首页 | 本学科首页   官方微博 | 高级检索  
文章检索
  按 检索   检索词:      
出版年份:   被引次数:   他引次数: 提示:输入*表示无穷大
  收费全文   4685篇
  免费   79篇
管理学   688篇
民族学   26篇
人才学   1篇
人口学   463篇
丛书文集   39篇
教育普及   1篇
理论方法论   555篇
综合类   51篇
社会学   2382篇
统计学   558篇
  2021年   28篇
  2020年   67篇
  2019年   83篇
  2018年   82篇
  2017年   133篇
  2016年   109篇
  2015年   77篇
  2014年   88篇
  2013年   794篇
  2012年   148篇
  2011年   173篇
  2010年   110篇
  2009年   134篇
  2008年   146篇
  2007年   149篇
  2006年   161篇
  2005年   144篇
  2004年   131篇
  2003年   123篇
  2002年   134篇
  2001年   88篇
  2000年   96篇
  1999年   87篇
  1998年   67篇
  1997年   72篇
  1996年   91篇
  1995年   67篇
  1994年   65篇
  1993年   59篇
  1992年   63篇
  1991年   59篇
  1990年   54篇
  1989年   63篇
  1988年   47篇
  1987年   43篇
  1986年   59篇
  1985年   59篇
  1984年   57篇
  1983年   46篇
  1982年   36篇
  1981年   43篇
  1980年   38篇
  1979年   47篇
  1978年   44篇
  1977年   34篇
  1976年   40篇
  1975年   41篇
  1974年   28篇
  1972年   17篇
  1971年   26篇
排序方式: 共有4764条查询结果,搜索用时 13 毫秒
91.
92.
This department includes the two sections New Developments in Statistical Computing and Statistical Computing Software Reviews; suitable contents for each of these sections are described under the respective section heading. Articles submitted for the department, outside the two sections, should not be highly technical and should be relevant to the teaching or practice of statistical computing.

An unbiased estimator of e is used to motivate a simple simulation exercise that requires only observations from the distribution uniform on (0, 1). Antithetic variables are introduced and applied to the simulation problem to give a second unbiased estimator of e with reduced variance.  相似文献   
93.
The Studentized maximum root (SMR) distribution is useful for constructing simultaneous confidence intervals around product interaction contrasts in replicated two-way ANOVA. A three-moment approximation to the SMR distribution is proposed. The approximation requires the first three moments of the maximum root of a central Wishart matrix. These values are obtained by means of numerical integration. The accuracy of the approximation is compared to the accuracy of a two-moment approximation for selected two-way table sizes. Both approximations are reasonably accurate. The three-moment approximation is generally superior.  相似文献   
94.
The theory and properties of trend-free (TF) and nearly trend-free (NTF) block designs are wel1 developed. Applications have been hampered because a methodology for design construction has not been available.

This article begins with a short review of concepts and properties of TF and NTF block designs. The major contribution is provision of an algorithm for the construction of linear and nearly linear TF block designs. The algorithm is incorporated in a computer program in FORTRAN 77 provided in an appendix for the IBM PC or compatible microcomputer, a program adaptable also to other computers. Three sets of block designs generated by the program are given as examples.

A numerical example of analysis of a linear trend-free balanced incomplete block design is provided.  相似文献   
95.
It appears to be common practice with ridge regression to obtain a decomposition of the total sum of squares, and assign degrees of freedom, according to established least squares theory. This discussion notes the obvious fallacies of such an approach, and introduces a decomposition based on orthogonality, and degrees of freedom based on expected mean squares, for non-stochastic k.  相似文献   
96.
This article describes estimation and inference procedures for the parameters of the Box-Cox and foided-power transformations in repeated measures and growth curve models. Procedures for computing maximum likelihood estimates of the transformation and covariance parameters under several covanance structures (omnibus sphericity, local sphericity, and unstructured) are described. Lack of fit statistics and hypothesis tests for comparing these structures also are described. The procedures are illustrated on three data sets. Software for performing the analyses in the SAS System is described and is available from the authors.  相似文献   
97.
98.
Abstract

Research involving administrative healthcare data to study patient outcomes requires the investigator to account for the patient’s disease burden in order to reduce the potential for biased results. Here we develop a comorbidity summary score based on variable importance measures derived from several statistical and machine learning methods and show it has superior predictive performance to the Elixhauser and Charlson indices when used to predict 1-year, 5-year, and 10-year mortality. We used two large Veterans Administration cohorts to develop and validate the summary score and compared predictive performance using the area under ROC curve (AUC) and the Brier score.  相似文献   
99.
A control procedure is presented in this article that is based on jointly using two separate control statistics in the detection and interpretation of signals in a multivariate normal process. The procedure detects the following three situations: (i) a mean vector shift without a shift in the covariance matrix; (ii) a shift in process variation (covariance matrix) without a mean vector shift; and (iii) both a simultaneous shift in the mean vector and covariance matrix as the result of a change in the parameters of some key process variables. It is shown that, following the occurrence of a signal on either of the separate control charts, the values from both of the corresponding signaling statistics can be decomposed into interpretable elements. Viewing the two decompositions together helps one to specifically identify the individual components and associated variables that are being affected. These components may include individual means or variances of the process variables as well as the correlations between or among variables. An industrial data set is used to illustrate the procedure.  相似文献   
100.
I illustrate likelihood methods for estimating the consequences of shrinkage along any ridge path as well as methods for picking a two-hyperparameter path of optimal curvature and the optimal point on that path. In addition to my published "classical" methods, I also illustrate both the empirical Bayes and the random coefficient maximum likelihood approaches. Traces of risks for known parameters and losses for simulated responses are followed by traces of estimates that can reveal the same general information.  相似文献   
设为首页 | 免责声明 | 关于勤云 | 加入收藏

Copyright©北京勤云科技发展有限公司  京ICP备09084417号