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   4885篇
  免费   101篇
管理学   606篇
民族学   33篇
人才学   1篇
人口学   469篇
丛书文集   35篇
理论方法论   491篇
综合类   24篇
社会学   2773篇
统计学   554篇
  2023年   52篇
  2021年   27篇
  2020年   67篇
  2019年   88篇
  2018年   103篇
  2017年   133篇
  2016年   113篇
  2015年   100篇
  2014年   132篇
  2013年   1471篇
  2012年   110篇
  2011年   144篇
  2010年   104篇
  2009年   83篇
  2008年   120篇
  2007年   118篇
  2006年   93篇
  2005年   105篇
  2004年   94篇
  2003年   90篇
  2002年   119篇
  2001年   89篇
  2000年   87篇
  1999年   70篇
  1998年   62篇
  1997年   61篇
  1996年   52篇
  1995年   66篇
  1994年   67篇
  1993年   58篇
  1992年   55篇
  1991年   60篇
  1990年   45篇
  1989年   42篇
  1988年   64篇
  1987年   59篇
  1986年   28篇
  1985年   42篇
  1984年   48篇
  1983年   57篇
  1982年   34篇
  1981年   42篇
  1980年   33篇
  1979年   37篇
  1978年   43篇
  1977年   33篇
  1976年   35篇
  1975年   29篇
  1974年   18篇
  1972年   18篇
排序方式: 共有4986条查询结果,搜索用时 0 毫秒
991.
This paper studies a dynamic model of perfectly competitive price posting under demand uncertainty. Firms must produce output in advance. After observing aggregate sales in prior periods, firms post prices for their unsold output. In each period, the demand of a new batch of consumers is randomly activated. Existing customers who have not yet bought and then new customers arrive at the market in random order, observe the posted prices, and either purchase at the lowest available price or delay their purchase decision. We construct a sequential equilibrium in which the output produced and its allocation across consumers is efficient. Thus consumers endogenously sort themselves efficiently, with the highest valuations purchasing first. Transaction prices in each period rise continuously, as firms become more optimistic about demand, followed by a market correction. By the last period, prices are market clearing.  相似文献   
992.
This paper examines the tendency towards income convergence among China's main provinces during the two periods: the pre-reform period 1953-1977 and the reform period 1978-1997 using the framework of the Solow growth model. The panel data method accounts for not only province-specific initial technology level but also the heterogeneity of the technological progress rate between the fast-growing coastal and interior provinces. Estimation problems of weak instruments and endogeneity are addressed by the use of a system generalized method of moments (GMM) estimator. The main empirical finding is that there is a system-wide income divergence during the reform period because the coastal provinces do not share a common technology progress rate with the interior provinces.  相似文献   
993.
Bayesian Measures of the Minimum Detectable Concentration of an Immunoassay   总被引:1,自引:0,他引:1  
The minimum detectable concentration (MDC) is one of the most important properties of an assay. It is a statement about the smallest physical quantity an assay can reliably measure, and is used in assay design and quality control assessments. A plethora of measures of the MDC have been reported in a widely scattered literature. Many of these were developed at a time when accuracy and relevance had to be sacrificed for computational feasibility. This paper identifies limitations of existing measures and demonstrates how Bayesian inference may be used to overcome these limitations. Several new measures of the MDC are developed. These are conceptually simpler than existing measures, and are free of analytical approximations. The recent advances in Bayesian computation make them efficient to evaluate. A procedure developed in this paper measures the difference in the quality of two assays and shows that the new Bayesian measures perform better than existing measures.  相似文献   
994.
Intersection matrices help identify the common graphical structure of two or more objects. They arise naturally in a variety of settings. Several examples of their use in a computer algebra environment are given. These include: simplifying an expression involving array products, automating cumulant calculations, determining the behaviour of an expected value operator and identifying model hierarchy in a factorial experiment. The emphasis is placed on the graphical structure, and the symmetry of arrays help reduce the complexity of the graphical problem.  相似文献   
995.
