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Consider the problem of obtaining a confidence interval for some function g(θ) of an unknown parameter θ, for which a (1-α)-confidence interval is given. If g(θ) is one-to-one the solution is immediate. However, if g is not one-to-one the problem is more complex and depends on the structure of g. In this note the situation where g is a nonmonotone convex function is considered. Based on some inequality, a confidence interval for g(θ) with confidence level at least 1-α is obtained from the given (1-α) confidence interval on θ. Such a result is then applied to the n(μ, σ 2) distribution with σ known. It is shown that the coverage probability of the resulting confidence interval, while being greater than 1-α, has in addition an upper bound which does not exceed Θ(3z1−α/2)-α/2.  相似文献   
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The present study focuses on the reporting ofadministrative and disciplinary irregularities. Thereasoned action model (Ajzen & Fishbein, 1980) isapplied to predict officers' intentions to report illegal or irregular activities in the IsraeliDefense Forces. The findings show that although themodel's two predictors (attitude toward reporting andsubjective norm) significantly predicted intention to report, the effect of subjective norm wasmuch stronger than the effect of the attitude component.In spite of the military's strong formal system andalthough social forces have great potential to impose the reporting norm on an organization'smembers, actual reporting does not meet expectations.The results are discussed in light of the organizationalculture that develops as the combat unit struggles to survive in an extremely turbulentenvironment.  相似文献   
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Contemporary bioethics research is often described as multi- or interdisciplinary. Disciplines are characterized, in part, by their methods. Thus, when bioethics research draws on a variety of methods, it crosses disciplinary boundaries. Yet each discipline has its own standard of rigor--so when multiple disciplinary perspectives are considered, what constitutes rigor? This question has received inadequate attention, as there is considerable disagreement regarding the disciplinary status of bioethics. This disagreement has presented five challenges to bioethics research. Addressing them requires consideration of the main types of cross-disciplinary research, and consideration of proposals aiming to ensure rigor in bioethics research.  相似文献   
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In this study we consider the problem of the improvement of the sample mean in the second order minimax estimation sense for a mean belonging to an unrestricted mean parameter space R+R+. We solve this problem for the class of natural exponential families (NEF's) whose variance functions (VF's) are regular at zero and at infinity. Such a class of VF's (or NEF's) is huge and contains (among others): Polynomial VF's (e.g., quadratic VF's in the Morris class, cubic VF's in the Letac&Mora class and VF's in the Hinde–Demétrio class); VF's belonging to the Tweedie class with power VF's, VF's belonging to the Babel class and many others. Moreover, we show that if the canonical parameter space of the corresponding NEF is RR (which is obviously the case if the support of the NEF is bounded), then the sample mean as an estimator of the mean cannot be further improved. This work presents an original constructive methodology and provides with constructive tools enabling to obtain explicit forms of the second order minimax estimators as well as the forms of the related weight functions. Our work establishes a substantial generalization of the results obtained so far in the literature. Illustrations of the resulting methods are provided and a simulation-based analysis is presented for the negative binomial case.  相似文献   
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In this paper the authors describe the methods used in the Sample Survey of the African Population which was taken in Southern Rhodesia in 1948 and give some of the preliminary results.  相似文献   
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In this note we provide a characterization of the exponential distribution by means of the coincidence of location and truncated densities. We provide two proofs. The first is obtained directly via simple calculus while the second hinges on the characterization of the exponential distribution by its constant hazard rate.  相似文献   
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