全文获取类型
收费全文 | 20065篇 |
免费 | 245篇 |
国内免费 | 1篇 |
专业分类
管理学 | 2678篇 |
民族学 | 111篇 |
人口学 | 1726篇 |
丛书文集 | 74篇 |
教育普及 | 1篇 |
理论方法论 | 1756篇 |
综合类 | 185篇 |
社会学 | 9971篇 |
统计学 | 3809篇 |
出版年
2023年 | 147篇 |
2022年 | 92篇 |
2021年 | 149篇 |
2020年 | 387篇 |
2019年 | 559篇 |
2018年 | 612篇 |
2017年 | 790篇 |
2016年 | 617篇 |
2015年 | 407篇 |
2014年 | 570篇 |
2013年 | 3509篇 |
2012年 | 731篇 |
2011年 | 683篇 |
2010年 | 498篇 |
2009年 | 403篇 |
2008年 | 531篇 |
2007年 | 484篇 |
2006年 | 522篇 |
2005年 | 406篇 |
2004年 | 418篇 |
2003年 | 350篇 |
2002年 | 364篇 |
2001年 | 468篇 |
2000年 | 412篇 |
1999年 | 402篇 |
1998年 | 311篇 |
1997年 | 261篇 |
1996年 | 278篇 |
1995年 | 288篇 |
1994年 | 246篇 |
1993年 | 256篇 |
1992年 | 299篇 |
1991年 | 294篇 |
1990年 | 288篇 |
1989年 | 253篇 |
1988年 | 238篇 |
1987年 | 201篇 |
1986年 | 229篇 |
1985年 | 249篇 |
1984年 | 216篇 |
1983年 | 191篇 |
1982年 | 159篇 |
1981年 | 130篇 |
1980年 | 155篇 |
1979年 | 170篇 |
1978年 | 133篇 |
1977年 | 114篇 |
1976年 | 87篇 |
1975年 | 91篇 |
1974年 | 93篇 |
排序方式: 共有10000条查询结果,搜索用时 31 毫秒
141.
142.
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
143.
In robust parameter design, variance effects and mean effects in a factorial experiment are modelled simultaneously. If variance effects are present in a model, correlations are induced among the naive estimators of the mean effects. A simple normal quantile plot of the mean effects may be misleading because the mean effects are no longer iid under the null hypothesis that they are zero. Adjusted quantiles are computed for the case when one variance effect is significant and examples of 8-run and 16-run fractional factorial designs are examined in detail. We find that the usual normal quantiles are similar to adjusted quantiles for all but the largest and smallest ordered effects for which they are conservative. Graphically, the qualitative difference between the two sets of quantiles is negligible (even in the presence of large variance effects) and we conclude that normal probability plots are robust in the presence of variance effects. 相似文献
144.
A Bayesian estimator based on Franklin's randomized response procedure is proposed for proportion estimation in surveys dealing with a sensitive character. The method is simple to implement and avoids the usual drawbacks of Franklin's estimator, i.e., the occurrence of negative estimates when the population proportion is small. A simulation study is considered in order to assess the performance of the proposed estimator as well as the corresponding credible interval. 相似文献
145.
In this article power divergences statistics based on sample quantiles are transformed in order to introduce new goodness-of-fit tests. Quantiles of the distribution of proposed statistics are calculated under uniformity, normality, and exponentiality. Several power comparisons are performed to show that the new tests are generally more powerful than the original ones. 相似文献
146.
When incomplete repeated failure times are collected from a large number of independent individuals, interest is focused primarily on the consistent and efficient estimation of the effects of the associated covariates on the failure times. Since repeated failure times are likely to be correlated, it is important to exploit the correlation structure of the failure data in order to obtain such consistent and efficient estimates. However, it may be difficult to specify an appropriate correlation structure for a real life data set. We propose a robust correlation structure that can be used irrespective of the true correlation structure. This structure is used in constructing an estimating equation for the hazard ratio parameter, under the assumption that the number of repeated failure times for an individual is random. The consistency and efficiency of the estimates is examined through a simulation study, where we consider failure times that marginally follow an exponential distribution and a Poisson distribution is assumed for the random number of repeated failure times. We conclude by using the proposed method to analyze a bladder cancer dataset. 相似文献
147.
M. Alizadeh S.F. Bagheri E. Bahrami Samani S. Ghobadi S. Nadarajah 《统计学通讯:模拟与计算》2013,42(9):2499-2531
ABSTRACTWe introduce a new four-parameter generalization of the exponentiated power Lindley (EPL) distribution, called the exponentiated power Lindley power series (EPLPS) distribution. The new distribution arises on a latent complementary risks scenario, in which the lifetime associated with a particular risk is not observable; rather, we observe only the minimum lifetime value among all risks. The distribution exhibits a variety of bathtub-shaped hazard rate functions. It contains as particular cases several lifetime distributions. Various properties of the distribution are investigated including closed-form expressions for the density function, cumulative distribution function, survival function, hazard rate function, the rth raw moment, and also the moments of order statistics. Expressions for the Rényi and Shannon entropies are also given. Moreover, we discuss maximum likelihood estimation and provide formulas for the elements of the Fisher information matrix. Finally, two data applications are given showing flexibility and potentiality of the EPLPS distribution. 相似文献
148.
Márcio A. C. Almeida 《统计学通讯:模拟与计算》2013,42(9):2577-2586
ABSTRACTIn queuing theory, a major interest of researchers is studying the behavior and formation process and analyzing the performance characteristics of queues, particularly the traffic intensity, which is defined as the ratio between the arrival rate and the service rate. How these parameters can be estimated using some statistical inferential method is the mathematical problem treated here. This article aims to obtain better Bayesian estimates for the traffic intensity of M/M/1 queues, which, in Kendall notation, stand for Markovian single-server infinity queues. The Jeffreys prior is proposed to obtain the posterior and predictive distributions of some parameters of interest. Samples are obtained through simulation and some performance characteristics are analyzed. It is observed from the Bayes factor that Jeffreys prior is competitive, among informative and non-informative prior distributions, and presents the best performance in many of the cases tested. 相似文献
149.
ABSTRACTOn the basis of Csiszar's φ-divergence discrimination information, we propose a measure of discrepancy between equilibriums associated with two distributions. Proving that a distribution can be characterized by associated equilibrium distribution, a Renyi distance of the equilibrium distributions is constructed that made us to propose an EDF-based goodness-of-fit test for exponential distribution. For comparing the performance of the proposed test, some well-known EDF-based tests and some entropy-based tests are considered. Based on the simulation results, the proposed test has better powers than those of competing entropy-based tests for the alternatives with decreasing hazard rate function. The use of the proposed test is evaluated in an illustrative example. 相似文献
150.
This paper presents a multivariate extension of Dunnett's test for comparing simultaneously k treatment group means with a single control group mean. A test based on Hotelling T2statistics is presented and approximate critical values are evaluated for the case of equal numbers of observations in each group, for the .05 and .01 levels of significance, for 1 to 5 variates, for 1 to 10 treatment groups, and for varying degrees of freedom. The accuracy of the procedure for generating approximate critical values is assessed via simulation studies conducted for selected cases and an example is presented using real data. 相似文献