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881.
Correlated data are commonly analyzed using models constructed using population-averaged generalized estimating equations (GEEs). The specification of a population-averaged GEE model includes selection of a structure describing the correlation of repeated measures. Accurate specification of this structure can improve efficiency, whereas the finite-sample estimation of nuisance correlation parameters can inflate the variances of regression parameter estimates. Therefore, correlation structure selection criteria should penalize, or account for, correlation parameter estimation. In this article, we compare recently proposed penalties in terms of their impacts on correlation structure selection and regression parameter estimation, and give practical considerations for data analysts. Supplementary materials for this article are available online.  相似文献   
882.
The well-known Wilson and Agresti–Coull confidence intervals for a binomial proportion p are centered around a Bayesian estimator. Using this as a starting point, similarities between frequentist confidence intervals for proportions and Bayesian credible intervals based on low-informative priors are studied using asymptotic expansions. A Bayesian motivation for a large class of frequentist confidence intervals is provided. It is shown that the likelihood ratio interval for p approximates a Bayesian credible interval based on Kerman’s neutral noninformative conjugate prior up to O(n? 1) in the confidence bounds. For the significance level α ? 0.317, the Bayesian interval based on the Jeffreys’ prior is then shown to be a compromise between the likelihood ratio and Wilson intervals. Supplementary materials for this article are available online.  相似文献   
883.
Case–control design to assess the accuracy of a binary diagnostic test (BDT) is very frequent in clinical practice. This design consists of applying the diagnostic test to all of the individuals in a sample of those who have the disease and in another sample of those who do not have the disease. The sensitivity of the diagnostic test is estimated from the case sample and the specificity is estimated from the control sample. Another parameter which is used to assess the performance of a BDT is the weighted kappa coefficient. The weighted kappa coefficient depends on the sensitivity and specificity of the diagnostic test, on the disease prevalence and on the weighting index. In this article, confidence intervals are studied for the weighted kappa coefficient subject to a case–control design and a method is proposed to calculate the sample sizes to estimate this parameter. The results obtained were applied to a real example.  相似文献   
884.
Control charts have been popularly used as a user-friendly yet technically sophisticated tool to monitor whether a process is in statistical control or not. These charts are basically constructed under the normality assumption. But in many practical situations in real life this normality assumption may be violated. One such non-normal situation is to monitor the process variability from a skewed parent distribution where we propose the use of a Maxwell control chart. We introduce a pivotal quantity for the scale parameter of the Maxwell distribution which follows a gamma distribution. Probability limits and L-sigma limits are studied along with performance measure based on average run length and power curve. To avoid the complexity of future calculations for practitioners, factors for constructing control chart for monitoring the Maxwell parameter are given for different sample sizes and for different false alarm rate. We also provide simulated data to illustrate the Maxwell control chart. Finally, a real life example has been given to show the importance of such a control chart.  相似文献   
885.
Point and interval estimators for the scale parameter of the component lifetime distribution of a k-component parallel system are obtained when the component lifetimes are assumed to be independently and identically exponentially distributed. We prove that the maximum likelihood estimator of the scale parameter based on progressively Type-II censored system lifetimes is unique and can be obtained by a fixed-point iteration procedure. In particular, we illustrate that the Newton–Raphson method does not converge for any initial value. Furthermore, exact confidence intervals are constructed by a transformation using normalized spacings and other component lifetime distributions including Weibull distribution are discussed.  相似文献   
886.
Eric M. Hanson 《Serials Review》2017,43(3-4):278-281
ABSTRACT

In this interview from March 2017, Kay Teel, metadata librarian for serials and arts resources at the Stanford University Libraries, discusses the issues involved in providing access to serials through an institutional repository.  相似文献   
887.
A closer look at de-aliasing effects using an efficient foldover technique   总被引:1,自引:0,他引:1  
A. M. Elsawah 《Statistics》2017,51(3):532-557
Foldover techniques are used to reduce the confounding when some important effects (usually lower order effects) cannot be estimated independently. This article develops an efficient foldover mechanism for symmetric or asymmetric designs, whether regular or nonregular. In this paper, we take the uniformity criteria (UC) as the optimality measures to construct the optimal combined designs (initial design plus its corresponding foldover design) which have better capability of estimating lower order effects. The relationship between any initial design and its combined design is studied. A comparison study between the combined designs via different UC is provided. Equivalence between any combined design and its complementary combined design is investigated, which is a very useful constraint that reduce the search space. Using our results as benchmarks, we can implement a powerful algorithm for constructing optimal combined designs. Our work covers as well as gives results better than recent works of about 20 articles in the last few years as special cases. So this article is a good reference for constructing effective designs.  相似文献   
888.
The methods of estimation of nonparametric regression function are quite common in statistical application. In this paper, the new Bayesian wavelet thresholding estimation is considered. The new mixture prior distributions for the estimation of nonparametric regression function by applying wavelet transformation are investigated. The reversible jump algorithm to obtain the appropriate prior distributions and value of thresholding is used. The performance of the proposed estimator is assessed with simulated data from well-known test functions by comparing the convergence rate of the proposed estimator with respect to another by evaluating the average mean square error and standard deviations. Finally by applying the developed method, density function of galaxy data is estimated.  相似文献   
889.
One of the important topics in morphometry that received high attention recently is the longitudinal analysis of shape variation. According to Kendall's definition of shape, the shape of object appertains on non-Euclidean space, making the longitudinal study of configuration somehow difficult. However, to simplify this task, triangulation of the objects and then constructing a non-parametric regression-type model on the unit sphere is pursued in this paper. The prediction of the configurations in some time instances is done using both properties of triangulation and the size of great baselines. Moreover, minimizing a Euclidean risk function is proposed to select feasible weights in constructing smoother functions in a non-parametric smoothing manner. These will provide some proper shape growth models to analysis objects varying in time. The proposed models are applied to analysis of two real-life data sets.  相似文献   
890.
Clustered binary responses are often found in ecological studies. Data analysis may include modeling the marginal probability response. However, when the association is the main scientific focus, modeling the correlation structure between pairs of responses is the key part of the analysis. Second-order generalized estimating equations (GEE) are established in the literature. Some of them are more efficient in computational terms, especially facing large clusters. Alternating logistic regression (ALR) and orthogonalized residual (ORTH) GEE methods are presented and compared in this paper. Simulation results show a slightly superiority of ALR over ORTH. Marginal probabilities and odds ratios are also estimated and compared in a real ecological study involving a three-level hierarchical clustering. ALR and ORTH models are useful for modeling complex association structure with large cluster sizes.  相似文献   
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