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151.
兵家军事立法理念兼具理想性和现实性,既讲求战争和法律的正义性与合人心性,也研究作战指导、治军方案的可行性与可操作性。兵家对治军中的“礼”与“法”的相互关系已有清醒的认识,并积极提倡和重视教化与刑罚的结合,即“令之以文,齐之以武”。在兵家看来,“礼”的要求也是“法的内容”,“礼”与“法”各有所用,只有礼、法并用,才能治理好军队。  相似文献   
152.
唐浩明、二月河是当代历史小说创作的两位突出代表,理论界对两者历史小说的批评一般停留在历史真实与艺术真实的结合和雅俗定位上,缺乏针对性。笔者认为唐浩明、二月河的创作都受到区域文化的影响,湖湘文化的"经世致用"与河东风土的"重实轻名",是使唐浩明与二月河的文学作品在创作动机、艺术品位等方面产生差异的重要原因。  相似文献   
153.
浅论新时期师专图书馆的建设与管理   总被引:1,自引:0,他引:1  
黄晓丽 《云梦学刊》2000,(4):97-98,100
随着新世纪的即将来临,高校图书馆正在加快自动化,网络化的建设步伐,向着电子化、 信息化的现代图书馆迈进。师专图书馆必须抓住机遇,以实现从传统管理向现代化管理的转变,这是 师专图书馆改革发展的必由之路。  相似文献   
154.
For given real functionsg andh, first we give necessary and sufficient conditions such that there exists a random variableX satisfying thatE(g(X)|X≥y)=h(y)r x (y),∀y ∈ C x , whereC x andT X are the support and the failure rate function ofX, respectively. These extend the results of Ruiz and Navarro (1994) and Ghitany et al. (1995). Next we investigate necessary and sufficient conditions such thath(y)=E(g(X)|X≥y), for a given functionh. Support for this research was provided in part by the National Science Council of the Republic of China, Grant No. NSC 86-2115-M-110-014 and NSC 88-2118-M-110-001  相似文献   
155.
Bartlett correction constitutes one of the attractive features of empirical likelihood because it enables the construction of confidence regions for parameters with improved coverage probabilities. We study the Bartlett correction of spatial frequency domain empirical likelihood (SFDEL) based on general spectral estimating functions for regularly spaced spatial data. This general formulation can be applied to testing and estimation problems in spatial analysis, for example testing covariance isotropy, testing covariance separability as well as estimating the parameters of spatial covariance models. We show that the SFDEL is Bartlett correctable. In particular, the improvement in coverage accuracies of the Bartlett‐corrected confidence regions depends on the underlying spatial structures. The Canadian Journal of Statistics 47: 455–472; 2019 © 2019 Statistical Society of Canada  相似文献   
156.
The military strength of German National Socialism was based on the collaboration of large corporations with the Nazi state. Business provided capital, loans, taxes, managerial expertise and production for war industries. I elaborate four ideal‐typical modes of business collaboration. Each mode is illustrated by a case study of a German corporation that acquires an Austrian firm: Krupp (traditional mode); the Reichswerke state conglomerate (coercive); Deutsche Bank (managerial nationalist); and IG Farben (competitive investment mode). The first and the last modes occurred when the state was highly dependent on large businesses for the economic requisites of war. The acquired firms in the Austrian semiperiphery contributed to Nazi war mobilization, as they exploited labor and resources from the peripheral regions of southeastern Europe. Patterns of the state's resource dependency on business led to bargaining interactions between state and business, over time shaping the mix between state and private ownership of war industry.  相似文献   
157.
In survival analysis, one way to deal with non-proportional hazards is to model short-term and long-term hazard ratios. The existing model of this nature has no control over how fast the hazard ratio is changing over time. We add a parameter to the existing model to allow the hazard ratio to change over time at different speed. A nonparametric maximum likelihood approach is used to estimate the model parameters. The existing model is a special case of the extended model when the speed parameter is 0, which leads naturally to a way of testing the adequacy of the existing model. Simulation results show that there can be substantial bias in the estimation of the short-term and long-term hazard ratio if the speed parameter is fixed incorrectly at 0 rather than estimated. The extended model is fitted to three real data sets to shed new insights, including the observation that converging hazards does not necessarily imply the odds are proportional.  相似文献   
158.
In this paper, we discuss some theoretical results and properties of the discrete Weibull distribution, which was introduced by Nakagawa and Osaki [The discrete Weibull distribution. IEEE Trans Reliab. 1975;24:300–301]. We study the monotonicity of the probability mass, survival and hazard functions. Moreover, reliability, moments, p-quantiles, entropies and order statistics are also studied. We consider likelihood-based methods to estimate the model parameters based on complete and censored samples, and to derive confidence intervals. We also consider two additional methods to estimate the model parameters. The uniqueness of the maximum likelihood estimate of one of the parameters that index the discrete Weibull model is discussed. Numerical evaluation of the considered model is performed by Monte Carlo simulations. For illustrative purposes, two real data sets are analyzed.  相似文献   
159.
Q. F. Xu  C. Cai  X. Huang 《Statistics》2019,53(1):26-42
In recent decades, quantile regression has received much more attention from academics and practitioners. However, most of existing computational algorithms are only effective for small or moderate size problems. They cannot solve quantile regression with large-scale data reliably and efficiently. To this end, we propose a new algorithm to implement quantile regression on large-scale data using the sparse exponential transform (SET) method. This algorithm mainly constructs a well-conditioned basis and a sampling matrix to reduce the number of observations. It then solves a quantile regression problem on this reduced matrix and obtains an approximate solution. Through simulation studies and empirical analysis of a 5% sample of the US 2000 Census data, we demonstrate efficiency of the SET-based algorithm. Numerical results indicate that our new algorithm is effective in terms of computation time and performs well for large-scale quantile regression.  相似文献   
160.
In a recent research, the quasi-likelihood estimation methodology was developed to estimate the regression effects in the Generalized BINMA(1) (GBINMA(1)) process. The method provides consistent parameter estimates but, in the intermediate computations, moment estimating equations were used to estimate the serial- and cross-correlation parameters. This procedure may not result optimal parameter estimates, in particular, for the regression effects. This paper provides an alternative simpler GBINMA(1) process based on multivariate thinning properties where the main effects are estimated via a robust generalized quasi-likelihood (GQL) estimation approach. The two techniques are compared through some simulation experiments. A real-life data application is studied.  相似文献   
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