首页 | 本学科首页   官方微博 | 高级检索  
文章检索
  按 检索   检索词:      
出版年份:   被引次数:   他引次数: 提示:输入*表示无穷大
  收费全文   5625篇
  免费   71篇
管理学   797篇
民族学   28篇
人口学   543篇
丛书文集   20篇
教育普及   1篇
理论方法论   537篇
综合类   62篇
社会学   2572篇
统计学   1136篇
  2023年   46篇
  2021年   56篇
  2020年   110篇
  2019年   141篇
  2018年   140篇
  2017年   214篇
  2016年   153篇
  2015年   92篇
  2014年   153篇
  2013年   861篇
  2012年   177篇
  2011年   161篇
  2010年   134篇
  2009年   121篇
  2008年   149篇
  2007年   138篇
  2006年   159篇
  2005年   117篇
  2004年   118篇
  2003年   85篇
  2002年   109篇
  2001年   136篇
  2000年   128篇
  1999年   136篇
  1998年   106篇
  1997年   90篇
  1996年   94篇
  1995年   71篇
  1994年   67篇
  1993年   91篇
  1992年   90篇
  1991年   101篇
  1990年   79篇
  1989年   81篇
  1988年   62篇
  1987年   68篇
  1986年   65篇
  1985年   78篇
  1984年   70篇
  1983年   71篇
  1982年   46篇
  1981年   40篇
  1980年   41篇
  1979年   49篇
  1978年   43篇
  1977年   36篇
  1976年   37篇
  1975年   34篇
  1974年   40篇
  1973年   30篇
排序方式: 共有5696条查询结果,搜索用时 15 毫秒
121.
122.
123.
Two standard mixed models with interactions are discussed. When each is viewed in the context of superpopulation models, the mixed models controversy is resolved. The tests suggested by the expected mean squares under the constrained-parameters model are correct for testing the main effects and interactions under both the unconstrained-and constrained-parameters models.  相似文献   
124.
k-POD: A Method for k-Means Clustering of Missing Data   总被引:1,自引:0,他引:1  
The k-means algorithm is often used in clustering applications but its usage requires a complete data matrix. Missing data, however, are common in many applications. Mainstream approaches to clustering missing data reduce the missing data problem to a complete data formulation through either deletion or imputation but these solutions may incur significant costs. Our k-POD method presents a simple extension of k-means clustering for missing data that works even when the missingness mechanism is unknown, when external information is unavailable, and when there is significant missingness in the data.

[Received November 2014. Revised August 2015.]  相似文献   
125.
Two families of parameter estimation procedures for the stable laws based on a variant of the characteristic function are provided. The methodology which produces viable computational procedures for the stable laws is generally applicable to other families of distributions across a variety of settings. Both families of procedures may be described as a modified weighted chi-squared minimization procedure, and both explicitly take account of constraints on the parameter space. Influence func-tions for and efficiencies of the estimators are given. If x1, x2, …xn random sample from an unknown distribution F , a method for determining the stable law to which F is attracted is developed. Procedures for regression and autoregres-sion with stable error structure are provided. A number of examples are given.  相似文献   
126.
It is shown how to use fractional replication in simulation studies. Examples are given. Considerable savings in number of runs required can be achieved through the use of fractional replication ideas.  相似文献   
127.
A three-parameter F approximation to the distribution of a positive linear combination of central chi-squared variables is described. It is about as easy to implement as the Satterthwaite-Welsh and Hall-Buckley-Eagleson approximations. Some reassuring properties of the F approximation are derived, and numerical results are presented. The numerical results indicate that the new approximation is superior to the Satterthwaite approximation and, for some purposes, better than the Hall-Buckley-Eagleson approximation. It is not quite as good as the Gamma-Weibull approximation due to Solomon and Stephens, but is easier to implement because iterative methods are not required.  相似文献   
128.
We establish the exact expressions of X1/X2 and of X1/(X1+X2), where X1 and X2 are independent beta random variables of the first type, and provide some of their applications, in reliability and availability.  相似文献   
129.
130.
This paper deals with the problem of selecting the “best” population from a given number of populations in a decision theoretic framework. The class of selection rules considered is based on a suitable partition of the sample space. A selection rule is given which is shown to have certain optimum properties among the selection rules in the given class for a mal rules are known.  相似文献   
设为首页 | 免责声明 | 关于勤云 | 加入收藏

Copyright©北京勤云科技发展有限公司  京ICP备09084417号