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Stefan Liebig Steffen Mau 《KZfSS K?lner Zeitschrift für Soziologie und Sozialpsychologie》2002,54(1):109-134
Within the debate about the future of the welfare state a guaranteed social minimum income is often discussed as an alternative to the current social security system. One objection to such a proposal argues that a social minimum income lacks social acceptance and normative recognition. Starting from the thesis that the standard instruments of survey research have little to offer for giving a detailed account of the attitudes towards a social minimum, we deploy the more complex method of Factorial Survey Design. The study sample consists of 121 employed persons. Within the study, the focus is on the criteria used and the differentiations made when people are asked to evaluate a just minimum income. It can be shown that a uniform and flat-rate social minimum possesses less legitimacy than a transfer system that differentiates entitlements according to the beneficiaries relation to the employment sphere and certain need criteria. In addition, we find support for the idea of low income subsidies as suggested by the negative income concept. Though the results give evidence of the normative attraction of a social minimum, it is also apparent that the social judgments of the respondents are influenced by in the normative principles of the existing social security arrangements. 相似文献
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Barro-type endogenous growth models propose a nonmonotonic relationship between productive public spending and growth. Under this so-called nonlinearity hypothesis the size and direction of growth effects due to an increase in public spending depend on the share of public spending in GDP. Employing German time-series data we examine the validity of the nonlinearity hypothesis. We estimate growth effects by using models whose coefficients are allowed to vary with the share of public spending in GDP. Our results support the hypothesis for public consumption but not for public investment data. (JEL H54 , E62 , C22 ) 相似文献
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Stefan Stenzel 《Organisationsberatung, Supervision, Coaching》2010,17(2):151-166
The author discusses the question if and in which HR processes, tools or programs the implementation of an internal coach pool makes sense or where companies should continue to buy this service from the external market. For this purpose the article introduces a definition of internal Coaching. The central concept of this outline is a blueprint of an offering of internal or external coaching. The author presents a generic model for the analyzing the risks of such a project, which increases the probability of a decision which leads in the right direction. The author concludes that internal coaching makes sense in specific settings e.g. in order to ensure the ROI of learning opportunities. If this however in every situation has to be called “Coaching” should be discussed in the context of another essay. 相似文献
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The main goal of the paper is to specify a suitable multivariate multilevel model for polytomous responses with a non-ignorable
missing data mechanism in order to determine the factors which influence the way of acquisition of the skills of the graduates
and to evaluate the degree programmes on the basis of the adequacy of the skills they give to their graduates. The application
is based on data gathered by a telephone survey conducted, about two years after the degree, on the graduates of year 2000
of the University of Florence. A multilevel multinomial logit model for the response of interest is fitted simultaneously
with a multilevel logit model for the selection mechanism by means of maximum likelihood with adaptive Gaussian quadrature.
In the application the multilevel structure has a crucial role, while selection bias results negligible. The analysis of the
empirical Bayes residuals allows to detect some extreme degree programmes to be further inspected. 相似文献
9.
Martin Becker Ralph Friedmann Stefan Klößner Walter Sanddorf-Köhle 《AStA Advances in Statistical Analysis》2007,91(1):3-21
New tests are proposed for the specification of the intraday price process of a risky asset,
based on open, high, low, and close prices. Under the null of a Brownian process we derive two stochastically
independent, unbiased volatility estimators. For a Hausman specification test we prove its equivalence
with an F-test, consider its robustness against variation in drift and volatility, and analyze the power
against an Ornstein–Uhlenbeck process, as well as a random walk with alternative distributions. 相似文献
10.
Bayesian inference for generalized additive mixed models based on Markov random field priors 总被引:9,自引:0,他引:9
Ludwig Fahrmeir & Stefan Lang 《Journal of the Royal Statistical Society. Series C, Applied statistics》2001,50(2):201-220
Most regression problems in practice require flexible semiparametric forms of the predictor for modelling the dependence of responses on covariates. Moreover, it is often necessary to add random effects accounting for overdispersion caused by unobserved heterogeneity or for correlation in longitudinal or spatial data. We present a unified approach for Bayesian inference via Markov chain Monte Carlo simulation in generalized additive and semiparametric mixed models. Different types of covariates, such as the usual covariates with fixed effects, metrical covariates with non-linear effects, unstructured random effects, trend and seasonal components in longitudinal data and spatial covariates, are all treated within the same general framework by assigning appropriate Markov random field priors with different forms and degrees of smoothness. We applied the approach in several case-studies and consulting cases, showing that the methods are also computationally feasible in problems with many covariates and large data sets. In this paper, we choose two typical applications. 相似文献