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131.
Ernest Reig-Martínez 《Social indicators research》2013,111(2):527-547
This paper calculates a human Wellbeing Composite Index (WCI) for 42 countries, belonging to the European Economic Space, North Africa and the Middle East, as an alternative to the shortcomings of other well-known measures of socio-economic development (i.e. Gross Domestic Product per head and Human Development Index). To attain this goal, different data envelopment analysis (DEA) models are used as an aggregation tool for seven selected socio-economic variables which correspond to the following wellbeing dimensions: income per capita, environmental burden of disease, income inequality, gender gap, education, life expectancy at birth and government effectiveness. The use of DEA allows avoiding the subjectivity that would be involved in the exogenous determination of weights for the variables included in WCI. The aim is to establish a complete ranking of all countries in the sample, using a three-step process, with the last step consisting in the use of a model that combines DEA and compromise programming, and permits to obtain a set of common weights for all countries in the analysis. The results highlight the distance that still separates Southern Mediterranean countries from the benchmark levels established by some European countries, and also point to the main weaknesses in individual countries’ performance. Nordic countries, plus Switzerland, top the list of best performers, while Mauritania, Libya and Syria appear at the bottom. 相似文献
132.
In this paper, authors study properties and inference for the newly introduced skew-normal alpha-power model, generalizing both, the power-normal and skew-normal models. Inference is approached via maximum likelihood. Fisher information matrix is derived and shown to be nonsingular at the whole parametric space. Special emphasis is placed on the special case of the power–skew-normal model. Studies with real data illustrate the fact that the model can be very useful in applications, being able to overfit less general models entertained in the literature. 相似文献
133.
134.
José Manuel Herrerías-Velasco Rafael Herrerías-Pleguezuelo Johan René van Dorp 《Journal of applied statistics》2009,36(5):573-587
The generalized standard two-sided power (GTSP) distribution was mentioned only in passing by Kotz and van Dorp Beyond Beta, Other Continuous Families of Distributions with Bounded Support and Applications, World Scientific Press, Singapore, 2004. In this paper, we shall further investigate this three-parameter distribution by presenting some novel properties and use its more general form to contrast the chronology of developments of various authors on the two-parameter TSP distribution since its initial introduction. GTSP distributions allow for J-shaped forms of its pdf, whereas TSP distributions are limited to U-shaped and unimodal forms. Hence, GTSP distributions possess the same three distributional shapes as the classical beta distributions. A novel method and algorithm for the indirect elicitation of the two-power parameters of the GTSP distribution is developed. We present a Project Evaluation Review Technique example that utilizes this algorithm and demonstrates the benefit of separate powers for the two branches of activity GTSP distributions for project completion time uncertainty estimation. 相似文献
135.
Local or infinitesimal Bayesian robustness is a powerful tool to study the sensitivity of posterior magnitudes, which cannot be expressed in a simple manner. For these expressions, the global Bayesian robustness methodology does not seem adequate since the practitioner cannot avoid using inappropriate classes of prior distributions in order to make the model mathematically tractable. This situation occurs, for example, when we compute some types of premiums in actuarial statistics in order to fix the premium to be charged to an insurance policy. In this paper, analytical and simple expressions that allow us to study the sensitivity of premiums, which are usually used in automobile insurance are provided by using the local Bayesian robustness methodology. Some examples are examined by using real automobile claim insurance data. 相似文献
136.
María José Suárez 《Review of Economics of the Household》2013,11(4):545-561
This paper aims to analyze household decisions regarding the childcare of young children. We present two specifications. The first one assumes a sequential decision process. Firstly, parents choose between paid or unpaid care and, secondly, those who opt for paid childcare must decide whether to take their children to a nursery or pre-school or employ somebody to care for them. The second specification is a multinomial Logit in which it is assumed that parents choose from three alternatives: unpaid care, paid care by a nanny, and center-based care. We apply our models to a sample of working mothers with children under three. The database used is the 2008–2010 Spanish Survey of Quality of Working Life (Encuesta de Calidad de Vida en el Trabajo). The results are in line with previous work: Parental education, family composition, income and the characteristics of the mother’s job are important factors in determining the type of childcare chosen for under-three-year-olds. 相似文献
137.
This paper estimates von Neumann and Morgenstern utility functions using the generalized maximum entropy (GME), applied to data obtained by utility elicitation methods. Given the statistical advantages of this approach, we provide a comparison of the performance of the GME estimator with ordinary least square (OLS) in a real data small sample setup. The results confirm the ones obtained for small samples through Monte Carlo simulations. The difference between the two estimators is small and it decreases as the width of the parameter support vector increases. Moreover, the GME estimator is more precise than the OLS one. Overall, the results suggest that GME is an interesting alternative to OLS in the estimation of utility functions when data are generated by utility elicitation methods. 相似文献
138.
Exploiting the exogenous variation in user fees caused by a Swedish childcare reform, we are able to identify the causal effect of childcare costs on fertility in a context in which childcare enrollment is almost universal, user fees are low, and labor force participation of mothers is very high. Anticipation of a reduction in childcare costs increased the number of first and higher-order births, but only seemed to affect the timing of second births. For families with many children we also find a marginally significant negative income effect on fertility. 相似文献
139.
This study examines the relationship between financial strain and depressive symptoms in later life, and potential psychosocial
mediators of this relationship. Drawing on a sample of 214 low-income Latino older adults, we used structural equation modeling
to test the direct effect of chronic financial strain on depressive symptomatology, and the indirect effects via social support,
negative interaction, and coping styles. Findings indicated that financial strain increased the level of depressive symptoms
among this sample. Avoidance and approach-related coping styles emerged as independent determinants of depressive symptoms
albeit in opposite directions; higher levels of avoidance coping was associated with higher levels of depressive symptoms.
Contrary to previous findings on the general population, findings from the current study indicate that social support and
negative interaction were not directly associated with depressive symptoms. Financial strain mediated the effect of sociocultural
(nativity status, years of U.S. residence) and social status factors (age, education) on depressive symptoms. This study highlights
the differential impact of financial strain and coping styles on psychological well-being, and the potential psychosocial
targets of interventions for older adults with chronic health care conditions. 相似文献
140.
Luís Santos-Pinto 《Theory and Decision》2009,66(4):317-343
Research in psychology suggests that some individuals are more sensitive to positive than to negative information while others
are more sensitive to negative rather than positive information. I take these cognitive positive–negative asymmetries in information
processing to a Bayesian decision-theory model and explore its consequences in terms of decisions and payoffs. I show that
in monotone decision problems economic agents with more positive-responsive information structures are always better off,
ex ante, when they face problems where payoffs are relatively more sensitive to the action chosen when the state of nature
is favorable.
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