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11.
通过课堂观察及课后的学生采访,本文采用定性研究法考察了决定英语课堂上中国学生讨论情况的因素。 本文的主要发现是:(1) 中国文化推崇的谦虚美德明显地妨碍了学生们抒发己见;(2) 学生推理能力和英语表达能力之间的鸿沟是引起表达焦虑的主要原因;(3) 教师的角色左右学生讨论中表现。基于上述发现,本文认为,课堂学习由民族性格、教育体制、口语习得心理以及教师角色所决定。因此建议,今后要注意研究课堂学习和其他影响因素之间的关系 相似文献
12.
文章从理论依据和现实考察两方面分析货币政策的操作效果,并对今后我国货币政策的操作方向提出了若干建议. 相似文献
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A survey on health insurance was conducted in July and August of 2011 in three major cities in China. In this study, we analyze the household coverage rate, which is an important index of the quality of health insurance. The coverage rate is restricted to the unit interval [0, 1], and it may differ from other rate data in that the “two corners” are nonzero. That is, there are nonzero probabilities of zero and full coverage. Such data may also be encountered in economics, finance, medicine, and many other areas. The existing approaches may not be able to properly accommodate such data. In this study, we develop a three-part model that properly describes fractional response variables with non-ignorable zeros and ones. We investigate estimation and inference under two proportional constraints on the regression parameters. Such constraints may lead to more lucid interpretations and fewer unknown parameters and hence more accurate estimation. A simulation study is conducted to compare the performance of constrained and unconstrained models and show that estimation under constraint can be more efficient. The analysis of household health insurance coverage data suggests that household size, income, expense, and presence of chronic disease are associated with insurance coverage. 相似文献
15.
Troutt (1991,1993) proposed the idea of the vertical density representation (VDR) based on Box-Millar method. Kotz, Fang and Liang (1997) provided a systematic study on the multivariate vertical density representation (MVDR). Suppose that we want to generate a random vector X[d]Rnthat has a density function ?(x). The key point of using the MVDR is to generate the uniform distribution on [D]?(v) = {x :?(x) = v} for any v > 0 which is the surface in RnIn this paper we use the conditional distribution method to generate the uniform distribution on a domain or on some surface and based on it we proposed an alternative version of the MVDR(type 2 MVDR), by which one can transfer the problem of generating a random vector X with given density f to one of generating (X, Xn+i) that follows the uniform distribution on a region in Rn+1defined by ?. Several examples indicate that the proposed method is quite practical. 相似文献
16.
The outer product of gradients (OPG) estimation procedure based on least squares (LS) approach has been presented by Xia et al. [An adaptive estimation of dimension reduction space. J Roy Statist Soc Ser B. 2002;64:363–410] to estimate the single-index parameter in partially linear single-index models (PLSIM). However, its asymptotic property has not been established yet and the efficiency of LS-based method can be significantly affected by outliers and heavy-tailed distributions. In this paper, we firstly derive the asymptotic property of OPG estimator developed by Xia et al. [An adaptive estimation of dimension reduction space. J Roy Statist Soc Ser B. 2002;64:363–410] in theory, and a novel robust estimation procedure combining the ideas of OPG and local rank (LR) inference is further developed for PLSIM along with its theoretical property. Then, we theoretically derive the asymptotic relative efficiency (ARE) of the proposed LR-based procedure with respect to LS-based method, which is shown to possess an expression that is closely related to that of the signed-rank Wilcoxon test in comparison with the t-test. Moreover, we demonstrate that the new proposed estimator has a great efficiency gain across a wide spectrum of non-normal error distributions and almost not lose any efficiency for the normal error. Even in the worst case scenarios, the ARE owns a lower bound equalling to 0.864 for estimating the single-index parameter and a lower bound being 0.8896 for estimating the nonparametric function respectively, versus the LS-based estimators. Finally, some Monte Carlo simulations and a real data analysis are conducted to illustrate the finite sample performance of the estimators. 相似文献
17.
Modeling data that are non-normally distributed with random effects is the major challenge in analyzing binomial data in split-plot designs. Seven methods for analyzing such data using mixed, generalized linear, or generalized linear mixed models are compared for the size and power of the tests. This study shows that analyzing random effects properly is more important than adjusting the analysis for non-normality. Methods based on mixed and generalized linear mixed models hold Type I error rates better than generalized linear models. Mixed model methods tend to have higher power than generalized linear mixed models when the sample size is small. 相似文献
18.
In this paper, the authors derived the large sample distribution of the t statistic based upon the observations on the first principal component instead of the original variables. It is shown that the above statistic is distributed asymptotically as Student's t distribution. 相似文献
19.
The goal of uniform mixture design is to scatter the design points in the experimental region uniformly. The commonly used criteria, such as mean square distance, are based on the Euclidean distance. Based on the Lee distance, a new criterion is proposed in this article. And an algorithm, called NTLBG, is also proposed to refine the randomly generated design for the experimental design with mixtures. Some examples show that the design generated by the NTLBG algorithm has a lower criteria value. 相似文献
20.
The problems of constructing tolerance intervals for the binomial and Poisson distributions are considered. Closed-form approximate equal-tailed tolerance intervals (that control percentages in both tails) are proposed for both distributions. Exact coverage probabilities and expected widths are evaluated for the proposed equal-tailed tolerance intervals and the existing intervals. Furthermore, an adjustment to the nominal confidence level is suggested so that an equal-tailed tolerance interval can be used as a tolerance interval which includes a specified proportion of the population, but does not necessarily control percentages in both tails. Comparison of such coverage-adjusted tolerance intervals with respect to coverage probabilities and expected widths indicates that the closed-form approximate tolerance intervals are comparable with others, and less conservative, with minimum coverage probabilities close to the nominal level in most cases. The approximate tolerance intervals are simple and easy to compute using a calculator, and they can be recommended for practical applications. The methods are illustrated using two practical examples. 相似文献