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181.
In this paper, we consider noninformative priors for the ratio of variances in two normal populations. We develop first and second order matching priors. We find that the second order matching prior matches alternative coverage probabilities up to the second order and is also a HPD matching prior. It turns out that among the reference priors, only one-at-a-time reference prior satisfies a second order matching criterion. Our simulation study indicates that the one-at-a-time reference prior performs better than other reference priors in terms of matching the target coverage probabilities in a frequentist sense. This work is supported by Korea Research Foundation Grant (KRF-2004-002-C00041). 相似文献
182.
Thomas S. Shively Thomas W. Sager Stephen G. Walker 《Journal of the Royal Statistical Society. Series B, Statistical methodology》2009,71(1):159-175
Summary. The paper proposes two Bayesian approaches to non-parametric monotone function estimation. The first approach uses a hierarchical Bayes framework and a characterization of smooth monotone functions given by Ramsay that allows unconstrained estimation. The second approach uses a Bayesian regression spline model of Smith and Kohn with a mixture distribution of constrained normal distributions as the prior for the regression coefficients to ensure the monotonicity of the resulting function estimate. The small sample properties of the two function estimators across a range of functions are provided via simulation and compared with existing methods. Asymptotic results are also given that show that Bayesian methods provide consistent function estimators for a large class of smooth functions. An example is provided involving economic demand functions that illustrates the application of the constrained regression spline estimator in the context of a multiple-regression model where two functions are constrained to be monotone. 相似文献
183.
Guillermo Martínez-Flórez Barry C. Arnold Heleno Bolfarine Héctor W. Gómez 《Journal of statistical planning and inference》2013
The main object of this paper is to propose a multivariate extension to the alpha-power model which is an alternative to the multivariate skew-normal model (Arellano-Valle and Azzalini, 2008). It also extends the power-normal model discussed in Gupta and Gupta (2008) by making it more flexible. Inference is dealt with by using the likelihood approach and a pseudo-likelihood approach based on conditional distributions which, although slightly less efficient, is simpler to implement. An application to a real data set is used to demonstrate the usefulness of the extension. 相似文献
184.
A simulation study was done to compare seven confidence interval methods, based on the normal approximation, for the difference of two binomial probabilities. Cases considered included minimum expected cell sizes ranging from 2 to 15 and smallest group sizes (NMIN) ranging from 6 to 100. Our recommendation is to use a continuity correction of 1/(2 NMIN) combined with the use of (N ? 1) rather than N in the estimate of the standard error. For all of the cases considered with minimum expected cell size of at least 3, this method gave coverage probabilities close to or greater than the nominal 90% and 95%. The Yates method is also acceptable, but it is slightly more conservative. At the other extreme, the usual method (with no continuity correction) does not provide adequate coverage even at the larger sample sizes. For the 99% intervals, our recommended method and the Yates correction performed equally well and are reasonable for minimum expected cell sizes of at least 5. None of the methods performed consistently well for a minimum expected cell size of 2. 相似文献
185.
Ronald W. Helms 《The American statistician》2013,67(4):253-256
Statistical hypotheses and test statistics are Boolean functions that can be manipulated using the tools of Boolean algebra. These tools are particularly useful for exploring multiple comparisons or simultaneous inference theory, in which multiparameter hypotheses or multiparameter test statistics may be decomposed into combinations of uniparameter hypotheses or uniparameter tests. These concepts are illustrated with both finite and infinite decompositions of familiar multiparameter hypotheses and tests. The corresponding decompositions of acceptance regions and rejection regions are also shown. Finally, the close relationship between hypothesis and test decompositions and Roy's union—intersection principle is demonstrated by a derivation of the union—intersection test of the univariate general linear hypothesis. 相似文献
186.
James W. Hardin 《The American statistician》2013,67(4):320-321
Box's paper helicopter has been used to teach experimental design for more than a decade. It is simple, inexpensive, and provides real data for an involved, multifactor experiment. Unfortunately it can also further an all-too-common practice that Professor Box himself has repeatedly cautioned against, namely ignoring the fundamental science while rushing to solve problems that may not be sufficiently understood. Often this slighting of the science so as to get on with the statistics is justified by referring to Box's oft-quoted maxim that “All models are wrong, however some are useful.” Nevertheless, what is equally true, to paraphrase both Professor Box and George Orwell, is that “All models are wrong, but some are more wrong than others.” To experiment effectively it is necessary to understand the relevant science so as to distinguish between what is usefully wrong, and what is dangerously wrong.This article presents an improved analysis of Box's helicopter problem relying on statistical and engineering knowledge and shows that this leads to an enhanced paper helicopter, requiring fewer experimental trails and achieving superior performance. In fact, of the 20 experimental trials run for validation—10 each of the proposed aerodynamic design and the conventional full factorial optimum—the longest 10 flight times all belong to the aerodynamic optimum, while the shortest 10 all belong to the conventional full factorial optimum. I further discuss how ancillary engineering knowledge can be incorporated into thinking about—and teaching—experimental design. 相似文献
187.
