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91.
Taller populations are typically richer populations, and taller individuals live longer and earn more. In consequence, adult
height has recently become a focus in understanding the relationship between health and wealth. We investigate the childhood
determinants of population adult height, focusing on the respective roles of income and of disease. Across a range of European
countries and the United States, we find a strong inverse relationship between postneonatal (ages 1 month to 1 year) mortality,
interpreted as a measure of the disease and nutritional burden in childhood, and the mean height of those children as adults.
Consistent with these findings, we develop a model of selection and stunting in which the early-life burden of undernutrition
and disease not only is responsible for mortality in childhood but also leaves a residue of long-term health risks for survivors,
risks that express themselves in adult height and in late-life disease. The model predicts that at sufficiently high mortality
levels, selection can dominate scarring, leaving a taller population of survivors. We find evidence of this effect in the
poorest and highest-mortality countries of the world, supplementing recent findings on the effects of the Great Chinese Famine. 相似文献
92.
Carlos Serrano Ferreira 《Globalizations》2019,16(7):1116-1123
ABSTRACTSamir Amin was one of the most creative Marxists, but also an orthodox, as his appeal for a new international proves, consistent with his defense of the socialist revolution against a decaying capitalist system, which threatens with the extinction of human civilization. However, in a contradictory way, if in the past the material conditions did not exist, they exist today, materializing in a distorted manner by capitalism, the organization of a revolutionary international leadership has never been so non-existent. This article begins by demonstrating the systemic conditions that require the proletariat to build a new International, the reasons for the current difficulty in achieving it; and, from the analysis of the most successful experience to date, the Third International, lessons are drawn for a future Fifth International. 相似文献
93.
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95.
We propose an alternative cost-accounting function for inventory control problems on a make-to-stock setting. Our proposal is based on observing that the traditional holding and backlog parameters introduce some odd short term distortions on the inventory state space. Our single-stage cost function accounts for echelon inventories and possesses a pair of cost parameters for each echelon inventory variable, depending on whether it is positive or negative. With the modified cost-accounting function, we study a twostation tandem system producing a single product, and investigate how it compares with the performances obtained with the usual single-stage cost function. The results available so far show that the optimal policies approach a multi-echelon base stock structure for each machine. Also, the service levels achieved are better under the modified function without increasing the levels of finished goods inventory. 相似文献
96.
Social Indicators Research - Confounders alter any predicted outcome by modifying the relationship between cause and consequence. Confounders can appear in different proportions inside a population... 相似文献
97.
Location-scale invariant Bickel–Rosenblatt goodness-of-fit tests (IBR tests) are considered in this paper to test the hypothesis that f, the common density function of the observed independent d-dimensional random vectors, belongs to a null location-scale family of density functions. The asymptotic behaviour of the test procedures for fixed and non-fixed bandwidths is studied by using an unifying approach. We establish the limiting null distribution of the test statistics, the consistency of the associated tests and we derive its asymptotic power against sequences of local alternatives. These results show the asymptotic superiority, for fixed and local alternatives, of IBR tests with fixed bandwidth over IBR tests with non-fixed bandwidth. 相似文献
98.
An Extension of a Measure of Polarization, with an application to the income distribution of five OECD countries 总被引:6,自引:0,他引:6
We introduce an extension of the Esteban and Ray [Econometrica, 62:819–851 1994] measure of polarization that can be applied to density functions. As a by-product we also derive the Wolfson [Am. Econ.
Rev., 84:353–358 1994] measure as a special case. This derivation has the virtue of casting both measures in the context of a (statistically) unified
framework. We study the polarization of the distribution of household income for five OECD countries (LIS database): US, UK,
Canada, Germany and Sweden.
The present paper is essentially based on Esteban, Gradín and Ray [9], published as #218 in the working papers series of the Luxembourg Income Study. Changes have been kept to a minimum. We
have provided a brief reference to the literature on polarization measurement that has appeared since then and have updated
the data of our application. 相似文献
99.
Juan Carlos Pardo-Fernández Ingrid Van Keilegom Wenceslao González-Manteiga 《Revue canadienne de statistique》2007,35(2):249-264
The authors propose a goodness-of-fit test for parametric regression models when the response variable is right-censored. Their test compares an estimation of the error distribution based on parametric residuals to another estimation relying on nonparametric residuals. They call on a bootstrap mechanism in order to approximate the critical values of tests based on Kolmogorov-Smirnov and Cramér-von Mises type statistics. They also present the results of Monte Carlo simulations and use data from a study about quasars to illustrate their work. 相似文献
100.
Using the concept of near-exact approximation to a distribution we developed two different near-exact approximations to the distribution of the product of an odd number of particular independent Beta random variables (r.v.'s). One of them is a particular generalized near-integer Gamma (GNIG) distribution and the other is a mixture of two GNIG distributions. These near-exact distributions are mostly adequate to be used as a basis for approximations of distributions of several statistics used in multivariate analysis. By factoring the characteristic function (c.f.) of the logarithm of the product of the Beta r.v.'s, and then replacing a suitably chosen factor of that c.f. by an adequate asymptotic result it is possible to obtain what we call a near-exact c.f., which gives rise to the near-exact approximation to the exact distribution. Depending on the asymptotic result used to replace the chosen parts of the c.f., one may obtain different near-exact approximations. Moments from the two near-exact approximations developed are compared with the exact ones. The two approximations are also compared with each other, namely in terms of moments and quantiles. 相似文献