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91.
Why do some cities have higher or lower crime rates than others? In this study we attempt to answer this fundamental question by identifying the theoretically motivated structural covariates which differentiate U.S. cities with extreme high and low crime rates. We apply discriminant function analysis across comprehensive samples of all U.S. cities with populations of greater than 25 000 in the periods 1960, 1970, and 1980 and then posit four question: are empirical findings from regression-based studies of city crime rates replicated in discriminant studies with extreme rates? Are the covariates that predict high or low crime rates unique to specific time periods? Which covariates are better able to discriminate high or low rates for specific crimes? And are specific covariates distinguishable in crime rate changes across time periods? Among our general findings, it appears that those cities with extreme high (low) crime rates tend to be the largest (smallest), most (least) economically deprived, and most (least) socially disintegrated. Associations with these latter two characteristics appear to have grown stronger over the past three census periods. The theoretical importance of these and other findings uncovered here are discussed and interpreted through Wilson's (1987) notion of concentration effects and social isolation which may have transformed inner-city areas in recent years. 相似文献
92.
Kenneth T. Bogen 《Risk analysis》2008,28(4):1033-1051
The U.S. Environmental Protection Agency (USEPA) guidelines for cancer risk assessment recognize that some chemical carcinogens may have a site-specific mode of action (MOA) involving mutation and cell-killing-induced hyperplasia. The guidelines recommend that for such dual MOA (DMOA) carcinogens, judgment should be used to compare and assess results using separate "linear" (genotoxic) versus "nonlinear" (nongenotoxic) approaches to low-level risk extrapolation. Because the guidelines allow this only when evidence supports reliable risk extrapolation using a validated mechanistic model, they effectively prevent addressing MOA uncertainty when data do not fully validate such a model but otherwise clearly support a DMOA. An adjustment-factor approach is proposed to address this gap, analogous to reference-dose procedures used for classic toxicity endpoints. By this method, even when a "nonlinear" toxicokinetic model cannot be fully validated, the effect of DMOA uncertainty on low-dose risk can be addressed. Application of the proposed approach was illustrated for the case of risk extrapolation from bioassay data on rat nasal tumors induced by chronic lifetime exposure to naphthalene. Bioassay data, toxicokinetic data, and pharmacokinetic analyses were determined to indicate that naphthalene is almost certainly a DMOA carcinogen. Plausibility bounds on rat-tumor-type-specific DMOA-related uncertainty were obtained using a mechanistic two-stage cancer risk model adapted to reflect the empirical link between genotoxic and cytotoxic effects of the most potent identified genotoxic naphthalene metabolites, 1,2- and 1,4-naphthoquinone. Bound-specific adjustment factors were then used to reduce naphthalene risk estimated by linear extrapolation (under the default genotoxic MOA assumption), to account for the DMOA exhibited by this compound. 相似文献
93.
Ethnic minorities in England and Wales are spatially concentrated in relatively-deprived urban areas. Both geographic clustering
and the economic characteristics of ethnically-concentrated neighbourhoods can impact upon the opportunities and constraints
facing residents of such areas. This paper explores the relationship between the existence of enclaves and the employment
prospects of ethnic minorities in England and Wales. It is shown that there is considerable spatial variation in employment
outcomes. There is a lower incidence of self-employment in more ethnically-concentrated urban areas, which contradicts the
view of ethnic entrepreneurship as an enclave phenomenon. Unemployment rates are also higher for minorities living in more
concentrated areas. Enclaves in England and Wales do not appear to offer many economic benefits to minority individuals.
Received: 31 December 1999/Accepted: 27 November 2000 相似文献
94.
Grade of membership (GOM) representations are used to characterize and compare the health status of a very heterogeneous sample of blacks and whites in an elderly cohort of 2,806 noninstitutionalized men and women living in New Haven, Connecticut. They were interviewed in 1982 as part of the Established Populations for the Epidemiologic Study of the Elderly (EPESE). Ideal profiles based on functional disabilities, chronic diseases, and selected biomedical and behavioral risk factors are constructed empirically. Each individual in the sample is represented by a set of GOM scores, interpreted as degrees of similarity of his or her health record to each of the profiles. Four profiles emerge from GOM analyses: healthy elderly, elderly with cognitive impairment, elderly with impairment in mobility function and physical performance and with selected chronic conditions, and elderly with major limitations in activities of daily living and multiple chronic conditions. Although elderly blacks and whites generally have similar configurations of profiles, there are important differences, especially when chronic conditions are related to specific types of functional impairments. Questions about and claims for black/white mortality crossovers at older ages, usually addressed with aggregate data, are examined conditional on GOM scores that correspond to diverse combinations of disabilities (or lack thereof) together with housing characteristics of cohort members (e.g., whether they live in public housing for the elderly or in owned or rented housing in the community). 相似文献
95.
