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991.
Information on several auxiliary variables correlated with the variable under study is available in most of the sample survey studies. This paper attempts an optimal use of several auxiliary variables in the form of a single auxiliary variable obtained as a linear function of these variables. The performance of this condensed auxiliary variable has been studied in selecting the sample. 相似文献
992.
New bounds are obtained for the variance of the minimum variance unbiased estimator of p i n inverse sampling. A generalized procedure for further improving the bounds is also discussed. 相似文献
993.
994.
H. J. Khamiss 《统计学通讯:理论与方法》2013,42(23):2723-2752
This paper addresses the problem of analyzing a three-way contingency table that is upper-triangular, and a priori symmetric within layers. The log-linear model is modified to handle this kind of table, and maximum likelihood estimation is carried out for the modified log-linear model. This leads to an expression of the maximum likelihood estimates exclusively in terms of the observed cell counts. It is skin this analysis is equivalent to an application of the gone log-linear model to an artificially complete table, obtain. by splitting the off-diagonal cells in half within layers. This analysis is used in analyzing the results of a study done to determine the effect of the sex-linked dwarfing gene in male chickens on resistance to E. coli infection; the conclusion differs from that of a previous analysis of the same data (see Norwood and Hinkelmann 1978). It is found, in fact, that the structure of association among the two allele variables and the disease variable is somewhat more complex than previously proposed. A second example is taken from Ishii (1960). Finally, collapsibility conditions for the modified log-linear model, as well as various other sampling plans and limitations to the testing procedure, are discussed. 相似文献
995.
Lawrence L. Kupper Joseph M. Janis Ibrahim A. Salama Carl N. Yoshizawa Bernard G. Greenberg H. H. Winsborough 《统计学通讯:理论与方法》2013,42(23):201-217
This paper discusses the specific problems of age-period-cohort (A-P-C) analysis within the general framework of interaction assessment for two-way cross-classified data with one observation per cell. The A-P-C multiple classification model containing the effects of age groups (rows), periods of observation (columns), and birth cohorts (diagonals of the two-way table) is characterized as one of a special class of models involving interaction terms assumed to have very specific forms. The so-called A-P-C identification problem, which results from the use of a particular interaction structure for detecting cohort effects, is shown to manifest itself in the form of an exact linear dependency among the columns of the design matrix. The precise relationship holding among these columns is derived, as is an explicit formula for the bias in the parameter estimates resulting from an incorrect specification of an assumed restriction on the parameters required to solve the normal equations. Current methods for modeling A-P-C data are critically reviewed, an illustrative numerical example is presented, and one potentially promising analysis strategy is discussed. However, gien the large number of possible sources for error in A-P-C analyses, it is strongly recommended that the results of such analyses be interpreted with a great deal of caution. 相似文献
996.
Statistics are developed for predicting the effect of data transformations on the F statistic when the assumptions of homoscedasticity and normality underlying the AN OVA are not necessarily satisfied. These statistics are useful for determining whether and how to transform, They are developed by partitioning the change in the observed value of the jF-statistic under the transformation, into two expressions, one of which depends on the "truth" of HQ while the other does not. Using this partition, desirable properties are derived for transformations. Criteria are developed defining transformations which tend to preserve the type 1 error while increasing power when needed. Using these criteria, the notion of model robustness is introduced. It is shown that the Box-Cox methodology for selecting a power transform may, under certain conditions, produce a transformation which does not permit inferences to be made about the parent population from the transformed population. An alternative approach suggested here does permit such inferences. 相似文献
997.
In this paper, the beta-binomial model is introduced as a Markov chain. It is shown that the correlated binomial model of Kupper and Haseman (1978) is identical to the additive binomial model of AItham(1978) and both are a first order approximation of the beta-binomial model. For small γ, the local efficiency of the moment estimators for the mean ρ and the extra-binomial variation γ is examined analytically. It is shown that, locally, the moment estimator for p is efficient up to the second order of y. Exact formulae for the relative efficiency are obtained for both the cases with γ known and unknown. Generalization to the unequal sample size case is also carried out. In particular, the gain in efficiency by using the quasi-likelihood estimator instead of the ratio estimator for p is studied when γ is known. These results are in agreement with the Monte Carlo results of Kleinman(1973) and Crowder(1985). 相似文献
998.
We study the effects of the inclusion of pairs of correlated observations in a sample on likelihood ratio tests for the difference in two means. In particular, we assess how the inclusion of correlated data pairs (e.g., such as data inadvertently collected from sib-pairs) affects the sample size requirements necessary for the implementation of a Likelihood Ratio (LR) test for the difference between two means. Our results suggest that correlated data pairs beneficially or adversely effect sample size requirements for an LR test to a degree functionally related to the mixture parameters dictating their relative frequencies in the larger sample on which the test will be performed, the strength of the correlation between the observations, and the size of imbalances in the sample with respect to the number of observations in each group. The relevance and implications of the results for genetic and epidemiologic research are discussed. 相似文献
999.
A pivotal quantity for a capture-recapture model is introduced and used to construct an asymptotic confidence region for (ε,N), where ε is the capture efficiency and N is the population size. The true confidence levels of certain regions are obtained by simulation. Certain confidence regions for (ε,N) are drawn to show the size of the regions and to show how confidence limits for N depend on ε. 相似文献
1000.