首页 | 本学科首页   官方微博 | 高级检索  
文章检索
  按 检索   检索词:      
出版年份:   被引次数:   他引次数: 提示:输入*表示无穷大
  收费全文   7844篇
  免费   292篇
  国内免费   102篇
管理学   439篇
劳动科学   13篇
民族学   138篇
人才学   1篇
人口学   168篇
丛书文集   1488篇
理论方法论   400篇
综合类   4774篇
社会学   317篇
统计学   500篇
  2024年   15篇
  2023年   49篇
  2022年   141篇
  2021年   159篇
  2020年   140篇
  2019年   109篇
  2018年   105篇
  2017年   180篇
  2016年   156篇
  2015年   256篇
  2014年   329篇
  2013年   439篇
  2012年   367篇
  2011年   530篇
  2010年   529篇
  2009年   546篇
  2008年   508篇
  2007年   557篇
  2006年   541篇
  2005年   467篇
  2004年   301篇
  2003年   342篇
  2002年   419篇
  2001年   349篇
  2000年   207篇
  1999年   100篇
  1998年   66篇
  1997年   52篇
  1996年   54篇
  1995年   54篇
  1994年   34篇
  1993年   36篇
  1992年   22篇
  1991年   25篇
  1990年   14篇
  1989年   10篇
  1988年   11篇
  1987年   1篇
  1986年   4篇
  1985年   5篇
  1984年   2篇
  1983年   1篇
  1982年   1篇
  1981年   1篇
  1979年   1篇
  1977年   1篇
  1974年   1篇
  1967年   1篇
排序方式: 共有8238条查询结果,搜索用时 88 毫秒
21.
文章揭示了叶轮栅后区长度L_3太长时,会使栅后区出气角β_2无法选择而造成无解的事实;表明在β_2变化的适当范围内,叶型后缘两侧速度差△Λ与β_2之间呈线性关系,而且该线性变化范围随L_3的增长而缩小;获得了随L_3作线性变化的规律。文章最后提出了离心式叶轮机任意旋成面叶栅流场的简单求解方法。  相似文献   
22.
Non-central chi-squared distribution plays a vital role in statistical testing procedures. Estimation of the non-centrality parameter provides valuable information for the power calculation of the associated test. We are interested in the statistical inference property of the non-centrality parameter estimate based on one observation (usually a summary statistic) from a truncated chi-squared distribution. This work is motivated by the application of the flexible two-stage design in case–control studies, where the sample size needed for the second stage of a two-stage study can be determined adaptively by the results of the first stage. We first study the moment estimate for the truncated distribution and prove its existence, uniqueness, and inadmissibility and convergence properties. We then define a new class of estimates that includes the moment estimate as a special case. Among this class of estimates, we recommend to use one member that outperforms the moment estimate in a wide range of scenarios. We also present two methods for constructing confidence intervals. Simulation studies are conducted to evaluate the performance of the proposed point and interval estimates.  相似文献   
23.
In disease screening and diagnosis, often multiple markers are measured and combined to improve the accuracy of diagnosis. McIntosh and Pepe [Combining several screening tests: optimality of the risk score, Biometrics 58 (2002), pp. 657–664] showed that the risk score, defined as the probability of disease conditional on multiple markers, is the optimal function for classification based on the Neyman–Pearson lemma. They proposed a two-step procedure to approximate the risk score. However, the resulting receiver operating characteristic (ROC) curve is only defined in a subrange (L, h) of false-positive rates in (0,1) and the determination of the lower limit L needs extra prior information. In practice, most diagnostic tests are not perfect, and it is usually rare that a single marker is uniformly better than the other tests. Using simulation, I show that multivariate adaptive regression spline is a useful tool to approximate the risk score when combining multiple markers, especially when ROC curves from multiple tests cross. The resulting ROC is defined in the whole range of (0,1) and is easy to implement and has intuitive interpretation. The sample code of the application is shown in the appendix.  相似文献   
24.
余芳东 《统计研究》2013,30(3):25-29
 全球国际比较项目大约每隔5年或6年调查一次,有关国际组织应用总量外推法、分类项目外推法、基期滚动法和简缩信息法等方法推算非基准年的PPP数据,以便取得完整的连续时间序列。本文对国际上常用的各种非基准年PPP推算方法和结果作详细分析、评价。  相似文献   
25.
We propose an efficient group sequential monitoring rule for clinical trials. At each interim analysis both efficacy and futility are evaluated through a specified loss structure together with the predicted power. The proposed design is robust to a wide range of priors, and achieves the specified power with a saving of sample size compared to existing adaptive designs. A method is also proposed to obtain a reduced-bias estimator of treatment difference for the proposed design. The new approaches hold great potential for efficiently selecting a more effective treatment in comparative trials. Operating characteristics are evaluated and compared with other group sequential designs in empirical studies. An example is provided to illustrate the application of the method.  相似文献   
26.
DIMITROV, RACHEV and YAKOVLEV ( 1985 ) have obtained the isotonic maximum likelihood estimator for the bimodal failure rate function. The authors considered only the complete failure time data. The generalization of this estimator for the case of censored and tied observations is now proposed.  相似文献   
27.
Three parameters—sample size, sampling intervals, and the control limits—must be determined when the x bar chart to monitor a manufacturing process. The constant sampling intervals were widely employed because of its administrative simplicity. However, the variable sampling interval (VSI) has recently been shown to give substantially faster detection of most process shifts than fixed-sampling-interval (FSI) for x-bar charts. In addition, these measurements in the subgroup are assumed to be normally distributed. That assumption may not be tenable. This investigation compares the economic design of x-bar control charts for non normal data under Weibull shock models with various sampling avenues.  相似文献   
28.
Abstract

In this paper, we discuss how to model the mean and covariancestructures in linear mixed models (LMMs) simultaneously. We propose a data-driven method to modelcovariance structures of the random effects and random errors in the LMMs. Parameter estimation in the mean and covariances is considered by using EM algorithm, and standard errors of the parameter estimates are calculated through Louis’ (1982 Louis, T.A. (1982). Finding observed information using the EM algorithm. J. Royal Stat. Soc. B 44:98130. [Google Scholar]) information principle. Kenward’s (1987 Kenward, M.G. (1987). A method for comparing profiles of repeated measurements. Appl. Stat. 36:296308.[Crossref], [Web of Science ®] [Google Scholar]) cattle data sets are analyzed for illustration,and comparison to the literature work is made through simulation studies. Our numerical analysis confirms the superiority of the proposed method to existing approaches in terms of Akaike information criterion.  相似文献   
29.
In this article, we provide the MLE of the ratio parameter of a geometric process and discuss its consistency and asymptotic normality.  相似文献   
30.
设为首页 | 免责声明 | 关于勤云 | 加入收藏

Copyright©北京勤云科技发展有限公司  京ICP备09084417号