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61.
Abhiman Das  Subhash C. Ray  Ashok Nag   《Omega》2009,37(2):411-425
This paper uses data envelopment analysis to measure labor-use efficiency of individual branches of a large public sector bank with a sizable network of branches across India. We find considerable variation in the average levels of efficiency of bank branches across the four metropolitan regions considered in this study. In this context, we introduce the concept of area or spatial efficiency for each region relative to the nation as a whole. Our findings suggest that the policies, procedures, and incentives handed down from the corporate level cannot fully neutralize the detrimental influence of the local work culture across different regions. Most of the potential reduction in labor cost appears to be coming from possible downsizing in the clerical and subordinate staff. Our analysis identifies branches that operate at very low levels of labor-use efficiency and possible candidates for increased supervision and control.  相似文献   
62.

A multi-item inventory model with constant demand and infinite replenishment is developed under the restrictions on storage area, total average shortage cost and total average inventory investment cost. These restrictions may be precise or imprecise. Here, it is assumed that inventory costs are directly proportional to the respective quantities, and unit purchase/production cost is inversely related to the demand. Restricted shortages are allowed but fully backlogged. First, the problem is formulated in crisp environment taking the deterministic and precise inventory parameters. It is solved by both geometric programming (GP) and gradient-based non-linear programming (NLP) methods. Later, the problem is formulated with fuzzy goals on constraints and objectives where impreciseness is introduced through linear membership functions. It is solved using the fuzzy geometric programming (FGP) method. The inventory models are illustrated with numerical values and compared with the crisp results. A sensitivity analysis on the optimum order quantity and average cost is also presented due to the variation in the tolerance of total average inventory investment cost and total average shortage cost following Dutta et al., 1993, Fuzzy Sets and Systems, 55, 133-142.  相似文献   
63.
In the unbalanced one-way random effects model the weighted least squares approach with estimated weights is used to develop a relatively simple estimator of variance components. As the number of classes increases, the proposed estimator is seen not only to be best asymptotically normal but also to be asymptotically equivalent to the maximum likelihood estimator.  相似文献   
64.
Asymptotics for REML estimation of spatial covariance parameters   总被引:2,自引:0,他引:2  
In agricultural field trials, restricted maximum likelihood estimation (REML) of the spatial covariance parameters is often preferred to maximum likelihood. Although it has either been conjectured or assumed that REML estimators are asymptotically Gaussian, conditions under which such asymptotic results hold are clearly needed. This article gives checkable conditions for spatial regression when sampling locations are either on a rectangular grid or are irregularly spaced but satisfy certain growth conditions.  相似文献   
65.
In this paper, we study the problem of finding the optimal release time of a software meant to be marketed over a finite time horizon. The optimal design scheme considers reduction of the whole cost, achievement of a specified reliability with some high probability, or a combination of the both. We assume that the software is debugged periodically and the bug detection rates in the pre-release and post-release periods are different. We derive the optimal solution in each case. We also demonstrate the utility of the results through simulations, leading to different types of graphs showing the relationship between the target reliability, specified budget and the optimal number of additional debugging periods.  相似文献   
66.
Statistics and Computing - In real-world Bayesian inference applications, prior assumptions regarding the parameters of interest may be unrepresentative of their actual values for a given dataset....  相似文献   
67.
In response surface methodology, rotatability and slope-rotatability are natural and highly desirable properties for second-order regression models. In this paper a measure of robust slope-rotatability for second-order response surface designs with a general correlated error structure is developed and illustrated with different examples for autocorrelated error structure.  相似文献   
68.
The problem considered is that of finding D-optimal design for the estimation of covariate parameters and the treatment and block contrasts in a block design set up in the presence of non stochastic controllable covariates, when N = 2(mod 4), N being the total number of observations. It is clear that when N ≠ 0 (mod 4), it is not possible to find designs attaining minimum variance for the estimated covariate parameters. Conditions for D-optimum designs for the estimation of covariate parameters were established when each of the covariates belongs to the interval [?1, 1]. Some constructions of D-optimal design have been provided for symmetric balanced incomplete block design (SBIBD) with parameters b = v, r = k = v ? 1, λ =v ? 2 when k = 2 (mod 4) and b is an odd integer.  相似文献   
69.
Optimal block designs for a certain type of triallel cross experiments are investigated. Nested balanced block designs are introduced and it is shown how these designs give rise to optimal designs for triallel crosses. Several .series of nested balanced block designs, leading to optimal designs for triallel crosses are reported.  相似文献   
70.
The problem of simultaneous estimation of variance components is considered for a balanced hierarchical mixed model under a sum of squared error loss. A new class of estimators is suggested which dominate the usual sensible estimators. These estimators shrink towards the geometric mean of the component mean squares that appear in the ANOVA table. Numerical results are tabled to exhibit the improvement in risk under a simple model.  相似文献   
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