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181.
Suppose we consider a general multiple type II censored sample (some middle observations being censored) from a shifted exponential distribution. The maximum likelihood prediction method does not admit explicit solutions. We introduce a simple approximation to one of prediction likelihood equations and derive approximate predictors of missing failure times. We compute their mean square prediction errors by simulation and compare them with the best linear predictors. Further, we present two real examples to illustrate this method of prediction.AMS Subject Classification (2000): 62G30, 62M20, 62F99  相似文献   
182.
The purpose of this study was to determine the frequency of sexual abuse and depression among street children who live in a deprived district of Tehran. The researchers used the K-SADS questionnaire and a clinical interview were used to evaluate depression and sexual abuse in 87 street children in Tehran. Eighteen (20.9%) of the children had been sexually abused. Depressed children were 3.2 times more likely to be sexually abused than non-depressed children. Furthermore, 26 girls (86.7%) and 27 boys (48.2%) suffered from depression. The frequency of depression demonstrated a significant association with the father's or breadwinner's history of imprisonment or unemployment. Interventional programs providing education and support should be implemented for street children.  相似文献   
183.
Adaptive cluster sampling is an efficient method of estimating the parameters of rare and clustered populations. The method mimics how biologists would like to collect data in the field by targeting survey effort to localised areas where the rare population occurs. Another popular sampling design is inverse sampling. Inverse sampling was developed so as to be able to obtain a sample of rare events having a predetermined size. Ideally, in inverse sampling, the resultant sample set will be sufficiently large to ensure reliable estimation of population parameters. In an effort to combine the good properties of these two designs, adaptive cluster sampling and inverse sampling, we introduce inverse adaptive cluster sampling with unequal selection probabilities. We develop an unbiased estimator of the population total that is applicable to data obtained from such designs. We also develop numerical approximations to this estimator. The efficiency of the estimators that we introduce is investigated through simulation studies based on two real populations: crabs in Al Khor, Qatar and arsenic pollution in Kurdistan, Iran. The simulation results show that our estimators are efficient.  相似文献   
184.
Most problems related to environmental studies are innately multivariate. In fact, in each spatial location more than one variable is usually measured. In geostatistics multivariate data analysis, where we intend to predict the value of a random vector in a new site, which has no data, cokriging method is used as the best linear unbiased prediction. In lattice data analysis, where almost exclusively the probability modeling of data is of concern, only auto-Gaussian model has been used for continuous multivariate data. For discrete multivariate data little work has been carried out. In this paper, an auto-multinomial model is suggested for analyzing multivariate lattice discrete data. The proposed method is illustrated by a real example of air pollution in Tehran, Iran.  相似文献   
185.
In this article, we propose a novel approach to fit a functional linear regression in which both the response and the predictor are functions. We consider the case where the response and the predictor processes are both sparsely sampled at random time points and are contaminated with random errors. In addition, the random times are allowed to be different for the measurements of the predictor and the response functions. The aforementioned situation often occurs in longitudinal data settings. To estimate the covariance and the cross‐covariance functions, we use a regularization method over a reproducing kernel Hilbert space. The estimate of the cross‐covariance function is used to obtain estimates of the regression coefficient function and of the functional singular components. We derive the convergence rates of the proposed cross‐covariance, the regression coefficient, and the singular component function estimators. Furthermore, we show that, under some regularity conditions, the estimator of the coefficient function has a minimax optimal rate. We conduct a simulation study and demonstrate merits of the proposed method by comparing it to some other existing methods in the literature. We illustrate the method by an example of an application to a real‐world air quality dataset. The Canadian Journal of Statistics 47: 524–559; 2019 © 2019 Statistical Society of Canada  相似文献   
186.
In many fields, the researchers are interested in making inferences about the ratio of skewnesses in two independent populations. In the present paper, the asymptotic distribution for the ratio of the sample skewnesses in two independent populations is established. Then the asymptotic distribution is used to derive the asymptotic confidence interval and to test the hypothesis for the ratio of population's skewnesses. Finally, the applicability of the proposed method is investigated through Monte Carlo simulations.  相似文献   
187.
188.
This article deals with an extension of sequential order statistics which is useful for describing system lifetimes with independent but heterogeneous components. Explicit expressions for marginal distributions as well means of system lifetimes are derived. Some special cases and illustrative examples are also investigated.  相似文献   
189.
Optimization of multi-response problems is a popular subject in the literature. However, the problem becomes complicated when the responses are functional due to the existence of signal factors. In this article, we have proposed a combined index to optimize multivariate multiple functional responses by considering functional specification limits and a target. The relation among the responses and controllable factors is characterized by polynomial equations to consider the curvature of the response functions. The validity of the proposed method is checked by a simulation example. To show the applicability of the proposed method, a real case about Tehran air quality is analyzed. Latitude and longitude are considered to be signal factors, and different pollutant values are responses of the experiment. Government policies in each time interval are considered as controllable factors. Finally, an optimization algorithm is used to find the best decisions for government policies.  相似文献   
190.
In this article, a new economical acceptance sampling model is proposed based on Taguchi loss function. The objective function of the model consists of inspection cost, scrap cost, and Taguchi loss function including producer loss and consumer loss. The expected total cost includes the loss for an inspected item plus the loss for an accepted item which has not been inspected. Decision-making is based on conforming run length. It is assumed that the quality characteristics follow normal distribution. A numerical example is solved for illustrating application of this model. Sensitivity analysis is proposed for illustrating the effect of some important parameters on the objective function. Finally, we compared the results of the proposed method with classical Dodge–Romig sampling plans tables based on average outgoing quality limit. The results confirmed the superiority of proposed model.  相似文献   
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