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381.
In this paper, the spherical distribution is generalized to the Lp-norm spherical distribution, S(n, p), through the stochastic representation. Then the form of its p.d.f. characterizing the S(n, p) distribution is derived. Marginal, conditional distributions and the moments of S(n, p) distribution are obtained. The order statistics and the invariance property of S(n,p) distribution are also investigated.  相似文献   
382.
This paper gives characterizations of normal and gamma distributions .via conditional structure.  相似文献   
383.
In this paper the use of Kronecker designs for factorial experiments is considered. The two-factor Kronecker design is considered in some detail and the efficiency factors of the main effects and interaction in such a design are derived. It is shown that the efficiency factor of the interaction is at least as large as the product of the efficiency factors of the two main effects and when both the component designs are totally balanced then its efficiency factor will be higher than the efficiency factor of either of the two main effects. If the component designs are nearly balanced then its efficiency factor will be approximately at least as large as the efficiency factor of either of the two main effects. It is argued that these designs are particularly useful for factorial experiments.Extensions to the multi-factor design are given and it is proved that the two-factor Kronecker design will be connected if the component designs are connected.  相似文献   
384.
It is shown that varying probability in product method estimation increases the efficiency of estimate under some usual conditions. Further, a necessary condition, for the product estimate from a sample drawn with pps and without replacement to be more efficient than the product estimate from a sample drawn with pps and replacement, has been obtained; incidentally, it is the same as obtained by Narain (1951) for varying probability without replacement to be more efficient than varying probability with replacement. The use of the R.H.C. sampling scheme has also been suggested, and its variance and bias has been shown to be always less than that of pps with replacement.  相似文献   
385.
In reliability studies the three quantities (1) the survival function, (2) the failure rate and (3) the mean residual life function are all equivalent in the sense that given one of them, the other two can be determined. In this paper we have considered the class of exponential type distributions and studied its mixture. Given any one of the above mentioned three quantities of the mixture a method is developed for determining the mixing density. Some examples are provided as illustrations. Some well known results follow trivially.  相似文献   
386.
"This article presents estimates of net coverage of the national population in the 1990 [U.S.] census, based on the method of demographic analysis. The general techniques of demographic analysis as an analytic tool for coverage measurement are discussed, including use of the demographic accounting equation, data components, and strengths and limitations of the method. Patterns of coverage displayed by the 1990 estimates are described, along with similarities or differences from comparable demographic estimates for previous censuses....A final section presents the results of the first statistical assessment of the uncertainty in the demographic coverage estimates for 1990." Comments by Clifford C. Clogg and Christine L. Himes (pp. 1,072-4) and Jeffrey S. Passel (pp. 1,074-7) and a rejoinder by the authors (pp. 1,077-9) are included.  相似文献   
387.
Revankar (1974, p. 190, equation (4.4)) obtains a result for the covariance matrices of the “Aitken” estimators of the regression coefficients parameter matrices of two SUR models. The present note supplies a simpler derivation of this result. It is obtained by using a known result in multivariate statistical analysis, see e.g., Sarkar (1981, p. 560, Theorem 3.1).  相似文献   
388.
Mudholkar and Srivastava [1993. Exponentiated Weibull family for analyzing bathtub failure data. IEEE Trans. Reliability 42, 299–302] introduced three-parameter exponentiated Weibull distribution. Two-parameter exponentiated exponential or generalized exponential distribution is a particular member of the exponentiated Weibull distribution. Generalized exponential distribution has a right skewed unimodal density function and monotone hazard function similar to the density functions and hazard functions of the gamma and Weibull distributions. It is observed that it can be used quite effectively to analyze lifetime data in place of gamma, Weibull and log-normal distributions. The genesis of this model, several properties, different estimation procedures and their properties, estimation of the stress-strength parameter, closeness of this distribution to some of the well-known distribution functions are discussed in this article.  相似文献   
389.
In this paper, we consider a system consisting of two dependent components and we are interested in the average remaining life of the component that fails last when (i) the first failure occurs at time t and (ii) the first failure occurs after time t. For both the cases, expressions are derived in the case of general bivariate normal distribution and a class of bivariate exponential distribution including bivariate exponential distribution of Arnold and Strauss, absolutely continuous bivariate exponential distribution of Block and Basu, bivariate exponential distribution of Raftery, Freund's bivariate exponential distribution and Gumbel's bivariate exponential distribution.  相似文献   
390.
This paper explores black African children’s experiencesof the child protection system in the UK. The central focusof the paper is a review of the available literature on thesocial circumstances and environmental influences affectingmany black African families involved in the child protectionsystem; specific parenting practices and care-giving environments;and their experiences of social work and other professionalinterventions aimed at safeguarding and promoting the needsof African children. This paper examines these themes to elucidatethe factors that contribute to the provision of effective, culturallycompetent interventions with black African children at riskof significant harm. It suggests that there are a number oftensions inherent for professionals in working with culturallydiverse African families such as reconciling different beliefsand behaviours concerning child-rearing practices; affirmingthe parenting practices of these families in the engagementprocess; adopting a strengths-based orientation whilst at thesame time safeguarding and promoting the welfare of vulnerablechildren. The paper concludes with a discussion of the implicationsfor practice.  相似文献   
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