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This paper proposes a model and solution method for coordinating integrated production and inventory cycles in a whole manufacturing supply chain involving reverse logistics for multiple items with finite horizon period. A whole manufacturing supply chain involving reverse logistic consists of tier-2 suppliers supplying raw materials to tier-1 suppliers, tier-1 suppliers producing parts, a manufacturer which manufactures and assembles parts from tier-1 suppliers into finished products, distributors distributing finished products to retailers, retailers selling products to end customers and a third party which collects the used finished products from end customers, dissembles collected products into parts, and feed the parts back to the supply chain. In this system, we consider a finite horizon period. A mathematical model for representing the behaviors of the system is developed. Solution methods based on decentralized and a combination of decentralized and centralized decision making process, referred to as the semi-centralized decision making process, are proposed to solve the model while the centralized decision making process is solved by a mixed integer nonlinear programming method. A numerical example is used to demonstrate the model and the solutions based on the three types of the coordination. 相似文献
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Mohammad Z. Raqab 《Statistics》2013,47(1):29-41
In this paper, we consider the generalized exponential distribution (GED) with shape parameter α. We establish several recurrence relations satisfied by the single and the product moments for order statistics from the GED. The relationships can be written in terms of polygamma and hypergeometric functions and used in a simple recursive manner in order to compute the single and the product moments of all order statistics for all sample sizes. 相似文献
15.
Z. Govindarajulu 《Statistics》2013,47(4):357-370
A two-sided sequential confidence interval is suggested for the number of equally probable cells in a given multinomial population with prescribed width and confidence coefficient. We establish large-sample properties of the fixed-width confidence interval procedure using a normal approximation, and some comparisons are made. In addition, a simulation study is carried out in order to investigate the finite sample behaviour of the suggested sequential interval estimation procedure. 相似文献
16.
Z. Govindarajulu 《Statistics》2013,47(6):575-591
An important question that arises in clinical trials is how many additional observations, if any, are required beyond those originally planned. This has satisfactorily been answered in the case of two-treatment double-blind clinical experiments. However, one may be interested in comparing a new treatment with its competitors, which may be more than one. This problem is addressed in this investigation involving responses from arbitrary distributions, in which the mean and the variance are not functionally related. First, a solution in determining the initial sample size for specified level of significance and power at a specified alternative is obtained. Then it is shown that when the initial sample size is large, the nominal level of significance and the power at the pre-specified alternative are fairly robust for the proposed sample size re-estimation procedure. An application of the results is made to the blood coagulation functionality problem considered by Kropf et al. [Multiple comparisons of treatments with stable multivariate tests in a two-stage adaptive design, including a test for non-inferiority, Biom. J. 42(8) (2000), pp. 951–965]. 相似文献
17.
Abstract The multivariate elliptically contoured distributions provide a viable framework for modeling time-series data. It includes the multivariate normal, power exponential, t, and Cauchy distributions as special cases. For multivariate elliptically contoured autoregressive models, we derive the exact likelihood equations for the model parameters. They are closely related to the Yule-Walker equations and involve simple function of the data. The maximum likelihood estimators are obtained by alternately solving two linear systems and illustrated using the simulation data. 相似文献
18.
Inferential analysis for the reliability parameter based on the three-parameter Lindley distribution
ABSTRACTIn this article, we consider the estimation of R = P(Y < X), when Y and X are two independent three-parameter Lindley (LI) random variables. On the basis of two independent samples, the modified maximum likelihood estimator along its asymptotic behavior and conditional likelihood-based estimator are used to estimate R. We also propose sample-based estimate of R and the associated credible interval based on importance sampling procedure. A real life data set involving the times to breakdown of an insulating fluid is presented and analyzed for illustrative purposes. 相似文献
19.
Process capability indices are routinely used in manufacturing industries for process monitoring. A basic assumption while using process capability indices is that there are no assignable causes of variation present. However, when variation due to an assignable cause is present and is tolerated, the conventional methods of capability measurement become inaccurate. In this article, we suggest an estimate of Cpk assuming that the process capability changes dynamically. We obtain an exact form of the sampling distribution in the presence of a systematic assignable cause. We discuss the problem of testing whether a given process is capable. The critical values for different sample sizes are obtained based on the sampling distribution. An example involving tool wear problem is presented. 相似文献
20.
Z. A. Abo-Eleneen 《统计学通讯:理论与方法》2013,42(5):682-691
Recently, progressively Type II censored samples have attracted attention in the study and analysis of life-testing data. Here we propose an indirect approach for computing the Fisher information (FI) in progressively Type II censored samples that simplifies the calculations. Some recurrence relations for the FI in progressively Type II censored samples are derived that facilitate the FI computation using the proposed decomposition. This paper presents a standard recurrence relation that simplifies computation of the FI in progressively Type II censored samples to a sum; FI in collections order statistics (OS). We compute the FI in a collections of progressively Type II censored samples for some known distributions. 相似文献