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391.
In this article we consider a control chart based on the sample variances of two quality characteristics. The points plotted on the chart correspond to the maximum value of these two statistics. The main reason to consider the proposed chart instead of the generalized variance | S | chart is its better diagnostic feature, that is, with the new chart it is easier to relate an out-of-control signal to the variables whose parameters have moved away from their in-control values. We study the control chart efficiency considering different shifts in the covariance matrix. In this way, we obtain the average run length (ARL) that measures the effectiveness of a control chart in detecting process shifts. The proposed chart always detects process disturbances faster than the generalized variance | S | chart. The same is observed when the size of the samples is variable, except in a few cases in which the size of the samples switches between small size and very large size.  相似文献   
392.
This work investigates the use of canonical correlation analysis (CCA) in the definition of weight restrictions for data envelopment analysis (DEA). With this purpose, CCA limits are introduced into Wong and Beasley's DEA model. An application of the method is made over data from hospitals in 27 Brazilian cities, producing as outputs average payment (average admission values) and percentage of hospital admissions according to disease groups (International Classification of Diseases, 9th Edition), and having as inputs mortality rates and average stay (length of stay after admission (days)). In this application, performance scores were calculated for both the (CCA) restricted and unrestricted DEA models. It can be concluded that the use of CCA-based weight limits for DEA models increases the consistency of the estimated DEA scores (more homogenous weights) and that these limits do not present mathematical infeasibility problems while avoiding the need for subjectively restricting weight variation in DEA.  相似文献   
393.
It is customary to use two groups of indices to evaluate a diagnostic method with a binary outcome: validity indices with a standard rater (sensitivity, specificity, and positive or negative predictive values) and reliability indices (positive, negative and overall agreements) without a standard rater. However neither of these classic indices is chance-corrected, and this may distort the analysis of the problem (especially in comparative studies). One way of chance-correcting these indices is by using the Delta model (an alternative to the Kappa model), but this means having to use a computer program to work out the calculations. This paper gives an asymptotic version of the Delta model, thus allowing simple expressions to be obtained for the estimator of each of the above-mentioned chance-corrected indices (as well as for its standard error).  相似文献   
394.
Fuzzy rule–based models, a key element in soft computing (SC), have arisen as an alternative for time series analysis and modeling. One difference with preexisting models is their interpretability in terms of human language. Their interactions with other components have also contributed to a huge development in their identification and estimation procedures. In this article, we present fuzzy rule–based models, their links with some regime-switching autoregressive models, and how the use of soft computing concepts can help the practitioner to solve and gain a deeper insight into a given problem. An example on a realized volatility series is presented to show the forecasting abilities of a fuzzy rule–based model.  相似文献   
395.
A merging (or assessment aggregation) function (see [7]) is a rule that synthesizes several individual assessments, or numerical judgements, by creating a unique “collective” assessment. Individual i can manipulate assessment aggregation if the change in the merged assessment due to a change in i's assessment from x to y depends solely on x and y. Some assumptions on the functional form capturing this dependence are put forward and their effects on aggregation investigated under unanimity and anonymity conditions using a functional equation approach. Attention is restricted to three types of results: the merging function does not exist; it is the arithmetic mean; it is dictatorial. Received: 21 November 1997/Accepted: 31 May 1999  相似文献   
396.
397.
Given a random sample taken on a compact domain S ? d, the authors propose a new method for testing the hypothesis of uniformity of the underlying distribution. The test statistic is based on the distance of every observation to the boundary of S. The proposed test has a number of interesting properties. In particular, it is feasible and particularly suitable for high dimensional data; it is distribution free for a wide range of choices of 5; it can be adapted to the case that the support of S is unknown; and it also allows for one‐sided versions. Moreover, the results suggest that, in some cases, this procedure does not suffer from the well‐known curse of dimensionality. The authors study the properties of this test from both a theoretical and practical point of view. In particular, an extensive Monte Carlo simulation study allows them to compare their methods with some alternative procedures. They conclude that the proposed test provides quite a satisfactory balance between power, computational simplicity, and adaptability to different dimensions and supports.  相似文献   
398.
Reporting sampling errors of survey estimates is a problem that is commonly addressed when compiling a survey report. Because of the vast number of study variables or population characteristics and of interest domains in a survey, it is almost impossible to calculate and to publish the standard errors for each statistic. A way of overcoming such problem would be to estimate indirectly the sampling errors by using generalized variance functions, which define a statistical relationship between the sampling errors and the corresponding estimates. One of the problems with this approach is that the model specification has to be consistent with a roughly constant design effect. If the design effects vary greatly across estimates, as in the case of the Business Surveys, the prediction model is not correctly specified and the least-square estimation is biased. In this paper, we show an extension of the generalized variance functions, which address the above problems, which could be used in contexts similar to those encountered in Business Surveys. The proposed method has been applied to the Italian Structural Business Statistics Survey case.  相似文献   
399.
Resumen

Este estudio se dirige a contrastar las diferencias en el comportamiento adaptativo de los sujetos retrasados que son producto de los diferentes contextos en los que éste es emitido. En este caso, el contexto se entiende como los aspectos físicos y sociales del lugar en el que inmediatamente se produce la conducta. Esta perspectiva molecular del contexto ha permitido detectar diferencias en el comportamiento adaptativo en términos de lenguaje receptivo y lenguaje expresivo. La muestra utilizada fueron 71 sujetos evaluados a través del West Virginia assessment and tracking system.  相似文献   
400.
A test for the hypothesis of uniformity on a support S⊂ℝ d is proposed. It is based on the use of multivariate spacings as those studied in Janson (Ann. Probab. 15:274–280, 1987). As a novel aspect, this test can be adapted to the case that the support S is unknown, provided that it fulfils the shape condition of λ-convexity. The consistency properties of this test are analyzed and its performance is checked through a small simulation study. The numerical problems involved in the practical calculation of the maximal spacing (which is required to obtain the test statistic) are also discussed in some detail.  相似文献   
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