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141.
本文介绍一种以激光作为测量光源,利用光敏电阻随光线强弱变化而阻值随之变化的特性,控制或门电路工作,并在数字电压表上显示水面高度的测量仪。 相似文献
142.
Julian P. T. Higgins Simon G. Thompson David J. Spiegelhalter 《Journal of the Royal Statistical Society. Series A, (Statistics in Society)》2009,172(1):137-159
Summary. Meta-analysis in the presence of unexplained heterogeneity is frequently undertaken by using a random-effects model, in which the effects underlying different studies are assumed to be drawn from a normal distribution. Here we discuss the justification and interpretation of such models, by addressing in turn the aims of estimation, prediction and hypothesis testing. A particular issue that we consider is the distinction between inference on the mean of the random-effects distribution and inference on the whole distribution. We suggest that random-effects meta-analyses as currently conducted often fail to provide the key results, and we investigate the extent to which distribution-free, classical and Bayesian approaches can provide satisfactory methods. We conclude that the Bayesian approach has the advantage of naturally allowing for full uncertainty, especially for prediction. However, it is not without problems, including computational intensity and sensitivity to a priori judgements. We propose a simple prediction interval for classical meta-analysis and offer extensions to standard practice of Bayesian meta-analysis, making use of an example of studies of 'set shifting' ability in people with eating disorders. 相似文献
143.
The Pacific Rim Library (PRL) is an initiative of the Pacific Rim Digital Library Association (PRDLA). The project began in 2006 using the OAI-PMH paradigm and now holds over 300,000 records harvested from OAI data provider libraries around the Pacific. PRL's goal is to enable the sharing of digital collections amongst PRDLA members and the world, but greater unexpected benefits have been discovered. Through mirroring their metadata, PRL increases the chance that their data will be discovered in Google and other general search engines. With its many disparate collections, PRL is not a repository for traditional information discovery and retrieval. Initially users will bounce from a Google hit to the PRL metadata record in Hong Kong and then begin an intensive search on the original site which hosts the full digital object, in Vancouver, Honolulu, Wuhan, Singapore, or other PRDLA member location. 相似文献
144.
This paper is concerned with semiparametric discrete kernel estimators when the unknown count distribution can be considered to have a general weighted Poisson form. The estimator is constructed by multiplying the Poisson estimate with a nonparametric discrete kernel-type estimate of the Poisson weight function. Comparisons are then carried out with the ordinary discrete kernel probability mass function estimators. The Poisson weight function is thus a local multiplicative correction factor, and is considered as the uniform measure to detect departures from the equidispersed Poisson distribution. In this way, the effects of dispersion and zero-proportion with respect to the standard Poisson distribution are also minimized. This method of estimation is also applied to the weighted binomial form for the count distribution having a finite support. The proposed estimators, in addition to being simple, easy-to-implement and effective, also outperform the competing nonparametric and parametric estimators in finite-sample situations. Two examples illustrate this new semiparametric estimation. 相似文献
145.
Nicholas T. Longford 《Journal of applied statistics》2009,36(11):1259-1265
This article is concerned with the analysis of a random sample from a binomial distribution when all the outcomes are zero (or unity). We discuss how elicitation of the prior can be reduced to asking the expert whether (and which of) the so-called borderline or equilibrium priors are plausible. 相似文献
146.
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148.
Doyo G. Enki Nickolay T. Trendafilov Ian T. Jolliffe 《Journal of applied statistics》2013,40(3):583-599
A new method for constructing interpretable principal components is proposed. The method first clusters the variables, and then interpretable (sparse) components are constructed from the correlation matrices of the clustered variables. For the first step of the method, a new weighted-variances method for clustering variables is proposed. It reflects the nature of the problem that the interpretable components should maximize the explained variance and thus provide sparse dimension reduction. An important feature of the new clustering procedure is that the optimal number of clusters (and components) can be determined in a non-subjective manner. The new method is illustrated using well-known simulated and real data sets. It clearly outperforms many existing methods for sparse principal component analysis in terms of both explained variance and sparseness. 相似文献
149.
Sebastian Kurtek Wei Wu Gary E. Christensen Anuj Srivastava 《Journal of applied statistics》2013,40(6):1270-1288
We present a novel methodology for a comprehensive statistical analysis of approximately periodic biosignal data. There are two main challenges in such analysis: (1) the automatic extraction (segmentation) of cycles from long, cyclostationary biosignals and (2) the subsequent statistical analysis, which in many cases involves the separation of temporal and amplitude variabilities. The proposed framework provides a principled approach for statistical analysis of such signals, which in turn allows for an efficient cycle segmentation algorithm. This is achieved using a convenient representation of functions called the square-root velocity function (SRVF). The segmented cycles, represented by SRVFs, are temporally aligned using the notion of the Karcher mean, which in turn allows for more efficient statistical summaries of signals. We show the strengths of this method through various disease classification experiments. In the case of myocardial infarction detection and localization, we show that our method compares favorably to methods described in the current literature. 相似文献
150.
国内外学者对我国GDP数据质量的质疑重点已从年度数据转到季度数据,从全国数据转向地方数据。本文通过设计一套较为系统且可操作性强的季度GDP评估指标体系,运用空间面板数据模型对各省区的季度GDP数据质量进行了实证检验。结果表明,整体来看,中国各省区季度GDP同各经济指标的匹配性较好,数据质量较高,并不存在明显的失真现象;从时间上来看,每年一、二季度的GDP存在一定程度的高估,而每年三、四季度的GDP则存在一定程度的低估,但是这种偏差在统计上不显著;分地区来看,尽管一半省区的季度GDP存在一定程度的高估,另一半省区存在一定程度的低估,但大部分省区高估或低估的程度在统计上不显著。文章进一步分析了其中的原因。 相似文献