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71.
Conditional confidence intervals for the location parameter of the double exponential distribution based on maximum likelihood estimators conditioned on a set of ancillary statistics and the corresponding unconditional confidence intervals based on the maximum likelihood estimators alone are compared in two ways. Monte Carlo techniques are used and the conditional approach appears to give slightly better results although agreement as n becomes larger is noted 相似文献
72.
A model-based classification technique is developed, based on mixtures of multivariate t-factor analyzers. Specifically, two related mixture models are developed and their classification efficacy studied. An AECM algorithm is used for parameter estimation, and convergence of these algorithms is determined using Aitken's acceleration. Two different techniques are proposed for model selection: the BIC and the ICL. Our classification technique is applied to data on red wine samples from Italy and to fatty acid measurements on Italian olive oils. These results are discussed and compared to more established classification techniques; under this comparison, our mixture models give excellent classification performance. 相似文献
73.
This article aims to estimate the parameters of the Weibull distribution in step-stress partially accelerated life tests under multiply censored data. The step partially acceleration life test is that all test units are first run simultaneously under normal conditions for a pre-specified time, and the surviving units are then run under accelerated conditions until a predetermined censoring time. The maximum likelihood estimates are used to obtaining the parameters of the Weibull distribution and the acceleration factor under multiply censored data. Additionally, the confidence intervals for the estimators are obtained. Simulation results show that the maximum likelihood estimates perform well in most cases in terms of the mean bias, errors in the root mean square and the coverage rate. An example is used to illustrate the performance of the proposed approach. 相似文献
74.
Lee Lung-Fei 《Econometric Reviews》2013,32(3):319-328
Amemiya's generalized least squares method for the estimation of simultaneous equation modeis with qualitative or limited dependent variables is known to be efficient relative to many popular two stage estimators. This note points out that test statistics for overidentification restrictions can be obtained as by-products of Amerniya's generalized least squares procedure. Amemiya's procedure is shown to be a minimum chisquare method. The Amemiya procedure is valuable both for efficient estimation and for model evaluation of such models. 相似文献
75.
K. Krishnamoorthy Meesook Lee 《Journal of Statistical Computation and Simulation》2013,83(12):2232-2243
The problem of estimating the difference between two Poisson means is considered. A new moment confidence interval (CI), and a fiducial CI for the difference between the means are proposed. The moment CI is simple to compute, and it specializes to the classical Wald CI when the sample sizes are equal. Numerical studies indicate that the moment CI offers improvement over the Wald CI when the sample sizes are different. Exact properties of the CIs based on the moment, fiducial and hybrid methods are evaluated numerically. Our numerical study indicates that the hybrid and fiducial CIs are in general comparable, and the moment CI seems to be the best when the expected total counts from both distributions are two or more. The interval estimation procedures are illustrated using two examples. 相似文献
76.
M. L. Walker Y. H. Dovoedo S. Chakraborti C. W. Hilton 《The American statistician》2013,67(4):348-353
The boxplot is an effective data-visualization tool useful in diverse applications and disciplines. Although more sophisticated graphical methods exist, the boxplot remains relevant due to its simplicity, interpretability, and usefulness, even in the age of big data. This article highlights the origins and developments of the boxplot that is now widely viewed as an industry standard as well as its inherent limitations when dealing with data from skewed distributions, particularly when detecting outliers. The proposed Ratio-Skewed boxplot is shown to be practical and suitable for outlier labeling across several parametric distributions. 相似文献
77.
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
78.
79.
AbstractGenerating function-based statistical inference is an attractive approach if the probability (density) function is complicated when compared with the generating function. Here, we propose a parameter estimation method that minimizes a probability generating function (pgf)-based power divergence with a tuning parameter to mitigate the impact of data contamination. The proposed estimator is linked to the M-estimators and hence possesses the properties of consistency and asymptotic normality. In terms of parameter biases and mean squared errors from simulations, the proposed estimation method performs better for smaller value of the tuning parameter as data contamination percentage increases. 相似文献
80.
The relative performances of randomised block, balanced lattice squares and Papadakis nearest neighbour analyses were compared on two simulated fields whose soil heterogeneity profiles were generated, one with a few evenly spaced contours and the other with many unevenly spaced contours. Four levels of random error were generated to simulate different proportions of random error and soil heterogeneity. Dummy treatments, corresponding to 7 x 7 and 11 x 11 balanced lattice squares were applied to the fields. The results from simulated experiments showed an interaction of error mean square (EMS) between size of experiment (7 x 7, 11 x 11) and levels of soil heterogeneity in the lattice analyses, but no such interaction in the Papadakis analyses. The Papadakis EMS decreased as random error decreased but at a rate depending on the map andthe ratio of soil heterogeneity to random error. 相似文献