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771.
ABSTRACTNakagami distribution is one of the most common distributions used to model positive valued and right skewed data. In this study, we interest goodness of fit problem for Nakagami distribution. Thus, we propose smooth tests for Nakagami distribution based on orthonormal functions. We also compare these tests with some classical goodness of fit tests such as Cramer–von Mises, Anderson–Darling, and Kolmogorov–Smirnov tests in respect to type-I error rates and powers of tests. Simulation study indicates that smooth tests give better results than these classical tests give in respect to almost all cases considered. 相似文献
772.
We regard the simple linear calibration problem where only the response y of the regression line y = β0 + β1 t is observed with errors. The experimental conditions t are observed without error. For the errors of the observations y we assume that there may be some gross errors providing outlying observations. This situation can be modeled by a conditionally contaminated regression model. In this model the classical calibration estimator based on the least squares estimator has an unbounded asymptotic bias. Therefore we introduce calibration estimators based on robust one-step-M-estimators which have a bounded asymptotic bias. For this class of estimators we discuss two problems: The optimal estimators and their corresponding optimal designs. We derive the locally optimal solutions and show that the maximin efficient designs for non-robust estimation and robust estimation coincide. 相似文献
773.
Two methods to approximate infinitely divisible random fields are presented. The methods are based on approximating the kernel function in the spectral representation of such fields, leading to numerical integration of the respective integrals. Error bounds for the approximation error are derived and the approximations are used to simulate certain classes of infinitely divisible random fields. 相似文献
774.
Hubert Van Puyenbroeck Gerrit Loots† Hans Grietens‡ Wolfgang Jacquet Johan Vanderfaeillie† Valentin Escudero§¶ 《Child & Family Social Work》2009,14(2):222-232
Set up as a one-group pre-test–post-test follow-up design, this study examines the outcomes of intensive family preservation services (IFPS) in Flanders addressing the following research questions: Does IFPS make a significant difference concerning (1) the interaction between parent and child? (2) social support as experienced by the parent? (3) stress and empowerment of the parent? and (4) the strengths and difficulties of the minor? Families seem to indicate that their family situation is more manageable, although still, professional help is needed. Parents feel more resilient about the situation and indicate that they can get along with their child better than before the crisis intervention. Parents still feel uncertain about the future and about their role as a parent. There seems to be no indications that their level and quality of social contacts have changed. Further research is suggested to provide more in-depth information about the conditions associated with processes of change during an IFPS intervention. 相似文献
775.
Is there a rationale for an electoral college system or do these voting systems always waste useful information? This paper studies this question in a setup in which voting is supposed to aggregate decentralized information about individual preferences for two candidates. Individual perceptions may be affected by regional information. When such regional information plays a major role, an electoral college system may be superior to simple majority voting. 相似文献
776.
This paper presents a new method for the reconciliation of data described by arbitrary continuous probability distributions, with the focus on nonlinear constraints. The main idea, already applied to linear constraints in a previous paper, is to restrict the joint prior probability distribution of the observed variables with model constraints to get a joint posterior probability distribution. Because in general the posterior probability density function cannot be calculated analytically, it is shown that it has decisive advantages to sample from the posterior distribution by a Markov chain Monte Carlo (MCMC) method. From the resulting sample of observed and unobserved variables various characteristics of the posterior distribution can be estimated, such as the mean, the full covariance matrix, marginal posterior densities, as well as marginal moments, quantiles, and HPD intervals. The procedure is illustrated by examples from material flow analysis and chemical engineering. 相似文献
777.
Nilgün Yıldız 《统计学通讯:理论与方法》2018,47(9):2278-2290
In this paper, we are proposing a modified jackknife Liu-type estimator (MJLTE) that was created by combining the ideas underlying both the Liu-type estimator (LTE) and the jackknifed Liu-type estimator (JLTE). We will also present the necessary and sufficient conditions for superiority of the MJLTE over the LTE and JLTE, in terms of mean square error matrix criterion. Finally, a real data example and a Monte Carlo simulation are also given to illustrate theoretical results. 相似文献
778.
Estimating nonlinear effects of continuous covariates by penalized splines is well established for regressions with cross-sectional data as well as for panel data regressions with random effects. Penalized splines are particularly advantageous since they enable both the estimation of unknown nonlinear covariate effects and inferential statements about these effects. The latter are based, for example, on simultaneous confidence bands that provide a simultaneous uncertainty assessment for the whole estimated functions. In this paper, we consider fixed effects panel data models instead of random effects specifications and develop a first-difference approach for the inclusion of penalized splines in this case. We take the resulting dependence structure into account and adapt the construction of simultaneous confidence bands accordingly. In addition, the penalized spline estimates as well as the confidence bands are also made available for derivatives of the estimated effects which are of considerable interest in many application areas. As an empirical illustration, we analyze the dynamics of life satisfaction over the life span based on data from the German Socio-Economic Panel. An open-source software implementation of our methods is available in the R package pamfe. 相似文献
779.
In this article, we consider a linear regression model with AR(p) error terms with the assumption that the error terms have a t distribution as a heavy-tailed alternative to the normal distribution. We obtain the estimators for the model parameters by using the conditional maximum likelihood (CML) method. We conduct an iteratively reweighting algorithm (IRA) to find the estimates for the parameters of interest. We provide a simulation study and three real data examples to illustrate the performance of the proposed robust estimators based on t distribution. 相似文献
780.
Life tables used in life insurance determine the age of death distribution only at integer ages. Therefore, actuaries make
fractional age assumptions to interpolate between integer age values when they have to value payments that are not restricted
to integer ages. Traditional fractional age assumptions as well as the fractional independence assumption are easy to apply
but result in a non-intuitive overall shape of the force of mortality. Other approaches proposed either require expensive
optimization procedures or produce many discontinuities. We suggest a new, computationally inexpensive algorithm to select
the parameters within the LFM-family introduced by Jones and Mereu (Insur Math Econ 27:261–276, 2000). In contrast to previously suggested methods, our algorithm enforces a monotone force of mortality between integer ages
if the mortality rates are monotone and keeps the number of discontinuities small. 相似文献