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921.
ABSTRACT

Educational programs for hepatitis C (HCV) have been created by professionals. There has not been a focus on whether what clients want to know about HCV differs from what providers want patients to know. This study addresses this gap by examining topics selected by participants in an education/support group model. Data were collected as part of a randomized psychoeducation trial for patients with HCV. Topics were systematically generated by the members uniquely for each group. Topics and rank order for each group were generated and a combined variable was created. Twenty-eight different topics were identified across 12 groups. The total number of topics was 102, averaging 8.5 per group. Topics are divided into three separate conceptual groups, members’ personal relationship to HCV, medical aspects of HCV, and unique concerns. A patient-centered approach that addresses the needs of HCV patients first provides an optimal starting point to discuss HCV disease management.  相似文献   
922.
The purpose of this study is to investigate agreement between item difficulty coefficients calculated relying on classical test theory and item response theory with Bland–Altman method. According to results, although there is a high correlation between Pj and b coefficient estimated with HGLM (hierarchical generalized linear model), 1P, and 3P models, it can be said that there is no agreement between two methods and cannot be used interchangeably. It is observed that the confidence limit is wide according to Bland–Altman graphics. Therefore, it can be said that there is no agreement between item difficulty values obtained from two methods. Bland–Altman method which is used in clinical studies mostly is suggested to be used in the comparison of methods used especially in the evaluation of student performance in education, in agreement studies among specialist considerations especially in terms of providing additional information to the studies in which correlation coefficient is calculated.  相似文献   
923.
Abstract

The aim of this paper is to investigate how some results related to the complex normal distribution are relevant in size and shape analysis. Our main focus is on the derivation of influential measures. In particular, Cook and Kullback–Leibler distances are combined with their respective asymptotic results as well as to an alternative process of defining cut-off points. Some numerical examples illustrate how these measures are used in practice. We perform an application to simulated and actual data. Results provide evidence that the methodology based on Kullback–Leibler distance outperforms one in terms of the Cook classic distance.  相似文献   
924.
This paper eals with the proplem on estimating the mean paramerer of a truncated normal distribution with known coefficient of variation. In the previous treatment of this problem most authors have used the sample standared deviation for estimating this parameter. In the present paper we use Gini’s coefficient of mean difference g and obtain the minimum variance unbiased estimate of the mean based on a linear function of the sample mean and g, It is shown that this new estimate has desirable properties for small samples as well as for large samples. We also give a numerical example.  相似文献   
925.
Use of ranks in unequal probability sampling is examined for sample selection, stratification as well as determining the strata boundaries. A few sampling schemes are proposed and investigated, For samples of size two, two sampling schemes and their 1PPS versions are discussed, An extension of these schemes to general sample sizes is outlined. Nonnegative unbiased variance estimators are proposed in each case, An empirical comparison is included.  相似文献   
926.
In this note we consider estimation of a mixture model of count data which is composed of two discrete random variables. Conditional and unconditional estimation procedures are given for estimating the unknown parameter(s) of interest using the likelihood function. Asymptotic relative efficiencies are given to examine the amount of information loss in using the two estimation procedures. Specifically, we study the change in asymptotic relative efficiency, if any, in different parameter settings.  相似文献   
927.
928.
Five biased estimators of the slope in straight line regression are considered. For each, the estimate of the “bias parameter”, k, is a function of N, the number of observations, and [rcirc]2 , the square of the least squares estimate of the standardized slope, β. The estimators include that of Farebrother, the ridge estimator of Hoerl, Kennard, and Baldwin, Vinod's shrunken estimators., and a new modification of one of the latter. Properties of the estimators are studied for 13 combinations of N and 3. Results of simulation experiments provide empirical evidence concerning the values of means and variances of the biased estimators of the slope and estimates of the “bias parameter”, the mean square errors of the estimators, and the frequency of improvement relative to least squares. Adjustments to degrees of freedom in the biased regression analysis of variance table are also considered. An extension of the new modification to the case of p> 1 independent variables is presented in an Appendix.  相似文献   
929.
Assuming that all components of a normal mean vector are simultaneously non negative or non positive, we consider a multivariate two-sided test for testing whether the normal mean vector is equal to zero or not. Since the likelihood ratio test is accompanied with theoretical and computational complications, we discuss two kinds of approximations of the likelihood ratio test. One is based on a conservative critical value determined by a certain inequality. The other is constructed by the approximation of the likelihood ratio test proposed by Tang et al. (1989). We compare the likelihood ratio test and two kinds of approximations through numerical examples regarding critical values and the power of the test.  相似文献   
930.

In this article we propose three distribution-free (or nonparametric) statistical quality control charts for monitoring a process center when an in-control target center is not specified. These charts are of the Shewhart-type, the exponentially moving average-type, and the cumulative sum-type. The constructions of the proposed charts require the availability of an initial reference sample taken when the process was operating in-control to calculate an estimator for the unknown in-control target process center. This estimated center is then used in the calculation of signed-rank-like statistics based on grouped observations taken periodically from the process output. As long as the in-control process underlying distribution is continuous and symmetric, the proposed charts have a constant in-control average run length and a constant false alarm rate irrespective of the process underlying distribution. Other advantages of the proposed distribution-free charts include their robustness against outliers and their superior efficiency over the traditional normal-based control charts when applied to processes with moderate- or heavy-tailed underlying distributions, such as the double exponential or the Cauchy distributions.  相似文献   
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