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301.
语言主观性问题主要涉及言语交际时说话人的态度等主观因素.基于认知语言学理论,强化副词逐渐成为关注内涵主观性方面学者的焦点,原因是该类副词在使用时往往关联人的因素.本文通过分析几个具有代表性的强化副词的主观化路径,尝试总结该词类由一般性副词到具备内在主观性的演化过程,从而揭示其对语言使用者——人的主观因素的反应机制.  相似文献   
302.
The sedentary bias that characterizes discourses on migrations from and within the Global South has failed to inform a consistent exploration of international migration from and among global southern countries as normal, desirable and impactful to migrants and their social networks at different spatial levels. Migration-development nexus analyses are predominantly framed around Global South-Global North migration episodes whereby cash and social remittances from the North to the South are expected to trigger development in poorer global southern origin countries. This approach neglects the possibility of similar outcomes accruing from south-south migrations. Drawing on qualitative research methods among Ghanaian migrants to China, our paper addresses the question how does south-south migration affect livelihoods and wealth inequality? We argue that blunt global categorizations such as “Global South” and “Global North” only serve to obfuscate what is a rather heterogenous bunch of countries, with divergent opportunities for migrants. We recommend that greater focus should be on the contextual factors at the origin and destination, the quality of return preparedness and the human capital of the migrants rather than an arbitrary clustering around a binary Global South-Global North trajectory as though they are internally homogenous. We conclude that there is heterogeneity in the effects of south-south migration on household livelihoods and wealth inequalities.  相似文献   
303.
作为高等教育的组织者和实施者,高等学校应牢固树立以提高质量为核心的教育质量观,着力构建和不断完善内部质量保障体系。文章选取“211工程”高校作为研究对象,从顶层设计、核心内容、坚实保证、有效抓手入手,围绕办学定位、办学特色、办学条件、人才培养模式、优质资源整合、制度建设、文化建设等内容,提出了一系列旨在健全和完善高校内部质量保障体系的重要举措。  相似文献   
304.
中国的农村有许多种分类,而城郊农村属于其中的一种,具有特殊性。重庆市东风村地处城市边缘,属于典型的城郊农村。通过实地调研发现,该村庄在乡村治理过程中存在着一些问题,主要集中在治理主体和经济建设方面。这些问题的存在和完善思路对中国城郊乡村问题研究将具有启发意义。为响应新农村建设的号召,可以从选拔优秀人才,加快经济文化建设和提高村民素质方面对城郊乡村治理进行完善。  相似文献   
305.
Using the empirical characteristic function, we derive a Cramér-von Mises test for symmetry of the error distribution in a class of nonlinear parametric heteroscedastic models. We study the convergence of the residual-based empirical distribution function. We establish a functional limit theorem for an empirical process of residuals, and investigate the asymptotic null distribution function of our test statistic. A simulation experiment is conducted to evaluate small-sample performances of our test.  相似文献   
306.
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   
307.
A survey of business schools was conducted to obtain information about the current state of the teaching of business statistics to students enrolled in M.B.A. degree programs. The survey was undertaken for and presented at a June 1986 conference on “Making Statistics More Effective in Schools of Business,” held at the University of Chicago's Graduate School of Business. Information was elicited concerning both the required statistics sequence and elective statistics courses for M.B.A. students, as well as computer usage in these courses. This article summarizes the information obtained from the survey.  相似文献   
308.
Based on the insightful work of Olsen (1980 Olsen , R. J. ( 1980 ). A least squares correction for selectivity bias . Econometrica 48 : 18151820 .[Crossref], [Web of Science ®] [Google Scholar]) for the linear context, a generic and unifying framework is developed that affords a simple extension of the classical method of Heckman (1974 Heckman , J. ( 1974 ). Shadow prices, market wages, and labor supply . Econometrica 42 : 679694 .[Crossref], [Web of Science ®] [Google Scholar], 1976 Heckman , J. ( 1976 ). The common structure of statistical models of truncation sample selection and limited dependent variables and a simple estimator for such models . Annals of Economic and Social Measurement 5 : 475492 . [Google Scholar], 1978 Heckman , J. ( 1978 ). Dummy endogenous variables in a simultaneous equation system . Econometrica 46 : 931959 .[Crossref], [Web of Science ®] [Google Scholar], 1979 Heckman , J. ( 1979 ). Sample selection bias as a specification error . Econometrica 47 : 153161 .[Crossref], [Web of Science ®] [Google Scholar]) to a broad class of nonlinear regression models involving endogenous switching and its two most common incarnations, endogenous sample selection and endogenous treatment effects. The approach should be appealing to applied researchers for three reasons. First, econometric applications involving endogenous switching abound. Secondly, the approach requires neither linearity of the regression function nor full parametric specification of the model. It can, in fact, be applied under the minimal parametric assumptions—i.e., specification of only the conditional means of the outcome and switching variables. Finally, it is amenable to relatively straightforward estimation methods. Examples of applications of the method are discussed.  相似文献   
309.
The Statistical Policy Division of the Office of Management and Budget has the overall responsibility for the planning and coordination of U.S. government statistics. The present staff of the Statistical Policy Division is attempting, through an integrated publication entitled “A Framework for Planning U.S. Federal Statistics, 1978–1989,” to state its perspective on necessary developments in the coming years. This article illustrates the character of the Framework materials and outlines the process for public review and comment on this undertaking.  相似文献   
310.
In this paper we consider the issue of constructing retrospective T 2 control chart limits so as to control the overall probability of a false alarm at a specified value. We describe an exact method for constructing the control limits for retrospective examination. We then consider Bonferroni-adjustments to Alt's control limit and to the standard x 2 control limit as alternatives to the exact limit since it is computationally cumbersome to find the exact limit. We present the results of some simulation experiments that are carried out to compare the performance of these control limits. The results indicate that the Bonferroni-adjusted Alt's control limit performs better that the Bonferroni-adjusted x 2 control limit. Furthermore, it appears that the Bonferroni-adjusted Alt's control limit is more than adequate for controlling the overall false alarm probability at a specified value.  相似文献   
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