when the porportions of hte original samples comprising the composite sample are actually random. Taking repeated samples and measurements on several composite samples complicates the prodcedure, but allows the estimation of between and within variation as well as measurement error. 相似文献
4.
The Bayes estimators of the Gini index, the mean income and the proportion of the population living below a prescribed income
level are obtained in this paper on the basis of censored income data from a pareto income distribution. The said estimators
are obtained under the assumptions of a two-parameter exponential prior distribution and the usual squared error loss function.
This work is also extended to the case when the income data are grouped and the exact incomes for the individuals in the population
are not available. The method for the assessment of the hyperparameters is also outlined. Finally, the results are generalized
for the doubly truncated gamma prior distribution.
Now deceased. 相似文献
5.
The Zero Inflated Power Series Distribution (ZIPSD) contains two parameters. The first parameter indicates inflation of zero and the other parameter is that of the Power Series distribution. We provide three asymptotic tests for testing the parameter of Power Series distribution, using an unconditional (standard) likelihood approach, a conditional likelihood approach and a test based on sample mean, respectively. The performance of these three tests has been studied for Zero Inflated Poisson Distribution (ZIPD). Asymptotic Confidence Intervals for the parameter are also provided. 相似文献
6.
The main objective of this paper is to develop an exact Bayesian technique that can be used to assign a multivariate time series realization to one of several autoregressive sources, with unknown coefficients and precision, that might have different orders. The foundation of the proposed technique is to develop the posterior mass function of a classification vector, in an easy form, using the conditional likelihood function. A multivariate time series realization is assigned to the multivariate autoregressive source with the largest posterior probability. A simulation study, with uniform prior mass function, is carried out to demonstrate the performance of the proposed technique and to test its adequacy in handling the multivariate classification problems. The analysis of the numerical results supports the adequacy of the proposed technique in solving the classification problems with multivariate autoregressive sources. 相似文献
7.
Rao (1963) has formulated a damage model which we call an additive damage model. A suitable damage model, which we call a multiplicative damage model, has been considered by Krishnaji (1970) for income-related problems. In these models, an original observation is subjected to damage, e.g., death or under-reporting, according to a specified probability law. Within the framework of an additive damage model, with a special form of damage, characterizations of the linear and logarithmic exponential families are formulated using regression properties of the damaged part on the undamaged part. The characterizations of the gamma and Pareto distributions that have been found of some use in the theory of income distributions, are obtained as special cases. Similar results are investigated within the framework of the multiplicative damage model. 相似文献
8.
A smoothing parameter inversely proportional to the square root of the true density is known to produce kernel estimates of the density having faster bias rate of convergence. We show that in the case of kernel-based nonparametric hazard rate estimation, a smoothing parameter inversely proportional to the square root of the true hazard rate leads to a mean square error rate of order n ?8/9, an improvement over the standard second order kernel. An adaptive version of such a procedure is considered and analyzed. 相似文献
9.
In this article, we consider two independent zero-inflated power series distributions and provide likelihood ratio test for equality of inflation parameters of the same. As an illustration, testing equality of inflation parameters of two zero inflated Poisson distributions is provided. Further, simulation study to investigate power of likelihood ratio tests has been carried out. 相似文献
10.
Rao (1963) introduced what we call an additive damage model. In this model, original observation is subjected to damage according to a specified probability law by the survival distribution. In this paper, we consider a bivariate observation with second component subjected to damage. Using the invariance of linearity of regression of the first component on the second under the transition of the second component from the original to the damaged state, we obtain the characterizations of the Poisson, binomial and negative binomial distributions within the framework of the additive damage model. 相似文献