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21.
This paper develops a new methodology to compute social cost of living indices. These indices indicate whether or not price changes have a favourable (or unfavourable) impact on the welfare of the poor. The indices are derived on the basis of two alternative classes of social welfare functions. The methodology developed in the paper is applied to compute social cost of living indices for Thailand and Korea. The empirical results show that changes in prices have generally affected the poor more adversely than the non-poor. 相似文献
22.
Hyun Suk Lee 《Revue canadienne de statistique》1996,24(3):319-326
This article is about the statistical analysis of overdispersed paired count data for comparing two treatments. The data consist of the number of events obtained in a stratum during the fixed observation period. Three types of model are discussed: the Poisson, a mixed, and a semiparametric model. Overdispersion is represented in the last two models but not in the Poisson model. Of particular interests are to examine whether there is any loss of efficiency in using the estimate of the treatment effect obtained under other two models if the mixed model is true, and also whether overdispersion leads to a larger variance of the estimate than that expected from the Poisson model. It is shown that all three models provide the same estimate of the treatment effect (i.e., there is no loss of efficiency) and that the variance of the estimate of the treatment effect obtained under the Poisson model is the same as that based on the mixed model. However, the semiparametric model provides the variance of the estimate larger than those obtained under the other two models. 相似文献
23.
Minwoo Chae Rafael Weißbach Kwang Hyun Cho Yongdai Kim 《Journal of the Korean Statistical Society》2013,42(3):313-321
In this paper, we propose a mixture of beta–Dirichlet processes as a nonparametric prior for the cumulative intensity functions of a Markov process. This family of priors is a natural extension of a mixture of Dirichlet processes or a mixture of beta processes which are devised to compromise advantages of parametric and nonparametric approaches. They give most of their prior mass to the small neighborhood of a specific parametric model. We show that a mixture of beta–Dirichlet processes prior is conjugate with Markov processes. Formulas for computing the posterior distribution are derived. Finally, results of analyzing credit history data are given. 相似文献
24.
25.
When the individual measurements are statistically independent, the maximum likelihood estimator calculated at the end of a sequential procedure overestimates the underlying effect. There are many clinical trials in which we are interested in comparing changes in responses between two treatment groups sequentially. Lee and DeMets (1991, JASA 86, 757–762) proposed a group sequential method for comparing rates of change when a response variable is measured for eaeh patient at successive follow-up visits. They assumed that the response follows the linear mixed effects model and derived the asymptotic joint distribution of the sequentially computed statistics. In this article, we consider the maximum likelihood estimator (MLE), the median unbiased estimator (MUE) and the midpoint of a 100(1-α)% confidence interval as point estimators for the rate of change in the linear mixed effects model, and investigate their properties by Monte Carlo simulation. 相似文献
26.
The evidence‐based policymaking relies on the use and robustness of the available data. Many conceptual and operational difficulties restrict this process, not least in making use of evidence to identify policy priorities. The Active Ageing Index (AAI), developed originally for the 28 European Union countries, offers a strong motivation in this respect. This paper reports on the development of the AAI for Korea, a country where speed and level of population aging is among the highest in the world. Drawing on the comparative analysis of the AAI results for Korea, China, and European countries, we find that Korea's AAI (35.3) is higher than the average of the AAI for all EU countries (33.9) but lower than China (37.3). Fitting Korea into the overall ranking with the EU countries and China (ranked 7), Korea is ranked 11, just behind Germany (10). The AAI results in Korea show that the employment domain performs extremely well compared with the EU countries, but other domains, especially “Social participation” and “Independent, healthy and secure living,” are achieving less favorable outcomes. High employment among the current cohorts of older workers in Korea can be attributed largely to the constraints of low pension income status. 相似文献
27.
金荣哉 《辽东学院学报(社会科学版)》2005,7(1):33-38
本文作者以其个人观点和视角,表述了朝鲜半岛南北双方经济合作的现状,就如何推进半岛南北交流合作作了相应阐释,其目的是探求保障韩国国家利益和半岛长远利益的最佳方法。 相似文献
28.
In many toxicological assays, interactions between primary and secondary effects may cause a downturn in mean responses at high doses. In this situation, the typical monotonicity assumption is invalid and may be quite misleading. Prior literature addresses the analysis of response functions with a downturn, but so far as we know, this paper initiates the study of experimental design for this situation. A growth model is combined with a death model to allow for the downturn in mean doses. Several different objective functions are studied. When the number of treatments equals the number of parameters, Fisher information is found to be independent of the model of the treatment means and on the magnitudes of the treatments. In general, A- and DA-optimal weights for estimating adjacent mean differences are found analytically for a simple model and numerically for a biologically motivated model. Results on c-optimality are also obtained for estimating the peak dose and the EC50 (the treatment with response half way between the control and the peak response on the increasing portion of the response function). Finally, when interest lies only in the increasing portion of the response function, we propose composite D-optimal designs. 相似文献
29.
Hyun‐cheol Paul Choi James D. Blocher Srinagesh Gavirneni 《Production and Operations Management》2008,17(6):614-625
New developments in corporate information technology such as enterprise resource planning systems have significantly increased the flow of information among members of supply chains. However, the benefits of sharing information can vary depending on the supply chain structure and its operational characteristics. Most of the existing research has studied the impact of sharing downstream information (e.g., a manufacturer sharing information with its suppliers). We evaluate the benefits of sharing upstream yield information (e.g., a supplier sharing information with the manufacturer) in a two‐stage serial supply chain in which the supplier has multiple internal processes and is faced with uncertain output due to yield losses. We are interested in determining when the sharing of the supplier's information is most beneficial to the manufacturer. After proposing an order‐up‐to type heuristic policy, we perform a detailed computational study and observe that this information is most beneficial when the supplier's yield variance is high and when end‐customer demand variance is low. We also find that the manufacturer's backorder‐to‐holding cost ratio has little, if any, impact on the usefulness of information. 相似文献
30.
No-constant strategy is considered for the heterogenous autoregressive (HAR) model of Corsi, which is motivated by smaller biases of its estimated HAR coefficients than those of the constant HAR model. The no-constant model produces better forecasts than the constant model for four real datasets of the realized volatilities (RVs) of some major assets. Robustness of forecast improvement is verified for other functions of realized variance and log RV and for the extended datasets of all 20 RVs of Oxford-Man realized library. A Monte Carlo simulation also reveals improved forecasts for some historic HAR model estimated by Corsi. 相似文献