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41.
A finite mixture model using the multivariate t distribution has been shown as a robust extension of normal mixtures. In this paper, we present a Bayesian approach for inference about parameters of t-mixture models. The specifications of prior distributions are weakly informative to avoid causing nonintegrable posterior distributions. We present two efficient EM-type algorithms for computing the joint posterior mode with the observed data and an incomplete future vector as the sample. Markov chain Monte Carlo sampling schemes are also developed to obtain the target posterior distribution of parameters. The advantages of Bayesian approach over the maximum likelihood method are demonstrated via a set of real data. 相似文献
42.
群体决策支持系统的模型库研究 总被引:2,自引:0,他引:2
通过对传统模型及模型库的分析,指出其在网络环境下具有难以实现共享的不足.从模型在网络上共享及其软件实现的角度,在分布式网络数据库环境下,利用分布式网络数据库技术,设计了模型库的结构和机理;提出了模型库的构造方法;对模型库的内部控制方式进行了设计;提出了模型库对群体决策的支持方式;客户端的决策成员对模型库的共享与访问方法. 相似文献
43.
Estimated associations between an outcome variable and misclassified covariates tend to be biased when the methods of estimation that ignore the classification error are applied. Available methods to account for misclassification often require the use of a validation sample (i.e. a gold standard). In practice, however, such a gold standard may be unavailable or impractical. We propose a Bayesian approach to adjust for misclassification in a binary covariate in the random effect logistic model when a gold standard is not available. This Markov Chain Monte Carlo (MCMC) approach uses two imperfect measures of a dichotomous exposure under the assumptions of conditional independence and non-differential misclassification. A simulated numerical example and a real clinical example are given to illustrate the proposed approach. Our results suggest that the estimated log odds of inpatient care and the corresponding standard deviation are much larger in our proposed method compared with the models ignoring misclassification. Ignoring misclassification produces downwardly biased estimates and underestimate uncertainty. 相似文献
44.
Seismic risk can be reduced by implementing newly developed seismic provisions in design codes. Furthermore, financial protection or enhanced utility and happiness for stakeholders could be gained through the purchase of earthquake insurance. If this is not so, there would be no market for such insurance. However, perceived benefit associated with insurance is not universally shared by stakeholders partly due to their diverse risk attitudes. This study investigates the implied seismic design preference with insurance options for decisionmakers of bounded rationality whose preferences could be adequately represented by the cumulative prospect theory (CPT). The investigation is focused on assessing the sensitivity of the implied seismic design preference with insurance options to model parameters of the CPT and to fair and unfair insurance arrangements. Numerical results suggest that human cognitive limitation and risk perception can affect the implied seismic design preference by the CPT significantly. The mandatory purchase of fair insurance will lead the implied seismic design preference to the optimum design level that is dictated by the minimum expected lifecycle cost rule. Unfair insurance decreases the expected gain as well as its associated variability, which is preferred by risk-averse decisionmakers. The obtained results of the implied preference for the combination of the seismic design level and insurance option suggest that property owners, financial institutions, and municipalities can take advantage of affordable insurance to establish successful seismic risk management strategies. 相似文献
45.
王雪 《牡丹江师范学院学报(哲学社会科学版)》2008,(6):123-125
本文以系统功能语言学的语篇体载理论为依托,对该理论在大学英语写作教学中的应用进行了探讨。教师在写作教学实践中可以从引导学生挖掘不同语篇体裁的交际目的和社会文化背景入手,指导学生从宏观角度有效把握不同语篇体裁的概括性结构定武,鼓励学生逐步改进思维方式,从而全面提高写作能力。 相似文献
46.
班级管理在大学教育中的作用十分重要。从破窗理论出发.明确了班级环境在班级建设与发展中的重要地位,论述了班级中潜抑力量与压抑力量转化的意义,在此基础上进一步提出,要从加强日常管理、形成良性反馈机制、处理好突发事件三个方面预防“破窗现象”,并针对破窗理论的运用提出了建议。 相似文献
47.
Barbara Chaulk Phyllis J. Johnson Richard Bulcroft 《Journal of Family and Economic Issues》2003,24(3):257-279
Family development and prospect theory were used as a framework to predict variability in individuals' subjective financial risk tolerance within distinct family structures. Gender, age, and income were expected to interact with the main effects of family structure (marital status and children). Theory-generated hypotheses were examined in Study 1 (data from university housing respondents, n = 76) and Study 2 (the 1998 Survey of Consumer Finances, n = 4,305). One family structure main effect (child presence) was significant for investment risk tolerance in both studies. Family structure interactions (marital status × age and child × income) were significant for employment risk (Study 1), and child × age was significant for investment risk in Study 2. 相似文献
48.
全球经济一体化和企业国际化要求企业必须面对国际市场,参与国际竞争而重视国际营销则是颇为重要的方面。据此从包装的重要性出发,阐述了包装对于促销的意义、发展,进而论述了竞争整合营销传播战略对于企业的要求。 相似文献
49.
Kimmo Eriksson 《Scandinavian Journal of Statistics》2004,31(2):203-216
Abstract. This document presents a survey of the statistical and combinatorial aspects of four areas of comparative genomics: gene order based measures of evolutionary distances between species, construction of phylogenetic trees, detection of horizontal transfer of genes, and detection of ancient whole genome duplications. 相似文献
50.
On Optimality of Bayesian Wavelet Estimators 总被引:2,自引:0,他引:2
Felix Abramovich Umberto Amato Claudia Angelini 《Scandinavian Journal of Statistics》2004,31(2):217-234
Abstract. We investigate the asymptotic optimality of several Bayesian wavelet estimators, namely, posterior mean, posterior median and Bayes Factor, where the prior imposed on wavelet coefficients is a mixture of a mass function at zero and a Gaussian density. We show that in terms of the mean squared error, for the properly chosen hyperparameters of the prior, all the three resulting Bayesian wavelet estimators achieve optimal minimax rates within any prescribed Besov space for p ≥ 2. For 1 ≤ p < 2, the Bayes Factor is still optimal for (2 s +2)/(2 s +1) ≤ p < 2 and always outperforms the posterior mean and the posterior median that can achieve only the best possible rates for linear estimators in this case. 相似文献