全文获取类型
收费全文 | 16038篇 |
免费 | 572篇 |
国内免费 | 207篇 |
专业分类
管理学 | 781篇 |
劳动科学 | 34篇 |
民族学 | 422篇 |
人才学 | 6篇 |
人口学 | 262篇 |
丛书文集 | 3012篇 |
理论方法论 | 727篇 |
综合类 | 10115篇 |
社会学 | 590篇 |
统计学 | 868篇 |
出版年
2024年 | 22篇 |
2023年 | 74篇 |
2022年 | 224篇 |
2021年 | 341篇 |
2020年 | 200篇 |
2019年 | 188篇 |
2018年 | 215篇 |
2017年 | 313篇 |
2016年 | 277篇 |
2015年 | 484篇 |
2014年 | 640篇 |
2013年 | 784篇 |
2012年 | 939篇 |
2011年 | 1184篇 |
2010年 | 1206篇 |
2009年 | 1246篇 |
2008年 | 1231篇 |
2007年 | 1366篇 |
2006年 | 1257篇 |
2005年 | 1064篇 |
2004年 | 659篇 |
2003年 | 573篇 |
2002年 | 694篇 |
2001年 | 595篇 |
2000年 | 295篇 |
1999年 | 184篇 |
1998年 | 89篇 |
1997年 | 75篇 |
1996年 | 90篇 |
1995年 | 66篇 |
1994年 | 47篇 |
1993年 | 32篇 |
1992年 | 34篇 |
1991年 | 17篇 |
1990年 | 26篇 |
1989年 | 19篇 |
1988年 | 18篇 |
1987年 | 18篇 |
1986年 | 7篇 |
1985年 | 6篇 |
1984年 | 3篇 |
1983年 | 3篇 |
1982年 | 2篇 |
1981年 | 5篇 |
1980年 | 1篇 |
1977年 | 2篇 |
1973年 | 2篇 |
排序方式: 共有10000条查询结果,搜索用时 15 毫秒
51.
从统计学视角审视网络舆论倾向性的监测问题,提出了以粗糙分类器为基础建立舆论倾向性分类模型,将复杂的预警指标体系简化为单一直观的跟踪统计量,并通过跟踪统计量动态跟踪舆论倾向性变化轨迹的研究方法。实证研究以2011年郭美美事件相关新闻跟帖为对象。分析表明,网络舆论的消极倾向性在整个事件发展过程中呈持续增长,与基本事实相符,证实了方法的可行性和适用性。 相似文献
52.
国内外学者对我国GDP数据质量的质疑重点已从年度数据转到季度数据,从全国数据转向地方数据。本文通过设计一套较为系统且可操作性强的季度GDP评估指标体系,运用空间面板数据模型对各省区的季度GDP数据质量进行了实证检验。结果表明,整体来看,中国各省区季度GDP同各经济指标的匹配性较好,数据质量较高,并不存在明显的失真现象;从时间上来看,每年一、二季度的GDP存在一定程度的高估,而每年三、四季度的GDP则存在一定程度的低估,但是这种偏差在统计上不显著;分地区来看,尽管一半省区的季度GDP存在一定程度的高估,另一半省区存在一定程度的低估,但大部分省区高估或低估的程度在统计上不显著。文章进一步分析了其中的原因。 相似文献
53.
Bayes methodology provides posterior distribution functions based on parametric likelihoods adjusted for prior distributions. A distribution-free alternative to the parametric likelihood is use of empirical likelihood (EL) techniques, well known in the context of nonparametric testing of statistical hypotheses. Empirical likelihoods have been shown to exhibit many of the properties of conventional parametric likelihoods. In this paper, we propose and examine Bayes factors (BF) methods that are derived via the EL ratio approach. Following Kass and Wasserman (1995), we consider Bayes factors type decision rules in the context of standard statistical testing techniques. We show that the asymptotic properties of the proposed procedure are similar to the classical BF's asymptotic operating characteristics. Although we focus on hypothesis testing, the proposed approach also yields confidence interval estimators of unknown parameters. Monte Carlo simulations were conducted to evaluate the theoretical results as well as to demonstrate the power of the proposed test. 相似文献
54.
