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   10559篇
  免费   5篇
管理学   1520篇
民族学   101篇
人口学   2431篇
理论方法论   496篇
综合类   287篇
社会学   4536篇
统计学   1193篇
  2023年   4篇
  2022年   6篇
  2021年   4篇
  2020年   3篇
  2019年   14篇
  2018年   1670篇
  2017年   1655篇
  2016年   1088篇
  2015年   43篇
  2014年   43篇
  2013年   52篇
  2012年   337篇
  2011年   1149篇
  2010年   1053篇
  2009年   785篇
  2008年   821篇
  2007年   997篇
  2006年   2篇
  2005年   228篇
  2004年   252篇
  2003年   210篇
  2002年   81篇
  2001年   5篇
  2000年   10篇
  1999年   5篇
  1998年   1篇
  1997年   1篇
  1996年   30篇
  1992年   1篇
  1990年   1篇
  1988年   8篇
  1985年   2篇
  1978年   1篇
  1974年   2篇
排序方式: 共有10000条查询结果,搜索用时 18 毫秒
121.
122.
There are now three essentially separate literatures on the topics of multiple systems estimation, record linkage, and missing data. But in practice the three are intimately intertwined. For example, record linkage involving multiple data sources for human populations is often carried out with the expressed goal of developing a merged database for multiple system estimation (MSE). Similarly, one way to view both the record linkage and MSE problems is as ones involving the estimation of missing data. This presentation highlights the technical nature of these interrelationships and provides a preliminary effort at their integration.  相似文献   
123.
124.
Reliability sampling plans provide an efficient method to determine the acceptability of a product based upon the lifelengths of some test units. Usually, they depend on the producer and consumer’s quality requirements and do not admit closed form solutions. Acceptance sampling plans for one- and two-parameter exponential lifetime models, derived by approximating the operating characteristic curve, are presented in this paper. The accuracy of these approximate plans, which are explicitly expressible and valid for failure and progressive censoring, is assessed. The approximation proposed in the one-parameter case is found to be practically exact. Explicit lower and upper bounds on the smallest sample size are given in the two-parameter case. Some additional advantages are also pointed out.  相似文献   
125.
Randomized response techniques are widely employed in surveys dealing with sensitive questions to ensure interviewee anonymity and reduce nonrespondents rates and biased responses. Since Warner’s (J Am Stat Assoc 60:63–69, 1965) pioneering work, many ingenious devices have been suggested to increase respondent’s privacy protection and to better estimate the proportion of people, π A , bearing a sensitive attribute. In spite of the massive use of auxiliary information in the estimation of non-sensitive parameters, very few attempts have been made to improve randomization strategy performance when auxiliary variables are available. Moving from Zaizai’s (Model Assist Stat Appl 1:125–130, 2006) recent work, in this paper we provide a class of estimators for π A , for a generic randomization scheme, when the mean of a supplementary non-sensitive variable is known. The minimum attainable variance bound of the class is obtained and the best estimator is also identified. We prove that the best estimator acts as a regression-type estimator which is at least as efficient as the corresponding estimator evaluated without allowing for the auxiliary variable. The general results are then applied to Warner and Simmons’ model.  相似文献   
126.
In many sciences researchers often meet the problem of establishing if the distribution of a categorical variable is more concentrated, or less heterogeneous, in population P 1 than in population P 2. An approximate nonparametric solution to this problem is discussed within the permutation context. Such a solution has similarities to that of testing for stochastic dominance, that is, of testing under order restrictions, for ordered categorical variables. Main properties of given solution and a Monte Carlo simulation in order to evaluate its degree of approximation and its power behaviour are examined. Two application examples are also discussed.  相似文献   
127.
For multivariate probit models, Spiess and Tutz suggest three alternative performance measures, which are all based on the decomposition of the variation. The multivariate probit model can be seen as a special case of the discrete copula model. This paper proposes some new measures based on the value of the likelihood function and the prediction-realization table. In addition, it generalizes the measures from Spiess and Tutz for the discrete copula model. Results of a simulation study designed to compare the different measures in various situations are presented.  相似文献   
128.
129.
130.
In the paper the problem of testing of two-sided hypotheses for variance components in mixed linear models is considered. When the uniformly most powerful invariant test does not exist (see e.g. Das and Sinha, in Proceedings of the second international Tampere conference in statistics, 1987; Gnot and Michalski, in Statistics 25:213–223, 1994; Michalski and Zmyślony, in Statistics 27:297–310, 1996) then to conduct the optimal statistical inference on model parameters a construction of a test with locally best properties is desirable, cf. Michalski (in Tatra Mountains Mathematical Publications 26:1–21, 2003). The main goal of this article is the construction of the locally best invariant unbiased test for a single variance component (or for a ratio of variance components). The result has been obtained utilizing Andersson’s and Wijsman’s approach connected with a representation of density function of maximal invariant (Andersson, in Ann Stat 10:955–961, 1982; Wijsman, in Proceedings of fifth Berk Symp Math Statist Prob 1:389–400, 1967; Wijsman, in Sankhyā A 48:1–42, 1986; Khuri et al., in Statistical tests for mixed linear models, 1998) and from generalized Neyman–Pearson Lemma (Dantzig and Wald, in Ann Math Stat 22:87–93, 1951; Rao, in Linear statistical inference and its applications, 1973). One selected real example of an unbalanced mixed linear model is given, for which the power functions of the LBIU test and Wald’s test (the F-test in ANOVA model) are computed, and compared with the attainable upper bound of power obtained by using Neyman–Pearson Lemma.  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