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311.
本文利用新福利经济学的分析方法根据我国养老保险基金筹集模式的现状,指出其存在帕累托改进的可能,在比较和借鉴国际养老基金筹集模式的基础上,得出了强调养老保险基金筹集中个人责任的重要性,并对我国养老保险基金新模式的设计提出了自己的看法.  相似文献   
312.
多目标演化算法的研究热点集中在Pareto最优概念的种群个体的比较与排序、适应值赋值与小生境技术等方面 .基于这一点 ,本文给出了一个排序算法 ,并验证了其有效性 .  相似文献   
313.
Mori  Osamu 《Theory and Decision》2003,55(3):257-272
In this paper I investigate the possibility of a dictatorship in the context of Harsanyi's Social Aggregation Theorem. Preliminarily, some propositions about Harsanyi's Theorem are presented using an alternative principle that I name Quasi-strong Pareto, which is the latter part of Strong Pareto. Then I define dictatorship as a requirement that social preference agrees with a dictator's preference or those of members of dictatorial group even if their preferences strictly contradict those of all other people in the society. Conclusively, although in each version of Harsanyi's Theorem with Pareto Indifference, Weak Preference Pareto or Weak Pareto the social utility function may have a form of dictatorship, however if individuals' vNM utility functions are all 'individualistic' and Quasi-strong Pareto is satisfied, then the dictatorship is excluded.  相似文献   
314.
博客用户在线行为分为发文行为和流失行为.由于这两种行为分别与交易过程中客户的购买行为和流失行为具有相似性,选择借鉴客户基分析中的Pareto/NBD模型进行预测.考虑到用户间交互性对博客用户在线行为具有重要影响,通过比例风险模型向经典的Pareto/NBD模型中加入体现用户间交互性的协变量.Pareto/NBD模型经过改进,实现了对博客用户在线行为的预测.实证研究以用户博客空间中的总评论量和总浏览量作为协变量.数据分析结果显示,当使用总评论量作为影响流失行为的协变量时,改进模型的预测精度显著提高.进一步分析还发现,总评论量对博客用户“存活”时长的正向激励存在着阈值.  相似文献   
315.
316.
This paper sheds light on the large sample performance of the three stage sam- pling procedure, as it pertains to estimating the scale parameter(s) of the Pareto distribution(s). This group sampling procedure merges the efficiency of the purely sequential procedure of Anscombe (1953) and Chow and Robbins (1965) with substan-tial savings in the number of sampling operations, as noted by Hall (1981). Both its simplicity and its economical features provide visible advantages over the one-by-one sampling as an alternative. In this paper we develop some asymptotic properties for the final stage sample size of the triple stage sampling originated by Hall (1981). These results are used to study both the point and the interval estimation problems for the scale parameters of the Pareto distributions. Since our results are asymptotic in nature, a simulation study is given to discuss the moderate sample size peformance of the proposed procedures.  相似文献   
317.
Abstract

In this paper, we study Pareto-optimal reinsurance policies from the perspectives of an insurer and a reinsurer, assuming reinsurance premium principles satisfy risk loading and stop-loss ordering preserving. By geometric approach, we determine the forms of the optimal policies among two classes of ceded loss functions, the class of increasing convex ceded loss functions and the class that the constraints on both ceded and retained loss functions are relaxed to increasing functions. Then we demonstrate the applicability of our results by giving the parameters of the optimal ceded loss functions under Dutch premium principle and Wang’s premium principle.  相似文献   
318.
For the complete sample and the right Type II censored sample, Chen [Joint confidence region for the parameters of Pareto distribution. Metrika 44 (1996), pp. 191–197] proposed the interval estimation of the parameter θ and the joint confidence region of the two parameters of Pareto distribution. This paper proposed two methods to construct the confidence region of the two parameters of the Pareto distribution for the progressive Type II censored sample. A simulation study comparing the performance of the two methods is done and concludes that Method 1 is superior to Method 2 by obtaining a smaller confidence area. The interval estimation of parameter ν is also given under progressive Type II censoring. In addition, the predictive intervals of the future observation and the ratio of the two future consecutive failure times based on the progressive Type II censored sample are also proposed. Finally, one example is given to illustrate all interval estimations in this paper.  相似文献   
319.
Abstract.  Modelling the tails of a multivariate distribution can be reasonably done by multivariate generalized Pareto distributions (GPDs). We present several methods of parametric estimation in these models, which use decompositions of the corresponding random vectors with the help of different versions of Pickands coordinates. The estimators are compared to each other with simulated data sets. To show the practical value of the methods, they are applied to a real hydrological data set.  相似文献   
320.
Abstract. Two new unequal probability sampling methods are introduced: conditional and restricted Pareto sampling. The advantage of conditional Pareto sampling compared with standard Pareto sampling, introduced by Rosén (J. Statist. Plann. Inference, 62, 1997, 135, 159), is that the factual inclusion probabilities better agree with the desired ones. Restricted Pareto sampling, preferably conditioned or adjusted, is able to handle cases where there are several restrictions on the sample and is an alternative to the recent cube method for balanced sampling introduced by Deville and Tillé (Biometrika, 91, 2004, 893). The new sampling designs have high entropy and the involved random numbers can be seen as permanent random numbers.  相似文献   
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