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101.
102.
Summary This paper solves some D-optimal design problems for certain Generalized Linear Models where the mean depends on two parameters
and two explanatory variables. In all of the cases considered the support point of the optimal designs are found to be independent
of the unknown parameters. While in some cases the optimal design measures are given by two points with equal weights, in
others the support is given by three point with weights depending on the unknown parameters, hence the designs are locally
optimal in general. Empirical results on the efficiency of the locally optimal designs are also given. Some of the designs
found can also be used for planning D-optimal experiments for the normal linear model, where the mean must be positive.
This research was carried out in part at University College, London as an M.Sc. project. Thanks are due to Prof. I. Ford (University
of Glasgow) and Prof. A. Giovagnoli (University of Perugia) for their valuable suggestions and critical observations. 相似文献
103.
Standard algorithms for the construction of iterated bootstrap confidence intervals are computationally very demanding, requiring nested levels of bootstrap resampling. We propose an alternative approach to constructing double bootstrap confidence intervals that involves replacing the inner level of resampling by an analytical approximation. This approximation is based on saddlepoint methods and a tail probability approximation of DiCiccio and Martin (1991). Our technique significantly reduces the computational expense of iterated bootstrap calculations. A formal algorithm for the construction of our approximate iterated bootstrap confidence intervals is presented, and some crucial practical issues arising in its implementation are discussed. Our procedure is illustrated in the case of constructing confidence intervals for ratios of means using both real and simulated data. We repeat an experiment of Schenker (1985) involving the construction of bootstrap confidence intervals for a variance and demonstrate that our technique makes feasible the construction of accurate bootstrap confidence intervals in that context. Finally, we investigate the use of our technique in a more complex setting, that of constructing confidence intervals for a correlation coefficient. 相似文献
104.
Martin Hazelton 《Statistics and Computing》1995,5(4):343-350
Some statistical models defined in terms of a generating stochastic mechanism have intractable distribution theory, which renders parameter estimation difficult. However, a Monte Carlo estimate of the log-likelihood surface for such a model can be obtained via computation of nonparametric density estimates from simulated realizations of the model. Unfortunately, the bias inherent in density estimation can cause bias in the resulting log-likelihood estimate that alters the location of its maximizer. In this paper a methodology for radically reducing this bias is developed for models with an additive error component. An illustrative example involving a stochastic model of molecular fragmentation and measurement is given. 相似文献
105.
袁嘉祖 《北京林业大学学报(社会科学版)》2002,(Z1)
该文从中国人口快速增长、经济建设加快、用水量逐年增大 ,加上气候变暖、少雨干旱将持续到 2 0 15年 ,我国北方水生态环境日趋恶化现状 ,说明在丰水区筑坝截流、调丰补歉势在必行 ,完全符合生态经济学发展原则和国际水法 相似文献
106.
Formulae are provided that define the ‘bend points’, the beginning and end of the essentially linear dose–response region, for the four‐parameter logistic model. The formulae are expressed in both response and dose units. The derivation of the formulae is shown in order to illustrate the general nature of the methodology. Examples are given that describe how the formulae may be used while planning and conducting bioassays. Copyright © 2003 John Wiley & Sons, Ltd. 相似文献
107.
In this article, we describe a straightforward method for solving the probability of at least one malignant cell by time t, and the associated hazard function, in the general (i.e., nonhomogeneous) two-stage Moolgavkar-Venzon-Knudson (MVK) model of cancer. The method consists of solving four coupled ordinary differential equations derived from the Kolmogorov backward equations for this process. The relationship of this method to previously proposed solutions is discussed. 相似文献
108.
P. Battipaglia 《Statistical Methods and Applications》1996,5(2):179-202
Summary The evaluation of the performance of seasonal adjustment procedures is an issue of practical importance in view of the unobservable
nature of the components. Looking at just one indicator when judging the overall quality of a procedure may be misleading,
even though this is common practice when many series are involved.
The main purpose of this paper is to compare the information content of different synthetic indicators with reference to the
X-11-ARIMA procedure.
Sixty-six different types of monthly seasonal series are generated and the seasonal component then extracted by carrying out
X-11-ARIMA with standard options. The correlation between the pseudo-true error for each series and various synthetic indicators
allows us to compare the latter's reliability, under both the hypotheses of minimum and maximum variance of the pseudo-true
seasonal component.
We show that the overall quality indexQ-the indicator most commonly adopted by users of the X-11-ARIMA-is always outperformed by the simpler diagnostics based on
the stability of the estimates.
In particular, the “sliding-spans” indicator, proposed by Findley et al. (1990) and included in the diagnostics of the new
X-12 procedure, shows a much stronger correlation with the pseudo-true error in the seasonal adjustment.
We also show that the total forecasting errors in the one-year-ahead extrapolation of the seasonal component have a good informative
power and perform almost as well as the “sliding-spans” indicator. 相似文献
109.
Sherman Hanna Sharon DeVaney Allen Martin 《Journal of Family and Economic Issues》1996,17(3-4):297-311
A computer simulation game designed to give students insights into family time use concepts has been used in an introductory family resource management class at Ohio State University and other universities. The game allows for planning for time use changes over the family life cycle. The game can give students insights into economic and sociological models of time use. It is possible that future versions of the game could be used in family counseling.His research interests include derivation of optimal decision-making rules for families and family financial management.Her research interests include financial management over the life course including financial ratios, baby boomers, and retirement. She received her Ph.D. in 1993 from The Ohio State University in Family Resource Management.His research interests include the time trade-offs made between couples, financial planning over the life cycle, and the interaction of time and money between families and their home-based businesses. He received his Ph.D. in 1993 from The Ohio State University in Family Resource Management. 相似文献
110.
The authors examined nineteen nonprofit performing arts organizations, investigating the distribution of influence among organizational members, the grouping of volunteers and staff in organizational structures, and the effectiveness of the organizations. The organizations' effectiveness was assessed using multiple performance indicators. The analysis revealed five groupings or configurations of influence, which correlated to the organizations exhibiting the highest and lowest levels of organizational effectiveness. The authors conclude that a variety of structures are associated with good performance but structural dysfunctions are associated with organizational failure, and that members' commitment to an organization's structure is an important element of success. 相似文献