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941.
The delete-a-group jackknife is sometimes used when estimating the variances of statistics based on a large sample. We investigate heavily poststratified estimators for a population mean and a simple regression coefficient, where both full-sample and domain estimates are of interest. The delete-a-group (DAG) jackknife employing 30, 60, and 100 replicates is found to be highly unstable, even for large sample sizes. The empirical degrees of freedom of these DAG jackknives are usually much less than their nominal degrees of freedom. This analysis calls into question whether coverage intervals derived from replication-based variance estimators can be trusted for highly calibrated estimates. 相似文献
942.
Results of the Monte Carlo study of the performance of a maximum likelihood estimation in a Weibull parametric regression model with two explanatory variables are presented. One simulation run contained 1000 samples censored on the average by the amount of 0-30%. Each simulatedsample was generated in a form of two-factor two-level balanced experiment. The confidence intervals were computed using the large-sample normal approximation via the matrix of observed information. For small sample sizes the estimates of the scale parameter b of the loglifetime were significantly negatively biased, which resulted in a poor quality of confidence intervals for b and the low-level quantiles. All estimators improved their quality when the nominal value of b decreased. A moderate amount of censoring improved the quality of point and confidence estimation. The reparametrization b 7 produced rather accurate confidence intervals. Exact confidence intervals for b in case of non-censoring were obtained using the pivotal quantity b/b. 相似文献
943.
Saad T. Bakir 《统计学通讯:理论与方法》2013,42(4):743-757
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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Martin T. Wells 《统计学通讯:模拟与计算》2013,42(2):711-717
In this paper we develop a technique that is useful in goodness of fit problems with nuisance location and scale parameters. Using Basu's lemma, we transform the sample so that it is independent of the nuisance parameters. The technique will be illustrated by several examples, a discussion of the efficiency of the proposed procedure, and some concluding remarks will given. 相似文献
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The growing popular realization that American product quality and productivity are no longer without challenge for world leadership presents an opportunity for the American statistical community to make stronger contributions to sound industrial practice than it has in the past. Management consultants, such as Deming and Juran, are promoting philosophies that contain strong statistical components and are being heard by top U.S. executives. There are thus growing opportunities for industrial statisticians. Upon reviewing the content of typical graduate-level statistical quality control courses and books in the light of the present situation, we find them to be inadequate and in some cases to suffer from inappropriate emphases. In this article we discuss our perceptions of what is needed in the way of a new graduate-level course in statistics for quality and productivity (SQP). We further offer for discussion a syllabus for such a course (which is a modification of one used at Iowa State in the 1983 spring semester), some comments on how specific topics might be approached, and also a partially annotated list of references for material that we believe belongs in a modern SQP course. 相似文献
950.
Frank R. Lichtenberg 《The American statistician》2013,67(2):169-171
I consider the properties of the estimator when the true model is y = β1 x 1 + β2 x 2 + u, but the restriction β1 = β2 = β is incorrectly imposed. I show that the probability limit of is a weighted sum of β1 and β2; the weights sum to 1 but do not necessarily lie in the unit interval, so plim need not be bounded by β1 and β2. Sufficient conditions for such bounding are derived. Certain changes in the moments of x 1 and x 2 have “perverse” effects on the weights. I illustrate the consequences of inappropriate aggregation of variables with an empirical example of the effect of research and development investment on productivity. 相似文献