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121.
Many studies have used Richins and Dawson’s (J Consum Res 19: 303–316, 1992) Material Values Scale (MVS), applying it to different types of populations that exhibit a particular psychometric behavior, and showing little stability in their factorial structure. In the present study, 1,070 pedagogy students from the northern, central and southern regions of Chile answered the MVS. This sample was randomly divided in two. Using the first sub-sample (N = 539), an exploratory factorial analysis was carried out, from which a structure of nine items was grouped into two factors called “Social Success” and “Personal Happiness”, which presented adequate reliability. Later, with the second sub-sample (N = 531), the factorial structure indicated above was put to the test through a confirmatory factorial analysis. The data from the model show that the scale contains 8 items in total, grouped into two dimensions. The factorial loads are significant at the level of 1 %, which indicates that the 2-factor structure can be confirmed. Finally—using the proposed structure—the presence of the students’ material values was evaluated.  相似文献   
122.
The Protestant work ethic (PWE), the belief that hard work leads to success, is a quintessentially American belief. The present research addresses a critical gap in psychological research on PWE: can a single, large-scale sociopolitical event (government's response to Hurricane Katrina) produce changes in PWE? We review evidence showing that the salience of Katrina led to a reduction in African Americans' (not European Americans') endorsement of PWE and that this result appears explained by African Americans' greater belief in the government's inadequate response to Katrina victims, who were predominately African American. The implications of differential endorsement of PWE for future expectations of societal treatment, motivation to pursue important goals, and willingness to endorse structural corrections of inequality are discussed.  相似文献   
123.
Hartigan (1975) defines the number q of clusters in a d ‐variate statistical population as the number of connected components of the set {f > c}, where f denotes the underlying density function on Rd and c is a given constant. Some usual cluster algorithms treat q as an input which must be given in advance. The authors propose a method for estimating this parameter which is based on the computation of the number of connected components of an estimate of {f > c}. This set estimator is constructed as a union of balls with centres at an appropriate subsample which is selected via a nonparametric density estimator of f. The asymptotic behaviour of the proposed method is analyzed. A simulation study and an example with real data are also included.  相似文献   
124.
The concept of ecosystem goods and services is increasingly used to describe how biodiversity and ecosystems are linked to human well-being and that it should be placed at the core of sustainable urban development. Predictions of a tremendous future increase of urbanization in Africa necessitate an investigation into the research on ecosystem goods and services in the urban green infrastructure of Africa. Ecosystem goods and services (ES) are described as the benefits humans derive directly or indirectly from ecosystem functions and are classified as supporting, provisioning, regulating and cultural services. A literature study focusing on journal papers was conducted. Additionally a case study based on two masters studies was further refined. ES studies in African cities are biased towards South Africa and include assessments and economic valuations in which several different methods were used to determine direct consumptive and non-consumptive and indirect use values. Emphasis was placed on the multifunctional nature of ES. The main objectives of these studies were to sensitize policy makers, planners and the general public about the importance of biodiversity and ES. Ecosystem-based adaptation is discussed as the most appropriate approach in terms of applying knowledge about ES and their values in African cities as many residents still rely on ES from natural areas, but the major ecological, economic and political challenges are acknowledged. A case study focusing on domestic gardens (private green spaces) have indicated that the demand and supply of certain ES differ along a socio-economic gradient due to poor service delivery and smaller plots in the poorer areas mainly due to the legacy of separate development of the past. Where provisioning services are mainly outsourced in cities, it was found that plant species useful as food, medicine, etc. were more frequent in the gardens of poorer residents than in those of more affluent areas. The tendency to pay more for residential properties close to public open spaces, as in Europe, could not be statistically proven in the more affluent areas of a South African city, although the property values in proximity of public open spaces in some of the areas studied were lower than further away.  相似文献   
125.
A hierarchy of Lorenz curves based on the generalized Tukey's Lambda distribution is proposed. Representations of the corresponding distribution and density function are also provided, together with popular inequality measures. Estimation methods are suggested. Finally, a comparison with other parametric families of Lorenz curves is established.  相似文献   
126.
Two measures of dependence for multivariate t and Cauchy random variables are developed based on Kullback–Leibler number. The mutual information number T(X) is obtained in a closed expression form, as well as its asymptotic distribution. A dependence coefficient ρ1, is defined (based on the Kullback–Leibler number) with the properties of ρ1=0 indicating independence and ρ1=1indicating degeneracy. Two real life examples from the stock market are used to analyze the level of dependence and correlation among stocks.  相似文献   
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129.
Mimetic contagion and speculative bubbles   总被引:5,自引:0,他引:5  
Conclusion The present essay has focused on specularity as a type of intersubjectivitywithin self-referential systems. We have stressed the self-organizationaldimension of specular processes, which lead to the emergenceof collective objects around which the group structures itself. Rationalbubbles, sunspots, and conventions provided us with examples of thiskind of self-organization within self-referential groups. It seems thatwe have here a theoretical schema that can account for numeroussocial institutions. Such is the case with money, which the overlappinggenerations model shows to belong to the same problematic. We haveobserved that individual and collective representations play an essentialrole in the definition of specular dynamics. In fact, giving thecollectivity a means of interpreting and understanding the natural andsocial environment is a crucial function of these representations. Inspite of its great importance, this cognitive dimension of collectiverepresentations has hardly been explored in previous theorizing. Wehave given priority to a specific form of specularity, namely, mimetism,which is in our view at the very heart of financial processes. Far frombeing the aberration that traditional approaches deem it to be, imita-tion is one of the most important types of rationality in situations ofuncertain and in situations where the agents' outcomes are highlyinterdependent. Our central hypothesis amounts to considering thatthe emergence of speculative bubbles on various kinds of markets canbe explained in terms of mimetic dynamics. Should this hypothesis beconfirmed, it would be possible to account for a phenomenon that isoften observed, namely, the link between bubbles and a decrease inthe diversity of opinion on the market. In our approach, conventionsare taken to be the outcome of a mimetic process. Conventions are thesocial objects created by a unanimous mimetic polarization.  相似文献   
130.
In this paper, the most general bivariate distribution with lognormal conditionals is fully characterized, using the methodology proposed by [3]. The properties of the new family are studied in detail, including marginal and conditional distributions, regression functions, dependence measures, moments and inequality measures. The new distribution is very broad, and contains as a particular case the classical bivariate lognormal distribution. Several subfamilies are studied and a generalization of the basic model is discussed. Finally, we present an empirical application. We estimate and compare the basic model proposed in the paper with a classical model, using data from the European Community Household Panel in different periods of time.  相似文献   
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