The authors develop a methodology for predicting unobserved values in a conditionally lognormal random spatial field like those commonly encountered in environmental risk analysis. These unobserved values are of two types. The first come from spatial locations where the field has never been monitored, the second, from currently monitored sites which have been only recently installed. Thus the monitoring data exhibit a monotone pattern, resembling a staircase whose highest step comes from the oldest monitoring sites. The authors propose a hierarchical Bayesian approach using the lognormal sampling distribution, in conjunction with a conjugate generalized Wishart distribution. This prior distribution allows different degrees of freedom to be fitted for individual steps, taking into account the differential amounts of information available from sites at the different steps in the staircase. The resulting hierarchical model is a predictive distribution for the unobserved values of the field. The method is demonstrated by application to the ambient ozone field for the southwestern region of British Columbia.  相似文献   
996.
We introduce health technology assessment and evidence synthesis briefly, and then concentrate on the statistical approaches used for conducting network meta-analysis (NMA) in the development and approval of new health technologies. NMA is an extension of standard meta-analysis where indirect as well as direct information is combined and can be seen as similar to the analysis of incomplete-block designs. We illustrate it with an example involving three treatments, using fixed-effects and random-effects models, and using frequentist and Bayesian approaches. As most statisticians in the pharmaceutical industry are familiar with SAS? software for analyzing clinical trials, we provide example code for each of the methods we illustrate. One issue that has been overlooked in the literature is the choice of constraints applied to random effects, and we show how this affects the estimates and standard errors and propose a symmetric set of constraints that is equivalent to most current practice. Finally, we discuss the role of statisticians in planning and carrying out NMAs and the strategy for dealing with important issues such as heterogeneity.  相似文献   
997.
Software which allows interactive exploration of graphical displays is widely available. In addition there now exist sophisticated authoring tools which allow more general textual and graphical material to be presented in computer-based form. The role of an authoring tool in providing a graphical interface to a strategy for solving simple statistical problems in the context of teaching is discussed. This interface allows a variety of resources to be integrated. Specific examples, including the use of dynamic graphical displays in exploring data and in communicating the meaning of a model, are proposed. These ideas are illustrated by a problem involving the identification of the sex of a herring gull.  相似文献   
998.
Bayesian Multivariate Spatial Interpolation with Data Missing by Design   总被引:1,自引:0,他引:1  
In a network of s g sites, responses like levels of airborne pollutant concentrations may be monitored over time. The sites need not all measure the same set of response items and unmeasured items are considered as data missing by design . We propose a hierarchical Bayesian approach to interpolate the levels of, say, k responses at s u other locations called ungauged sites and also the unmeasured levels of the k responses at the gauged sites. Our method involves two steps. First, when all hyperparameters are assumed to be known, a predictive distribution is derived. In turn, an interpolator, its variance and a simultaneous interpolation region are obtained. In step two, we propose the use of an empirical Bayesian approach to estimate the hyperparameters through an EM algorithm. We base our theory on a linear Gaussian model and the relationship between a multivariate normal and matrix T -distribution. Our theory allows us to pool data from several existing networks that measure different subsets of response items for interpolation.  相似文献   
999.
This paper introduces and applies an EM algorithm for the maximum-likelihood estimation of a latent class version of the grouped-data regression model. This new model is applied to examine the effects of college athletic participation of females on incomes. No evidence for an “athlete” effect in the case of females has been found in the previous work by Long and Caudill [12], Henderson et al. [10], and Caudill and Long [5]. Our study is the first to find evidence of a lower wage for female athletes. This effect is present in a regime characterizing 42% of the sample. Further analysis indicates that female athletes in many otherwise low-paying jobs actually get paid less than non-athletes.  相似文献   
1000.
Although self psychology and cognitive treatment appear, on the surface, to represent diametrically-opposed models of treatment, they can be integrated in clinical social work treatment. A theoretical framework for this integration is presented. Adapting self psychology treatment through the use of cognitive techniques may allow clinicians to help clients with narcissistic disorders within the framework of shorter-term, less-intensive treatment which is increasingly required by programs and reimbursement sources.  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