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61.
Cities in developing countries are facing a double dilemma. On one hand, the urban population is growing rapidly, causing a huge increase in demand for waste management services. On the other hand, the traditional public sector is failing to respond to the increased demand for service. The public sector is constrained by resource and institutional limitations. It is often proposed that the solution lies in private sector participation. It is expected that the private sector, with its dynamism and flexibility, may fill in the service delivery gaps by forming partnership with the public sector. However, a third tier—the people—is often overlooked in the service delivery framework. Citizens can contribute significantly to service delivery. They can support the private sector with payment of service charges. But more importantly, they can play an active role in improving accountability and service quality of both public and private sector. This radical shift in people's role, from passive service receivers to active service partners, however, may not occur endogenously. External help from facilitating agencies may enable the public and private sector to form partnership with people for better service delivery. This article examines the role of facilitating agencies in developing tripartite partnership for solid waste management service in Bangladesh. The key lessons learned are: a number of obstacles prevented spontaneous partnership among the public sector, private sector and people; facilitating agencies were able to overcome the obstacles to form partnership of the three; and, the tripartite arrangement resulted in higher accountability and better service delivery. 相似文献
62.
The Assessment of Probability Distributions from Expert Opinions with an Application to Seismic Fragility Curves 总被引:2,自引:0,他引:2
A method is developed for estimating a probability distribution using estimates of its percentiles provided by experts. The analyst's judgment concerning the credibility of these expert opinions is quantified in the likelihood function of Bayes'Theorem. The model considers explicitly the random variability of each expert estimate, the dependencies among the estimates of each expert, the dependencies among experts, and potential systematic biases. The relation between the results of the formal methods of this paper and methods used in practice is explored. A series of sensitivity studies provides insights into the significance of the parameters of the model. The methodology is applied to the problem of estimation of seismic fragility curves (i.e., the conditional probability of equipment failure given a seismically induced stress). 相似文献
63.
Ali İ. Genç 《统计学通讯:理论与方法》2013,42(12):2169-2176
We derive closed form expressions for the first two moments of order statistics from the sine distribution. For the higher moments, a recurrence relation is given. We also give a recurrence relation for the product moments. These relations will be useful for moment computations based on ordered data. 相似文献
64.
Sharma (1977) and Aggarwal et al. (2006) considered non circular construction of first- and second-order balanced repeated measurements designs. Sharma et al. (2002) constructed circular first- and second-order balanced repeated measurements designs only for a class with parameters (v, p = 3n, n = v 2) and also showed its universal optimality. In this article, we consider circular construction of first- and second-order balanced repeated measurements designs and strongly balanced repeated measurements designs by using the method of cyclic shifts. Some new circular designs with parameters (v, p, n) for cases p = v, p < v and p > v are given. 相似文献
65.
This paper deals with a regression model for several vari¬ables under the assumption that the errors have a multivariate t-distribution. The parameters of the model, the regression parameters, as well as the scale parameters and the degress of freedom of the error variable are estimated and the estimation procedure is illustrated by a numerical example, Also, the prop¬erties of the estimators and tests for the regression parameters are discussed. 相似文献
66.
Mukhter M Ali 《统计学通讯:理论与方法》2013,42(5):1321-1343
It i s well known that even if the sample observations are correlated and not normal, the sample mean is normal in 1arge samples. But how large is large? This question i s investigated in this paper. In particular , the relation between the rate of convergence and the correlation property of the observations i s explored. It i s observed that the correlation, in general, retards the rate of convergence. 相似文献
67.
Ridge regression solves multicollinearity problems by introducing a biasing parameter that is called ridge parameter; it shrinks the estimates as well as their standard errors in order to reach acceptable results. Many methods are available for estimating a ridge parameter. This article has considered some of these methods and also proposed a combined nonlinear programming model and Kibria method. A simulation study has been made to evaluate the performance of the proposed estimators based on the minimum mean squared error criterion. The simulation study indicates that under certain conditions the proposed estimators outperform the least squares (LS) estimators and other popular existing estimators. Moreover, the new proposed model is applied on dataset that suffers also from the presence of heteroscedastic errors. 相似文献
68.
ABSTRACT The Rayleigh distribution is proposed to be the underlying model from which observables are to be predicted by using Bayesian approach. Progressively Type-II censored data from the Rayleigh distribution is considered and the two-sample prediction technique is used. Numerical computations and a simulation are given to illustrate the performance of the procedures. 相似文献
69.
Thomas R. Willemain Ali Allahverdi Philip Desautels Janine ldredge Ozden Gur Gregory Panos 《统计学通讯:模拟与计算》2013,42(4):1043-1075
We compare the performance of seven robust estimators for the parameter of an exponential distribution. These include the debiased median and two optimally-weighted one-sided trimmed means. We also introduce four new estimators: the Transform, Bayes, Scaled and Bicube estimators. We make the Monte Carlo comparisons for three sample sizes and six situations. We evaluate the comparisons in terms of a new performance measure, Mean Absolute Differential Error (MADE), and a premium/protection interpretation of MADE. We organize the comparisons to enhance statistical power by making maximal use of common random deviates. The Transform estimator provides the best performance as judged by MADE. The singly-trimmed mean and Transform method define the efficient frontier of premium/protection. 相似文献
70.
Social Indicators Research - An understanding about the dynamics of social protection spending is made in the context of structural and institutional performances. A dataset of 134 countries for... 相似文献