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71.
A method for constructing asymmetrical (mixed-level) designs, satisfying the balancing and interaction estimability requirements with a number of runs as small as possible, is proposed in this paper. The method, based on a heuristic procedure, uses a new optimality criterion formulated here. The proposed method demonstrates efficiency in terms of searching time and optimality of the attained designs. A complete collection of such asymmetrical designs with two- and three-level factors is available. A technological application is also presented.  相似文献   
72.
The generalized Pareto distribution is used to model the exceedances over a threshold in a number of fields, including the analysis of environmental extreme events and financial data analysis. We use this model in a default Bayesian framework where no prior information is available on unknown model parameters. Using a large simulation study, we compare the performance of our posterior estimations of parameters with other methods proposed in the literature. We show that our procedure also allows to make inferences in other quantities of interest in extreme value analysis without asymptotic arguments. We apply the proposed methodology to a real data set.  相似文献   
73.
74.
In the research reported in this article, we attempt to identify the background and process factors influencing the effectiveness of groupwork with computers in terms of mathematics learning. The research used a multi-site case study design in six schools and involved eight groups of six mixed-sex, mixed-ability pupils (aged 9–12) undertaking three research tasks – two using Logo and one a database. Our findings suggest that, contrary to other recent research, the pupil characteristics of gender and ability have no direct influence on progress in group tasks with computers. However, status effects – pupils' perceptions of gender and ability – do have an effect on the functioning of the group, which in turn can impede progress for all pupils concerned.  相似文献   
75.
In this paper, we introduce the subdistribution beta‐Stacy process, a novel Bayesian nonparametric process prior for subdistribution functions useful for the analysis of competing risks data. In particular, we (i) characterize this process from a predictive perspective by means of an urn model with reinforcement, (ii) show that it is conjugate with respect to right‐censored data, and (iii) highlight its relations with other prior processes for competing risks data. Additionally, we consider the subdistribution beta‐Stacy process prior in a nonparametric regression model for competing risks data, which, contrary to most others available in the literature, is not based on the proportional hazards assumption.  相似文献   
76.
Diversification in agriculture could ensure the survival of farming by broadening the income base of farms and encouraging agricultural sustainability. The diversification of on-farm activities may depend on socioeconomic and environmental characteristics. Although multifunctionality is a hotly debated topic, few papers have focused on the farm characteristics that influence diversification and none have focused on the influence of the spatial pattern. This paper examines the relationship between farm characteristics and the adoption of a specific type of diversification. An econometric model is presented that uses a spatial autoregressive lag model at the municipal scale. The results demonstrate that the activation of each diversification dimension is influenced by both internal and external factors, encompassing farmers’ characteristics, the farm structure, and territorial features, including regional and spatial patterns. Deepening is mainly influenced by the farmer’s age, education, and the presence of small and labor-intensive farms. The key factors for broadening diversification are the presence of small farms and farms with mixed production (breeding and crop cultivation). Regrounding is most affected by the labor-intensive farms in the area and the farms with mixed production.  相似文献   
77.
A random distribution function on the positive real line which belongs to the class of neutral to the right priors is defined. It corresponds to the superposition of independent beta processes at the cumulative hazard level. The definition is constructive and starts with a discrete time process with random probability masses obtained from suitably defined products of independent beta random variables. The continuous time version is derived as the corresponding infinitesimal weak limit and is described in terms of completely random measures. It takes the interpretation of the survival distribution resulting from independent competing failure times. We discuss prior specification and illustrate posterior inference on a real data example.  相似文献   
78.
Definitions and linkages between operational and strategic flexibilities   总被引:2,自引:0,他引:2  
Alberto  Stefano   《Omega》2005,33(6):525-540
This paper aims at clarifying the concept of strategic flexibility, starting from that much more common of manufacturing flexibility (or operational one). After characterizing the dimensions of the latter, a classification of strategic flexibility is presented which distinguishes four categories. The measures of strategic flexibility are also investigated. Then two analogies are pointed out with the operational flexibility. The first, of the cause-effect type, is on two levels: at the business level, the operational flexibility estimates the variation of practices, while the strategic flexibility measures the effect obtained on performances; at the corporate level, the operational flexibility estimates the variation of competences, while the strategic flexibility evaluates the change in business. The second analogy, related to the classification variables, permits the main types of operational and strategic flexibilities to be placed in a single framework. So this study seeks to provide a framework—which has not been proposed in prior literature—for analyzing and evaluating the correlated concepts of operational and strategic flexibilities, to create a theoretical foundation for future research and empirical testing.  相似文献   
79.
Sensitivity analysis aims to ascertain how each model input factor influences the variation in the model output. In performing global sensitivity analysis, we often encounter the problem of selecting the required number of runs in order to estimate the first order and/or the total indices accurately at a reasonable computational cost. The Winding Stairs sampling scheme (Jansen M.J.W., Rossing W.A.H., and Daamen R.A. 1994. In: Gasman J. and van Straten G. (Eds.), Predictability and Nonlinear Modelling in Natural Sciences and Economics. pp. 334–343.) is designed to provide an economic way to compute these indices. The main advantage of it is the multiple use of model evaluations, hence reducing the total number of model evaluations by more than half. The scheme is used in three simulation studies to compare its performance with the classic Sobol' LP. Results suggest that the Jansen Winding Stairs method provides better estimates of the Total Sensitivity Indices at small sample sizes.  相似文献   
80.
Over the period 2002–11, the Colombian labour market saw a marked improvement in employment opportunities, accompanied by an increase in nonstandard forms of employment. The authors look at how this affected employment quality, using a composite index based on Categorical Principal Components Analysis (CATPCA). They observe a small but widespread improvement in employment quality – mainly for self‐employed women – brought about by higher earnings, increased social protection and less time‐related underemployment. However, a considerable “quality deficit” remains, which calls for policies to strengthen labour market institutions and stimulate productivity and investment.  相似文献   
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