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191.
女性主义对性别的社会建构性的强调,只是在证明人的命运是后天决定而非先天注定的,这对于今天女性在社会上的成功具有十分重要的意义.  相似文献   
192.
Despite the simplicity of the Bernoulli process, developing good confidence interval procedures for its parameter—the probability of success p—is deceptively difficult. The binary data yield a discrete number of successes from a discrete number of trials, n. This discreteness results in actual coverage probabilities that oscillate with the n for fixed values of p (and with p for fixed n). Moreover, this oscillation necessitates a large sample size to guarantee a good coverage probability when p is close to 0 or 1.

It is well known that the Wilson procedure is superior to many existing procedures because it is less sensitive to p than any other procedures, therefore it is less costly. The procedures proposed in this article work as well as the Wilson procedure when 0.1 ≤p ≤ 0.9, and are even less sensitive (i.e., more robust) than the Wilson procedure when p is close to 0 or 1. Specifically, when the nominal coverage probability is 0.95, the Wilson procedure requires a sample size 1, 021 to guarantee that the coverage probabilities stay above 0.92 for any 0.001 ≤ min {p, 1 ?p} <0.01. By contrast, our procedures guarantee the same coverage probabilities but only need a sample size 177 without increasing either the expected interval width or the standard deviation of the interval width.  相似文献   
193.
This article considers a dependent insurance risk model. We assume that the inter-arrival time depends on the previous claim size through a deterministic threshold structure. Adjustment coefficient and Lundberg-type upper bound for the ruin probability are obtained. In case of exponential claim size, an explicit solution for the ruin probability is obtained by solving a system of ordinary delay differential equations. Some numerical results are included for illustration purposes.  相似文献   
194.
Search design is searching and estimating for a few non zero effects in a large set of effects along with estimation of elements in a set of unknown parameters. In presence of noise, the probability of discrimination between the true non zero effect from an alternative one depends on the design and an unknown parameter, say ρ. We develop a new criterion for design comparison which is independent of ρ and for a family density weight function show that it discriminates and ranks the designs precisely. This criterion is invariance to the variable noise which may be present between designs due to noise factors. This allows us to extend the design comparison to classes of equivalent designs.  相似文献   
195.
We propose a new weighting (WT) method to handle missing categorical outcomes in longitudinal data analysis using generalized estimating equations (GEE). The proposed WT provides a valid GEE estimator when the data are missing at random (MAR), and has more stable weights and shows advantage in efficiency compared to the inverse probability weighing method in the presence of small observation probabilities. The WT estimator is similar to the stabilized weighting (SWT) estimator under mild conditions, but it is more stable and efficient than SWT when the associations of the outcome with the observation probabilities and the covariate are strong.  相似文献   
196.
The problems of constructing tolerance intervals for the binomial and Poisson distributions are considered. Closed-form approximate equal-tailed tolerance intervals (that control percentages in both tails) are proposed for both distributions. Exact coverage probabilities and expected widths are evaluated for the proposed equal-tailed tolerance intervals and the existing intervals. Furthermore, an adjustment to the nominal confidence level is suggested so that an equal-tailed tolerance interval can be used as a tolerance interval which includes a specified proportion of the population, but does not necessarily control percentages in both tails. Comparison of such coverage-adjusted tolerance intervals with respect to coverage probabilities and expected widths indicates that the closed-form approximate tolerance intervals are comparable with others, and less conservative, with minimum coverage probabilities close to the nominal level in most cases. The approximate tolerance intervals are simple and easy to compute using a calculator, and they can be recommended for practical applications. The methods are illustrated using two practical examples.  相似文献   
197.
In this article, the ruin probability is examined in a discrete time risk model with a constant interest rate, in which the dependent claims are assumed to have a one-sided linear structure. An explicit asymptotic formula is obtained for the ruin probability. Generalized Lundberg inequalities for the ruin probability are derived by martingale and inductive approaches.  相似文献   
198.
By representing fair betting odds according to one or more pairs of confidence set estimators, dual parameter distributions called confidence posteriors secure the coherence of actions without any prior distribution. This theory reduces to the maximization of expected utility when the pair of posteriors is induced by an exact or approximate confidence set estimator or when a reduction rule is applied to the pair. Unlike the p-value, the confidence posterior probability of an interval hypothesis is suitable as an estimator of the indicator of hypothesis truth since it converges to 1 if the hypothesis is true or to 0 otherwise.  相似文献   
199.
A Lagrangian probability distribution of the first kind is proposed. Its probability mass function is expressed in terms of generalized Laguerre polynomials or, equivalently, a generalized hypergeometric function. The distribution may also be formulated as a Charlier series distribution generalized by the generalizing Consul distribution and a non central negative binomial distribution generalized by the generalizing Geeta distribution. This article studies formulation and properties of the distribution such as mixture, dispersion, recursive formulas, conditional distribution and the relationship with queuing theory. Two illustrative examples of application to fitting are given.  相似文献   
200.
Abstract

This article develops quasi-likelihood estimation for generalized varying coefficient partially linear models when the response is not always observable. This article considers two estimation methods and shows that under the assumption of selection on the observables the resulting estimators are asymptotically normal. As an application of these results this article proposes a new estimator for the average treatment effect parameter. A simulation study illustrates the finite sample properties of the proposed estimators.  相似文献   
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