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171.
We consider the problem of estimating the coefficient vector β of a linear regression model with quadratic loss function. Some biased estimators which utilize the prior information about β are considered. Also studied is the problem of estimating the parameters of an over-identified structural equation from undersized samples. 相似文献
172.
Daniel B. Radner 《商业与经济统计学杂志》2013,31(2):136-146
This article describes the effects on estimates of the size distribution of family-unit money income produced by adjusting CPS estimates for 1972 by adding several other data sources. Income estimates were adjusted on an individual-observation basis to make them consistent with independent control totals. As a result of these adjustments, mean income for all units rose 12 percent. The relative share of the top 5 percent increased substantially. Property income increased and wage income decreased in relative importance. The adjustment to mean income was largest for the oldest age group and smallest for the youngest age group. 相似文献
173.
Incomplete moments are used to characterize income inequality and provide the basis for interdistributional Lorenz curves. Four measures of interdistributional inequality are considered and seen to be related to an interdistributional welfare interpretation. Based upon these measures, there has been a significant secular decline in interdistributional inequality between blacks and whites over the past 30 years. 相似文献
174.
In this paper we provide a comprehensive Bayesian posterior analysis of trend determination in general autoregressive models. Multiple lag autoregressive models with fitted drifts and time trends as well as models that allow for certain types of structural change in the deterministic components are considered. We utilize a modified information matrix-based prior that accommodates stochastic nonstationarity, takes into account the interactions between long-run and short-run dynamics and controls the degree of stochastic nonstationarity permitted. We derive analytic posterior densities for all of the trend determining parameters via the Laplace approximation to multivariate integrals. We also address the sampling properties of our posteriors under alternative data generating processes by simulation methods. We apply our Bayesian techniques to the Nelson-Plosser macroeconomic data and various stock price and dividend data. Contrary to DeJong and Whiteman (1989a,b,c), we do not find that the data overwhelmingly favor the existence of deterministic trends over stochastic trends. In addition, we find evidence supporting Perron's (1989) view that some of the Nelson and Plosser data are best construed as trend stationary with a change in the trend function occurring at 1929. 相似文献
175.
In this paper, methods are proposed in finding the robust design in both Taguchi and Standard setups when a signal factor is present. The robust design is a set of level combinations of control factors so that the effect of controllable noise factors on response is minimum. Both univariate and multivariate methods are used in finding the influential noise factors for the determination of robust designs. 相似文献
176.
It is shown in this article that, given the moments of a distribution, any percentage point can be accurately determined from an approximation of the corresponding density function in terms of the product of an appropriate baseline density and a polynomial adjustment. This approach, which is based on a moment-matching technique, is not only conceptually simple but easy to implement. As illustrated by several applications, the percentiles so obtained are in excellent agreement with the tabulated values. Whereas statistical tables, if at all available or accessible, can hardly ever cover all the potentially useful combinations of the parameters associated with a random quantity of interest, the proposed methodology has no such limitation. 相似文献
177.
This article deals with the bootstrap as an alternative method to construct confidence intervals for the hyperparameters of structural models. The bootstrap procedure considered is the classical nonparametric bootstrap in the residuals of the fitted model using a well-known approach. The performance of this procedure is empirically obtained through Monte Carlo simulations implemented in Ox. Asymptotic and percentile bootstrap confidence intervals for the hyperparameters are built and compared by means of the coverage percentages. The results are similar but the bootstrap procedure is better for small sample sizes. The methods are applied to a real time series and confidence intervals are built for the hyperparameters. 相似文献
178.
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180.
The Consistent System (CS) is an interactive computer system for researchers in the behavioral and policy sciences and in fields with similar requirements for data management and statistical analysis. The researcher is not expected to be a programmer. The system offers a wide range of facilities and permits the user to combine them in novel ways. In particular, tools for statistical analysis may be used in combination with a powerful relational subsystem for data base management. This paper gives an overview of the objectives, capabilities, status, and availability of the system. 相似文献