M. L. Walker Y. H. Dovoedo S. Chakraborti C. W. Hilton 《The American statistician》2013,67(4):348-353
The boxplot is an effective data-visualization tool useful in diverse applications and disciplines. Although more sophisticated graphical methods exist, the boxplot remains relevant due to its simplicity, interpretability, and usefulness, even in the age of big data. This article highlights the origins and developments of the boxplot that is now widely viewed as an industry standard as well as its inherent limitations when dealing with data from skewed distributions, particularly when detecting outliers. The proposed Ratio-Skewed boxplot is shown to be practical and suitable for outlier labeling across several parametric distributions. 相似文献
188.
Suppose that data {(x l,i,n , y l,i,n ): l?=?1, …, k; i?=?1, …, n} are observed from the regression models: Y l,i,n ?=?m l (x l,i,n )?+?? l,i,n , l?=?1, …, k, where the regression functions {m l } l=1 k are unknown and the random errors {? l,i,n } are dependent, following an MA(∞) structure. A new test is proposed for testing the hypothesis H 0: m 1?=?·?·?·?=?m k , without assuming that {m l } l=1 k are in a parametric family. The criterion of the test derives from a Crámer-von-Mises-type functional based on different distances between {[mcirc]} l and {[mcirc]} s , l?≠?s, l, s?=?1, …, k, where {[mcirc] l } l=1 k are nonparametric Gasser–Müller estimators of {m l } l=1 k . A generalization of the test to the case of unequal design points, with different sample sizes {n l } l=1 k and different design densities {f l } l=1 k , is also considered. The asymptotic normality of the test statistic is obtained under general conditions. Finally, a simulation study and an analysis with real data show a good behavior of the proposed test. 相似文献
189.
E. Kofler, G. Menges: Entscheidungen bei unvollständiger Information. Lecture Notes in Economics and Mathematical Systems 136. Springer-Verlag, Berlin-Heidelberg-NewYork 1976, 357 S., DM 31. B. S. Everitt: The Analysis ot Contingency Tables. Chapman and Han, London 1977, 128 S., £ 3.75. O. Barndorff-Nielsen: Information and Exponential Families in Statistical Theory. J. Wiley & Sons, Chichester-New York-Brisbane-Toronto 1978, 247 S., £ 13.50; $ 28.50. W. Gilchrist: Statisticai Forecasting. J. Wiley & Sons, London-New York-Sydney-Toronto 1976, 321 S., £ 9.50; $ 19.00. J. M. Chambers: Computational Methods for Data Analysis. J. Wiley & Sons, New York Chichester-Brisbane-Toronto 1977, 279 pp., £ 11.30. A. Hughes, D. Grawoig: Statistics: A Foundation for Analysis. Addison-Wesley Publishing Company, Reading-Menlo-Park London-Don Mills 1971, 525 S., $ 11.50. K.Krickeberg, H.Ziezold: Stochastiche Methoden. Springer Verlag, Berlin-Heidelberg-New York 1977, 201 S., 13 Abb., DM 28. Ch. Schneeweiss: Inventory-Production Theory. A Linear Policy Approach. Lecture Notes in Economics and Mathematical Systems 151. Springer Verlag, Berlin-Heidelberg-NewYork 1977, 122 S., 13 Abb., 9 Tab., DM 18. S. Dworatschek: Grundlagen der Datenverarbeltung, 6., völlig neu bearb. u. erw. Aufl., Walter de Gruyter, Berlin-New York 1977, 538 S., 200 Abb., 212 Üb.Aufg., 59 Fotos, DM 38. H. E. Steinhagen, S. Fuchs:Objekterkennung. Einführung in die mathematischen Methoden der Zeichenerkennung. VEB Verlag Technik, Berlin 1976, 436 S., 165 Abb., 32 Tab., 49,–.M. G. Tinhofer: Mathematik für Studlenanfänger, Carl Hanser Verlag, München 1977, 464 S., 191 Abb., DM 38. 相似文献
190.
Since the squared ranks test was first proposed by Taha in 1964 it has been mentioned by several authors as a test that is easy to use, with good power in many situations. It is almost as easy to use as the Wilcoxon rank sum test, and has greater power when two populations differ in their scale parameters rather than in their location parameters. This paper discuss the versatility of the squared ranks test, introduces a test which uses squared ranks, and presents some exact tables 相似文献