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This paper is based on the assumption that divorced and separated individuals bring with them the experience of a failed union which may shape their future choices on the marriage market. It aims to contribute to our knowledge of intermarriage, and social interaction in Sweden in general, by comparing the repartnering choices of immigrants and natives in Sweden who had made what is still considered an atypical choice of entering a native-immigrant union with the partner choices of natives and immigrants whose previous union was endogamous. The empirical analysis in this paper is based on the Swedish register data from the STAR data collection (Sweden over Time: Activities and Relations) and covers the period 1990–2007. All the analyses in the paper include individuals aged 20–55 at the time of union dissolution. The multivariate analysis is based on discrete-time multinomial logistic regression. The results show that for all four groups defined by sex and nativity (native men, native women, immigrant men, and immigrant women), there is a positive association between the previous experience of intermarriage and the likelihood of initiating another intermarriage after union dissolution. Another important finding is that the magnitude of this positive association increases with the degree of social distance between the groups involved in the union. Gender differences are modest among natives and somewhat more pronounced among immigrants.  相似文献   
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The ongoing empirical debate about whether SRI is associated, if anything, with subpar or surpassing financial performance is characterized by a somewhat indistinct focus and the infeasibility of tapping the full potential of existing models. By indistinct focus, we mean an analysis based on an aggregation of a myriad of SRI factors that potentially affect a firm’s financial performance. The inability of taking full advantage of existing models is reflected by the fact that studies with European data have not been able to comprehensively account for systematic risk tilts. This paper presents a portfolio analysis that overcomes these issues by analyzing a distinct selection of small and innovative firms. We argue that both their strategic implementation of Corporate Social Responsibility and the general growth in socially responsible investments (SRI) lend themselves to an explanation for positive abnormal returns of this portfolio. We account for the idiosyncratic investment style of SRI by introducing a comprehensive pan-European risk-adjusted portfolio analysis based on the Carhart four-factor model. A novel propensity score matching method in conjunction with the estimation of structural models completes the conventional robustness checks in the literature.  相似文献   
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The generalized skew-normal distribution introduced by Balakrishnan (2002 Balakrishnan , N. ( 2002 ). Discussion on ‘Skew multivariate models related to hidden truncation and/or selective reporting’ by B. C. Arnold and R. J. Beaver . Test 11 : 3739 .[Web of Science ®] [Google Scholar]) is used to obtain new generalizations of univariate Cauchy distribution with two parameters, denoted by GC m, n (a, b) with m and n non-negative integer numbers and a, b ∈ R. For cases (m, n) = (1, 2), (m, n) = (2, 1), (m, n) = (0, 3) and (m, n) = (3, 0) explicit forms of the density functions are derived and compared to previous generalizations of Cauchy and skew-Cauchy distributions.  相似文献   
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The present study examined indirect over-time relations between parenting and adolescent sexuality through global self-esteem. Three waves of online questionnaire data were collected among a community sample of 1,116 Dutch adolescents (M = 13.9 years at baseline). Participants rated the quality of their relationship with parents, their global self-esteem, and their experience with various sexual behaviors. Sexually experienced adolescents (n = 168) evaluated their sexual experiences using six emotions. Path model results showed that a higher-quality relationship with parents at T1 predicted higher levels of self-esteem at T2, which in turn predicted less experience with sexual behaviors and more positive sexual emotions at T3. The indirect over-time path from relationship quality through self-esteem to adolescents’ sexual emotions was significant; the indirect path to adolescents’ experience with sexual behaviors was not significant at the .05 level. No significant age or gender differences were found in the path models. The findings indicate that self-esteem plays an important role in adolescent sexuality and that parents can contribute to positive sexual experiences of adolescents indirectly—through the enhancement of self-esteem—by fostering a high-quality relationship with their children. Implications for theory, future research, and strategies to promote healthy and positive youth sexuality are discussed.  相似文献   
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The present study investigated the relationship between psychopathic traits, risk-taking tendencies and gambling problem severity and if these associations varied by gender in a community sample of Croatian adolescents (N = 282; 148 males). Results of the regression analyses showed that the Impulsive-Irresponsible behavioural style (YPI-II) and the Grandiose-Manipulative interpersonal style (YPI-GM) were the strongest postdictors of gambling-related problems. Surprisingly, independently of the YPI-II dimension, the Callous-Unemotional traits were negatively associated to gambling-related problems. By, contrast, independently of the psychopathic traits, risk-tendencies were not significant postdictors of gambling problem severity. With respect to gender differences, higher levels of the YPI-II and YPI-GM dimensions were related to more severe gambling-related problems only in males, not in females. Furthermore, while the CU traits exhibited protective features against gambling-related problems in both genders, the effect was stronger for males than for females.  相似文献   
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Consider the following problem. There are exactly two defective (unknown) elements in the set X={x1, x2,…,xn}, all possibilities occuring with equal probabilities. We want to identify the unknown (defective) elements by testing some subsets A of X, and for each such set A determining whether A contains any of them. The test on an individual subset A informs us that either all elements of the tested set A are good, or that at least one of them is defective (but we do not know which ones or how many). A set containing at least one defective element is said to be defective. Our aim is to minimize the maximal number of tests. For the optimal strategy, let the maximal test length be denoted by l2(n). We obtain the value of this function for an infinite sequence of values of n.  相似文献   
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