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11.
地区间个人收入差距的状况及特点(英文) 总被引:1,自引:0,他引:1
尹恒 《Social Sciences in China》2011,(3):123-144
在地区收入差距的文献中,一直缺乏从个人收入角度出发的研究;而关于个人收入分配的研究,也很少考察地区差异。文章使用2005年全国1%人口普查数据,从个人收入角度描述了全国及(几种不同定义下的)地区间的个人收入差距,并分析了影响个人收入差距的因素,得到了一些有意义的结果。 相似文献
12.
本文阐述了计算机病毒的概念,对计算机病毒进行了分类,同时分析了各类病毒的特点。并着重介绍了对病毒的防范措施以及清除的方法。 相似文献
13.
This paper provides a practical simulation-based Bayesian analysis of parameter-driven models for time series Poisson data with the AR(1) latent process. The posterior distribution is simulated by a Gibbs sampling algorithm. Full conditional posterior distributions of unknown variables in the model are given in convenient forms for the Gibbs sampling algorithm. The case with missing observations is also discussed. The methods are applied to real polio data from 1970 to 1983. 相似文献
14.
文章就区域经济均衡发展模式进行了全面探讨,认为新中国成立以来,党中央三代领导核心毛泽东、邓小平和江泽民都从战略的高度出发,十分重视区域经济均衡发展问题,从不同的角度,提出了区域经济均衡发展模式,推进了中国区域经济社会的协调发展和共同繁荣. 相似文献
15.
Lauren Bin Dong 《统计学通讯:模拟与计算》2013,42(1):197-215
The empirical likelihood ratio (ELR) test for the problem of testing for normality is derived in this article. The sampling properties of the ELR test and four other commonly used tests are provided and analyzed using the Monte Carlo simulation technique. The power comparisons against a wide range of alternative distributions show that the ELR test is the most powerful of these tests in certain situations. 相似文献
16.
AbstractIn 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) information principle. Kenward’s (1987) 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
17.
AbstractFor two components and one standby redundancy, we develop a characterization on the hazard rate order and the reversed hazard rate order of the redundant system lifetime in the context of mutually independent components lifetimes. Also, the likelihood ratio order is derived on the lifetime of the series system with two components lifetimes and two matched active redundancies lifetimes both following the proportional hazard model. 相似文献
18.
Hiep Duc Bin Jalaludin Geoff Morgan 《Australian & New Zealand Journal of Statistics》2009,51(3):289-303
Using generalized linear models (GLMs), Jalaludin et al. (2006; J. Exposure Analysis and Epidemiology 16 , 225–237) studied the association between the daily number of visits to emergency departments for cardiovascular disease by the elderly (65+) and five measures of ambient air pollution. Bayesian methods provide an alternative approach to classical time series modelling and are starting to be more widely used. This paper considers Bayesian methods using the dataset used by Jalaludin et al. (2006) , and compares the results from Bayesian methods with those obtained by Jalaludin et al. (2006) using GLM methods. 相似文献
19.
Yaling Yin Christine E. Soteros Miķelis G. Bickis 《Journal of statistical planning and inference》2009
Traditional multiple hypothesis testing procedures fix an error rate and determine the corresponding rejection region. In 2002 Storey proposed a fixed rejection region procedure and showed numerically that it can gain more power than the fixed error rate procedure of Benjamini and Hochberg while controlling the same false discovery rate (FDR). In this paper it is proved that when the number of alternatives is small compared to the total number of hypotheses, Storey's method can be less powerful than that of Benjamini and Hochberg. Moreover, the two procedures are compared by setting them to produce the same FDR. The difference in power between Storey's procedure and that of Benjamini and Hochberg is near zero when the distance between the null and alternative distributions is large, but Benjamini and Hochberg's procedure becomes more powerful as the distance decreases. It is shown that modifying the Benjamini and Hochberg procedure to incorporate an estimate of the proportion of true null hypotheses as proposed by Black gives a procedure with superior power. 相似文献
20.
To enhance modeling flexibility, the authors propose a nonparametric hazard regression model, for which the ordinary and weighted least squares estimation and inference procedures are studied. The proposed model does not assume any parametric specifications on the covariate effects, which is suitable for exploring the nonlinear interactions between covariates, time and some exposure variable. The authors propose the local ordinary and weighted least squares estimators for the varying‐coefficient functions and establish the corresponding asymptotic normality properties. Simulation studies are conducted to empirically examine the finite‐sample performance of the new methods, and a real data example from a recent breast cancer study is used as an illustration. The Canadian Journal of Statistics 37: 659–674; 2009 © 2009 Statistical Society of Canada 相似文献