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61.
汪文珑 《绍兴文理学院学报》2005,(1)
研究非均匀介质、各向异性和连续能量的板模型迁移算子A在部分反射边界条件下的渐近点谱及其聚点.在F (1≤P< ∞)空间获得了算子A的渐近点谱以及谱聚点的分布等新的结果. 相似文献
62.
Bhaswati Ganguli John Staudenmayer M.P. Wand 《Australian & New Zealand Journal of Statistics》2005,47(2):193-202
This paper develops a likelihood‐based method for fitting additive models in the presence of measurement error. It formulates the additive model using the linear mixed model representation of penalized splines. In the presence of a structural measurement error model, the resulting likelihood involves intractable integrals, and a Monte Carlo expectation maximization strategy is developed for obtaining estimates. The method's performance is illustrated with a simulation study. 相似文献
63.
Song Xi Chen Wolfgang Härdle Ming Li 《Journal of the Royal Statistical Society. Series B, Statistical methodology》2003,65(3):663-678
Summary. Standard goodness-of-fit tests for a parametric regression model against a series of nonparametric alternatives are based on residuals arising from a fitted model. When a parametric regression model is compared with a nonparametric model, goodness-of-fit testing can be naturally approached by evaluating the likelihood of the parametric model within a nonparametric framework. We employ the empirical likelihood for an α -mixing process to formulate a test statistic that measures the goodness of fit of a parametric regression model. The technique is based on a comparison with kernel smoothing estimators. The empirical likelihood formulation of the test has two attractive features. One is its automatic consideration of the variation that is associated with the nonparametric fit due to empirical likelihood's ability to Studentize internally. The other is that the asymptotic distribution of the test statistic is free of unknown parameters, avoiding plug-in estimation. We apply the test to a discretized diffusion model which has recently been considered in financial market analysis. 相似文献
64.
本文用水热法生长了Al~(3+):α-SiO_2石英晶体,测量了γ射线辐照赋色的晶体的吸收光谱。主要的可见吸收带位于2、61ev,2.07ev和2.30ev处。其中2、6ev和2、07ev吸收带是GOW心(即〔Al_(e+)〕°心)产生的色心吸收带。本文理论上计算了GOW心的电子能态。对应该心两个吸收带的理论值分别位于2、72ev和1.94ev与实验结果相符。 相似文献
65.
Martin Hazelton 《Statistics and Computing》1995,5(4):343-350
Some statistical models defined in terms of a generating stochastic mechanism have intractable distribution theory, which renders parameter estimation difficult. However, a Monte Carlo estimate of the log-likelihood surface for such a model can be obtained via computation of nonparametric density estimates from simulated realizations of the model. Unfortunately, the bias inherent in density estimation can cause bias in the resulting log-likelihood estimate that alters the location of its maximizer. In this paper a methodology for radically reducing this bias is developed for models with an additive error component. An illustrative example involving a stochastic model of molecular fragmentation and measurement is given. 相似文献
66.
Abstract. The likelihood ratio statistic for testing pointwise hypotheses about the survival time distribution in the current status model can be inverted to yield confidence intervals (CIs). One advantage of this procedure is that CIs can be formed without estimating the unknown parameters that figure in the asymptotic distribution of the maximum likelihood estimator (MLE) of the distribution function. We discuss the likelihood ratio-based CIs for the distribution function and the quantile function and compare these intervals to several different intervals based on the MLE. The quantiles of the limiting distribution of the MLE are estimated using various methods including parametric fitting, kernel smoothing and subsampling techniques. Comparisons are carried out both for simulated data and on a data set involving time to immunization against rubella. The comparisons indicate that the likelihood ratio-based intervals are preferable from several perspectives. 相似文献
67.
Summary Letg(x) andf(x) be continuous density function on (a, b) and let {ϕj} be a complete orthonormal sequence of functions onL
2(g), which is the set of squared integrable functions weighted byg on (a, b). Suppose that
over (a, b). Given a grouped sample of sizen fromf(x), the paper investigates the asymptotic properties of the restricted maximum likelihood estimator of density, obtained by
setting all but the firstm of the ϑj’s equal to0. Practical suggestions are given for performing estimation via the use of Fourier and Legendre polynomial series.
Research partially supported by: CNR grant, n. 93. 00837. CT10. 相似文献
68.
Jeffrey S. Simonoff 《Statistics and Computing》1995,5(3):245-252
The standard approach to non-parametric bivariate density estimation is to use a kernel density estimator. Practical performance of this estimator is hindered by the fact that the estimator is not adaptive (in the sense that the level of smoothing is not sensitive to local properties of the density). In this paper a simple, automatic and adaptive bivariate density estimator is proposed based on the estimation of marginal and conditional densities. Asymptotic properties of the estimator are examined, and guidance to practical application of the method is given. Application to two examples illustrates the usefulness of the estimator as an exploratory tool, particularly in situations where the local behaviour of the density varies widely. The proposed estimator is also appropriate for use as a pilot estimate for an adaptive kernel estimate, since it is relatively inexpensive to calculate. 相似文献
69.
70.
Inge S. Helland 《Scandinavian Journal of Statistics》1998,25(1):3-15
Several authors have contributed to what can now be considered a rather complete theory for analysis of variance in cases with orthogonal factors. By using this theory on an assumed basic reference population, the orthogonality concept gives a natural definition of independence between factors in the population. By looking upon the treated units in designed experiments as a formal sample from a future population about which we want to make inference, a natural parametrization of expectations and variances connected to such experiments arises. This approach seems to throw light upon several controversial questions in the theory of mixed models. Also, it gives a framework for discussing the choice of conditioning in models 相似文献