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71.
Moshe Lang Audrey Jones Sarah Calvert Catherine Sanders 《Australian and New Zealand Journal of Family Therapy》2000,21(4):219-222
Six readers were asked to recall papers from earlier issues of this journal and to write briefly about what made these papers stand out in their minds. These readers have also been unable to resist the temptation to mention other papers which they would like to have had the time to discuss as well! 相似文献
72.
Labor Migration has long been viewed as a strategy adopted by the household unit to allocate family resources rationally to
increase the flows of income and to raise family standard of living. The research reported here examines the extent to which
remittances sent by Filipino overseas workers increase the income and standard of living of households in the Philippines.
Data for the analysis were obtained from a representative sample of 2,388 households drawn in 1999–2000 from four major “labor
sending” areas in the Philippines. The analysis compares households with and without overseas workers to estimate the contribution
of remittances to household income and to household standard of living (measured once by an ‘objective’ indicator and once
by a ‘subjective’ assessment). The data reveal that due to remittances the income of households with overseas labor migrants
is considerably higher than the income of households without overseas workers. The data also reveal that remittances are used
mostly for consumption purposes (e.g. purchase of food, clothing, education, and goods) and that most of the difference in
standard of living (whether measured on the ‘objective’ or the ‘subjective’ scale) between households with and without overseas
workers are attributed to remittances. The implications of labor migration and the policy that encourages and supports labor
migration for the Filipino society are evaluated and discussed.
相似文献
Anastasia GorodzeiskyEmail: |
73.
This study examines employment and occupational shifts experienced by Filipino overseas contract workers in the transition from country of origin to country of destination and examines the impact of labor migration on economic conditions and standard of living of the families left behind. Data for the analyses were obtained from a representative sample of 2,346 households drawn from four primary sending areas in the Philippines. The analyses focus on characteristics of the households and of the household members employed overseas. The findings reveal that a considerable number of overseas workers (both men and women) were unemployed prior to migration and that the overwhelming majority of these workers were recruited to fill low‐status (manual and service) occupations in the host country. The analysis demonstrates that the odds for Filipino overseas workers to be employed in low‐status occupations were extremely high, net of human capital characteristics, net of the occupations they held in the Philippines, and net of country of destination. Further analysis reveals that overseas employment is associated with a substantial increase in earnings (five‐fold for men and four‐fold for women). Comparison between households with and without overseas workers reveals that, net of household characteristics, the flows of income earned abroad are used to purchase household goods to improve standard of living. These findings provide firm support to expectations derived from the household theory of migration according to which labor migration is a strategy adopted by the household unit to allocate family resources rationally to increase the flows of income in order to raise the family standard of living. 相似文献
74.
Noah Lewin‐Epstein Moshe Semyonov Irena Kogan Richard A. Wanner 《The International migration review》2003,37(2):389-420
The present study focuses on the incorporation of immigrants from the former Soviet Union in two receiving societies, Israel and Canada, during the first half of the 1990s. Both countries conducted national censuses in 1995 (Israel) and 1996 (Canada), making it possible to identify a large enough sample of immigrants and provide information on their demographic characteristics and their labor market activity. While both Canada and Israel are immigrant societies, their institutional contexts of immigrant reception differ considerably. Israel maintains no economic selection of the Jewish immigrants and provides substantial support for newcomers, who are viewed as a returning Diaspora. Canada employs multiple criteria for selecting immigrants, and the immigrants' social and economic incorporation is patterned primarily by market forces. The analysis first examines the characteristics of immigrants who arrived in the two countries and evaluates the extent of selectivity. Consistent with our hypotheses, Russian immigrants to Canada were more immediately suitable for the labor market, but experienced greater difficulty finding and maintaining employment. Nevertheless, immigrants to Canada attained higher‐status occupations and higher earnings than their compatriots in Israel did, although the Israeli labor market was more likely to reward their investments in education. 相似文献
75.
We formulate and estimate a multioutput bank's cost function amenable for distinguishing between economies of scale and economies of network density. We find significant returns to network density, especially for smaller banks. Diseconomies of scale are found for the larger banks, whereas the hypothesis of constant returns to scale could not be rejected for the smaller banks. 相似文献
76.
77.
The measurement of disproportionality, volatility and malapportionment often employ similar indices. Yet the debate on the
issue of adequate measurement has remained open. We offer a formal and rigorous list of properties that roughly subsume those
of Taagepera and Grofman (Party Polit 9(6):659–677, 2003). One of these properties, Dalton’s principle of transfers, is formalized
in a manner that resolves the ambiguity associated with it in previous studies. We show that the cosine measure satisfies all the properties. We also show how the Gallagher index can be modified to satisfy all the properties. The cosine
measure and the modified Gallagher measure are co-monotone. 相似文献
78.
79.
In this paper we review some notions of positive dependence of random variables with a common univariate marginal distribution and describe the related moment and probability inequalities. We first present a comparison between i.i.d. random variables and exchangeable random variables via an application of de Finetti's theorem, then describe some useful probability inequalities via partial orderings of the strength of their positive dependence. Finally, we state a result for random variables which are not necessarily exchangeable. Special applications to the multivariate normal distribution will be discussed, and the results involve only the correlation matrix of the distribution. 相似文献
80.
Moshe Sniedovich 《Risk analysis》2012,32(10):1630-1637
One would have expected the considerable public debate created by Nassim Taleb’s two best selling books on uncertainty, Fooled by Randomness and The Black Swan, to inspire greater caution to the fundamental difficulties posed by severe uncertainty. Yet, methodologies exhibiting an incautious approach to uncertainty have been proposed recently in a range of publications. So, the objective of this short note is to call attention to a prime example of an incautious approach to severe uncertainty that is manifested in the proposition to use the concept radius of stability as a measure of robustness against severe uncertainty. The central proposition of this approach, which is exemplified in info‐gap decision theory, is this: use a simple radius of stability model to analyze and manage a severe uncertainty that is characterized by a vast uncertainty space, a poor point estimate, and a likelihood‐free quantification of uncertainty. This short discussion serves then as a reminder that the generic radius of stability model is a model of local robustness. It is, therefore, utterly unsuitable for the treatment of severe uncertainty when the latter is characterized by a poor estimate of the parameter of interest, a vast uncertainty space, and a likelihood‐free quantification of uncertainty. 相似文献