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991.
Kendall and Gehan estimating functions are commonly used to estimate the regression parameter in accelerated failure time model with censored observations in survival analysis. In this paper, we apply the jackknife empirical likelihood method to overcome the computation difficulty about interval estimation. A Wilks’ theorem of jackknife empirical likelihood for U-statistic type estimating equations is established, which is used to construct the confidence intervals for the regression parameter. We carry out an extensive simulation study to compare the Wald-type procedure, the empirical likelihood method, and the jackknife empirical likelihood method. The proposed jackknife empirical likelihood method has a better performance than the existing methods. We also use a real data set to compare the proposed methods. 相似文献
992.
This study examines the comparative probabilities of making a correct selection when using the means procedure (M), the medians procedure (D) and the rank-sum procedure (S) to correctly select the normal population with the largest mean under heterogeneity of variance. The comparison is conducted by using Monte-Carlo simulation techniques for 3, 4, and 5 normal populations under the condition that equal sample sizes are taken from each population. The population means and standard deviations are assumed to be equally-spaced. Two types of heterogeneity of variance are considered: (1) associating larger means with larger variances, and (2) associating larger means with smaller variances. 相似文献
993.
Anastasia Kostaki 《Mathematical Population Studies》2013,20(4):277-288
In this paper we outline and evaluate a nine‐parameter version of the Heligman‐Pollard formula. In our applications, using mortality data for five European countries we found that this version provides closer fits to empirical mortality data than the classical eight‐parameter formula, thus eliminating a source of systematic error in this latter formula. 相似文献
994.
Shipra Banik 《统计学通讯:模拟与计算》2013,42(8):1236-1261
Several researchers considered various interval estimators for estimating the population coefficient of variation (CV) of symmetric and skewed distributions. Since they considered at different times and under different simulation conditions, their performances are not comparable as a whole. In this article, an attempt has been made to review some existing estimators along with some proposed methods and compare them under the same simulation condition. In particular, we have considered Hendricks and Robey, Mckay, Miller, Sharma and Krishna, Curto and Pinto, and also some bootstrap proposed interval estimators for estimating the population CV. A simulation study has been conducted to compare the performance of the estimators. Both average widths and coverage probabilities are considered as a criterion of the good estimators. Two real life health related data sets are analyzed to illustrate the findings of the article. Based on the simulation study, some possible good interval estimators have been recommended for the practitioners. 相似文献
995.
The well known birthday problem asks for the probability of at least one match out of a group of n people. Also of interest are the number of matches and the number of matched people. In this paper the means and variances of the number of matches and matched people are obtained. A generalization of the use of these methods to computer storage analysis is discussed. 相似文献
996.
Philip J. Smith 《统计学通讯:模拟与计算》2013,42(1):69-84
Prior information regarding the interrelation of two Bernoulli processes may justify a clinical trial designed to corroborate this information. Antelman (1973) has studied the Dirichlet-beta which permits the expression of the prior knowledge of such interrelation. However, use of this prior distribution leads to complicated and intractable analyses. Alternately, such prior information regarding the interrelation of the processes may be adequately summarized by a simple Dirichlet distribution. Procedures for testing hypotheses regarding a priori interrelations of the success probabilities of the processes are given. Exact expressions for the posterior probabi1ities of these hypotheses are shown to be approximately equal to weighted p-values or 1ikelihood ratios. 相似文献
997.
Marcel F. Neuts 《统计学通讯:模拟与计算》2013,42(3):367-373
If a probability distribution of phase type has an irreducible representation (α,T), the abscissa of convergence of its Laplace-Stieltjes transform is shown to be the eigenvalue of maximum real part of the matrix T. 相似文献
998.
The Shewhart, Bonferroni-adjustment, and analysis of means (ANOM) control charts are typically applied to monitor the mean of a quality characteristic. The Shewhart and Bonferroni procedure are utilized to recognize special causes in production process, where the control limits are constructed by assuming normal distribution for known parameters (mean and standard deviation), and approximately normal distribution regarding to unknown parameters. The ANOM method is an alternative to the analysis of variance method. It can be used to establish the mean control charts by applying equicorrelated multivariate non central t distribution. In this article, we establish new control charts, in phases I and II monitoring, based on normal and t distributions having as a cause a known (or unknown) parameter (standard deviation). Our proposed methods are at least as effective as the classical Shewhart methods and have some advantages. 相似文献
999.
Since 1943, numerous papers have discussed the problem of the distribution of the distance between random points in rectangles, considering special cases such as two points in the same square, points in adjacent squares, two rectangles sharing a side and others. The problems arise in a variety of settings: operations research, population studies, urban planning, physical chemistry, chemical physics and materials science. Reported results are all of special cases with formulas specific to each case. It is possible to put such problems in a general setting with a single formula that handles all the particular cases. The method is well suited to computing and use of graphics. Now that computers and graphic output are commonplace it seems worthwhile to describe the general method and provide program outlines for computing and plotting the resulting distributions. We do that in this article. 相似文献
1000.
《Journal of Statistical Computation and Simulation》2012,82(8):1559-1581
In this paper, we suggest classification procedures of an observation into one of two exponential populations assuming a known ordering between population parameters. We propose classification rules when either location or scale parameters are ordered. Some of these classification rules under ordering are better than usual classification rules with respect to the expected probability of correct classification. We also derive likelihood ratio-based classification rules. Comparison of these classification rules has been done using Monte Carlo simulations. 相似文献