For Canada's boreal forest region, the accurate modelling of the timing of the appearance of aspen leaves is important to forest fire management, as it signifies the end of the spring fire season that occurs after snowmelt. This article compares two methods, a midpoint rule and a conditional expectation method used to estimate the true flush date for interval-censored data from a large set of fire-weather stations in Alberta, Canada. The conditional expectation method uses the interval censored kernel density estimator of Braun et al. (2005). The methods are compared via simulation, where true flush dates were generated from a normal distribution and then converted into intervals by adding and subtracting exponential random variables. The simulation parameters were estimated from the data set and several scenarios were considered. The study reveals that the conditional expectation method is never worse than the midpoint method, and that there is a significant advantage to this method when the intervals are large. An illustration of the methodology applied to the Alberta data set is also provided. 相似文献
55.
This article presents a model-based signal extraction seasonal adjustment procedure to extract estimates of the independent unobserved seasonal and nonseasonal components from an observed time series. The decomposition yields a one-sided filter that is optimal for adjusting the most recent observation under the assumption of using only the past observed series. Some advantages of this procedure are that no forecasts are required for implementation and there are no problems of revision of estimates or questions of concurrent adjustment. Comparisons are made with existing procedures using two-sided filters. 相似文献
56.
The goal of uniform mixture design is to scatter the design points in the experimental region uniformly. The commonly used criteria, such as mean square distance, are based on the Euclidean distance. Based on the Lee distance, a new criterion is proposed in this article. And an algorithm, called NTLBG, is also proposed to refine the randomly generated design for the experimental design with mixtures. Some examples show that the design generated by the NTLBG algorithm has a lower criteria value. 相似文献
57.
In this article, we investigate the limitations of traditional quantile function estimators and introduce a new class of quantile function estimators, namely, the semi-parametric tail-extrapolated quantile estimators, which has excellent performance for estimating the extreme tails with finite sample sizes. The smoothed bootstrap and direct density estimation via the characteristic function methods are developed for the estimation of confidence intervals. Through a comprehensive simulation study to compare the confidence interval estimations of various quantile estimators, we discuss the preferred quantile estimator in conjunction with the confidence interval estimation method to use under different circumstances. Data examples are given to illustrate the superiority of the semi-parametric tail-extrapolated quantile estimators. The new class of quantile estimators is obtained by slight modification of traditional quantile estimators, and therefore, should be specifically appealing to researchers in estimating the extreme tails. 相似文献
58.
In this paper, we are concerned with a test for the index parameter and index function in the single-index model. Based on the estimates obtained by the quantile regression, we extend the generalized analysis-of-variance-type test to the single-index model. We investigate the asymptotic behavior of the proposed test and demonstrate that its limiting null distribution follows an asymptotically χ2-distribution. The simulation studies and real data applications are conducted to illustrate the finite sample performance of the proposed methods. 相似文献
59.
ABSTRACTMarkov chain Monte Carlo (MCMC) methods can be used for statistical inference. The methods are time-consuming due to time-vary. To resolve these problems, parallel tempering (PT), as a parallel MCMC method, is tried, for dynamic generalized linear models (DGLMs), as well as the several optimal properties of our proposed method. In PT, two or more samples are drawn at the same time, and samples can exchange information with each other. We also present some simulations of the DGLMs in the case and provide two applications of Poisson-type DGLMs in financial research. 相似文献
60.
ABSTRACTDiscrepancies are measures which are defined as the deviation between the empirical and the theoretical uniform distribution. In this way, discrepancy is a measure of uniformity which provides a way of construction a special kind of space filling designs, namely uniform designs. Several discrepancies have been proposed in recent literature. A brief, selective review of these measures including some construction algorithms are given in this paper. Furthermore, a critical discussion along with some comparisons is provided, as well. 相似文献