Alan B. Franklin David R. Anderson Kenneth P. Burnham 《Journal of applied statistics》2002,29(1-4):267-287
We obtained banding and recovery data from the Bird Banding Laboratory (operated by the Biological Resources Division of the US Geological Survey) for adults from 129 avian species that had been continuously banded for > 24 years. Data were partitioned by gender, banding period (winter versus summer), and by states/provinces. Data sets were initially screened for adequacy based on specific criteria (e.g. minimum sample sizes). Fifty-nine data sets (11 waterfowl species, the Mourning Dove and Common Grackle) met our criteria of adequacy for further analysis. We estimated annual survival probabilities using the Brownie et al. recovery model {St, ft} in program MARK. Trends in annual survival and temporal process variation were estimated using random effects models based on shrinkage estimators. Waterfowl species had relatively little variation in annual survival probabilities (mean CV = 8.7% and 10% for males and females, respectively). The limited data for other species suggested similar low temporal variation for males, but higher temporal variation for females (CV = 40%). Evidence for long-term trends varied by species, banding period and sex, with no obvious spatial patterns for either positive or negative trends in survival probabilities. An exception was Mourning Doves banded in Illinois/Missouri and Arizona/New Mexico where both males (slope = -0.0122, se = 0.0019 and females (slope = -0.0109 to -0.0128, se = 0.0018 -0.0032) exhibited declining trends in survival probabilities. We believe our approach has application for large-scale monitoring. However, meaningful banding and recovery data for species other than waterfowl is very limited in North America. 相似文献
96.
The results of studies examining the effectiveness of early intervention for infants and children with organic impairment and developmental delay were reviewed using recently developed quantitative methods that treat the literature review process as a unique type of scientific inquiry. Thirty-eight studies meeting certain predetermined criteria were included in the review. The 38 studies contained a total of 118 statistical hypothesis tests that evaluated the effectiveness of early intervention. An analysis of these tests based on the calculation of effect sizes revealed that subjects receiving early intervention performed better on a wide range of dependent measures than subjects not receiving intervention. The outcomes were found to be related to several design and study characteristics. Larger effect sizes were associated with preexperimental designs, and also with studies in which the internal validity was rated as poor. Several other design variables such as how subjects were assigned to conditions and how the dependent measure was recorded were related to study outcome as measured by effect size. The conclusion was made that an accurate interpretation of the early intervention research literature cannot be made without consideration of specific design variables and study characteristics. 相似文献
97.
Previous research on dyadic interaction indicates that cross-sex conversations (male-female) are characterized by more frequent interruptions than same-sex conversations. More specifically, males consistently tend to interrupt their female co-conversationalists. Survey data from three student samples suggest that normative definitions reflected in perceptions of interruption are inconsistent with the empirical distribution of rule-breaking observed by conversational researchers. These results provide some strategic insights into the problematic distinction between deviance and rule-breaking that has been central to labeling theory. 相似文献
98.
Kenneth I. Maton Daniel Dodgen Mariano R. Sto. Domingo David B. Larson 《The Journal of social issues》2005,61(4):847-867
The development of social policy related to religion has received increasing focus in recent years, yet psychology continues to play a relatively minor role in this important domain. In the current article, religion's positive and negative influences as a meaning system on individual, community, and societal well-being are delineated. The challenges facing psychology in contributing to public policy development in the religious arena are examined, challenges that stem from profound differences in the meaning systems of religion, government, and psychology. These challenges notwithstanding, a number of different pathways in the domains of applied research, community practice, and policy development are delineated through which psychology can help to maximize positive, and minimize negative, outcomes in the religion and social policy arena. 相似文献
99.
Paul S. F. Yip K. F. Lam Eric H. Y. Lau Pui-Hing Chau Kenneth W. Tsang Anne Chao 《Journal of the Royal Statistical Society. Series A, (Statistics in Society)》2005,168(1):233-243
Summary. In an outbreak of a completely new infectious disease like severe acute respiratory syndrome (SARS), estimation of the fatality rate over the course of the epidemic is of clinical and epidemiological importance. In contrast with the constant case fatality rate, a new measure, termed the 'realtime' fatality rate, is proposed for monitoring the new emerging epidemic at a population level. A competing risk model implemented via a counting process is used to estimate the realtime fatality rate in an epidemic of SARS. It can capture and reflect the time-varying nature of the fatality rate over the course of the outbreak in a timely and accurate manner. More importantly, it can provide information on the efficacy of a certain treatment and management policy for the disease. The method has been applied to the SARS data from the regions affected, namely Hong Kong, Singapore, Toronto, Taiwan and Beijing. The magnitudes and patterns of the estimated fatalities are virtually the same except in Beijing, which has a lower rate. It is speculated that the effect is linked to the different treatment protocols that were used. The standard estimate of the case fatality rate that was used by the World Health Organization has been shown to be unable to provide useful information to monitor the time-varying fatalities that are caused by the epidemic. 相似文献
100.
Social scientists are rarely able to gather data from the full range of contexts to which they hope to generalize ( Shadish, Cook, and Campbell 2002 ). Here we suggest that debates about the generality of causal inferences in the social sciences can be informed by quantifying the conditions necessary to invalidate an inference. We begin by differentiating the target population into two subpopulations: a potentially observed subpopulation from which all of a sample is drawn and a potentially unobserved subpopulation from which no members of the sample are drawn but which is part of the population to which policymakers seek to generalize. We then quantify the robustness of an inference in terms of the conditions necessary to invalidate an inference if cases from the potentially unobserved subpopulation were included in the sample. We apply the indices to inferences regarding the positive effect of small classes on achievement from the Tennessee class size study and then consider the breadth of external validity. We use the statistical test for whether there is a difference in effects between two subpopulations as a baseline to evaluate robustness, and we consider a Bayesian motivation for the indices and compare the use of the indices with other procedures. In the discussion we emphasize the value of quantifying robustness, consider the value of different quantitative thresholds, and conclude by extending a metaphor linking statistical and causal inferences. 相似文献