首页 | 本学科首页   官方微博 | 高级检索  
文章检索
  按 检索   检索词:      
出版年份:   被引次数:   他引次数: 提示:输入*表示无穷大
  收费全文   7284篇
  免费   142篇
  国内免费   34篇
管理学   328篇
民族学   29篇
人口学   149篇
丛书文集   246篇
理论方法论   118篇
综合类   1831篇
社会学   92篇
统计学   4667篇
  2024年   5篇
  2023年   26篇
  2022年   59篇
  2021年   60篇
  2020年   112篇
  2019年   203篇
  2018年   236篇
  2017年   462篇
  2016年   150篇
  2015年   173篇
  2014年   259篇
  2013年   2037篇
  2012年   554篇
  2011年   304篇
  2010年   218篇
  2009年   244篇
  2008年   264篇
  2007年   266篇
  2006年   234篇
  2005年   230篇
  2004年   193篇
  2003年   176篇
  2002年   169篇
  2001年   155篇
  2000年   130篇
  1999年   75篇
  1998年   68篇
  1997年   50篇
  1996年   41篇
  1995年   34篇
  1994年   25篇
  1993年   30篇
  1992年   27篇
  1991年   26篇
  1990年   26篇
  1989年   22篇
  1988年   15篇
  1987年   16篇
  1986年   8篇
  1985年   11篇
  1984年   13篇
  1983年   15篇
  1982年   7篇
  1981年   4篇
  1980年   4篇
  1979年   6篇
  1978年   5篇
  1977年   6篇
  1976年   3篇
  1975年   4篇
排序方式: 共有7460条查询结果,搜索用时 15 毫秒
181.
Normal theory separation and allocation problems are discussed from a predictive point of view. Influence statistics are defined and employed to ascertain the impact that particular observations will have on the inferential goals—allocation of future observations, separation between populations, and the determination of probabilities for future cases. Methods are illustrated on a collection of financial data taken from Johnson and Wichern (1982).  相似文献   
182.
Abstract

We propose a cure rate survival model by assuming that the number of competing causes of the event of interest follows the negative binomial distribution and the time to the event of interest has the Birnbaum-Saunders distribution. Further, the new model includes as special cases some well-known cure rate models published recently. We consider a frequentist analysis for parameter estimation of the negative binomial Birnbaum-Saunders model with cure rate. Then, we derive the appropriate matrices for assessing local influence on the parameter estimates under different perturbation schemes. We illustrate the usefulness of the proposed model in the analysis of a real data set from the medical area.  相似文献   
183.
A contingency table of the mc form provides a convenient summary of data when c individuals in a matched set9 each belonging to a different one of c classifications, are identified as belonging to one of m categories, A study in which matched sets (c=3) of 1 case, 1 hospital control, and 1 neighborhood control are classified into one of m=4 occupational categories would be an example, Independence in the cxm tables for each of the matched sets implies symmetry in the summary mc table with consequent marginal homogeneity. Adaptation of the Mantel-Haenszel procedure for testing independence to the case of many cxm tables so as to yield a chi square with (cl)(ml) degrees of freedom (DF) provides a test of marginal homogeneity in the summary mc table. This can be viewed as a test of symmetry directed against alternatives which would make for marginal inhomogeneity and can differ  相似文献   
184.

Methods are given for estimating the average years of life lost when a person is discovered to be at risk from an extra hazard. The methods use the probability per year of the extra risk striking, and the mean and standard deviation of lifetime in the absence of the risk. The formulae are simple enough that only a hand‐held calculator is needed.  相似文献   
185.
清代广西三界庙地理分布与三界神信仰探析   总被引:1,自引:0,他引:1  
三界庙在清代广西各府中都有分布,主要集中分布在南宁、浔州、郁林、平乐、梧州等五府(州),呈现出一种沿着西江流域自东向西递减的分布规律,在郁江两岸分布最为密集。清代广西已经初步形成了三界神祭祀圈,而这种祭祀圈的出现与三界神的现实功利色彩有着密不可分的关系。  相似文献   
186.
浅析中国土族人口分布格局及其社会发展   总被引:2,自引:0,他引:2  
人口分布格局,既是人在空间分布上呈现出来的地理状态,又是许多附着于分布环境上的社会人文变量的外在表现,因此对其进行研究具有探索自然和认识社会的双重意义。本文就中国土族人口的分布格局进行探讨,从历史和现实两方面分析了形成这种分布的原因,并在此基础上探讨了与人口分布格局密切相关的人口城市化、人口流动、人口素质提高、区域经济发展等社会热点问题,以期为政府政策的制定提供可靠的依据。  相似文献   
187.
In the present article, we discuss the regression of a point on the surface of a unit sphere in d dimensions given a point on the surface of a unit sphere in p dimensions, where p may not be equal to d. Point projection is added to the rotation and linear transformation for regression link function. The identifiability of the model is proved. Then, parameter estimation in this set up is discussed. Simulation studies and data analyses are done to illustrate the model.  相似文献   
188.
In this paper, we propose a robust estimation procedure for a class of non‐linear regression models when the covariates are contaminated with Laplace measurement error, aiming at constructing an estimation procedure for the regression parameters which are less affected by the possible outliers, and heavy‐tailed underlying distribution, as well as reducing the bias introduced by the measurement error. Starting with the modal regression procedure developed for the measurement error‐free case, a non‐trivial modification is made so that the modified version can effectively correct the potential bias caused by measurement error. Large sample properties of the proposed estimate, such as the convergence rate and the asymptotic normality, are thoroughly investigated. A simulation study and real data application are conducted to illustrate the satisfying finite sample performance of the proposed estimation procedure.  相似文献   
189.
Abstract

In the fields of internet financial transactions and reliability engineering, there could be more zero and one observations simultaneously. In this paper, considering that it is beyond the range where the conventional model can fit, zero-and-one-inflated geometric distribution regression model is proposed. Ingeniously introducing Pólya-Gamma latent variables in the Bayesian inference, posterior sampling with high-dimensional parameters is converted to latent variables sampling and posterior sampling with lower-dimensional parameters, respectively. Circumventing the need for Metropolis-Hastings sampling, the sample with higher sampling efficiency is obtained. A simulation study is conducted to assess the performance of the proposed estimation for various sample sizes. Finally, a doctoral dissertation data set is analyzed to illustrate the practicability of the proposed method, research shows that zero-and-one-inflated geometric distribution regression model using Pólya-Gamma latent variables can achieve better fitting results.  相似文献   
190.
Abstract

This paper considers an extension of the classical discrete time risk model for which the claim numbers are assumed to be temporal dependence and overdispersion. The risk model proposed is based on the first-order integer-valued autoregressive (INAR(1)) process with discrete compound Poisson distributed innovations. The explicit expression for the moment generating function of the discounted aggregate claim amount is derived. Some numerical examples are provided to illustrate the impacts of dependence and overdispersion on related quantities such as the stop-loss premium, the value at risk and the tail value at risk.  相似文献   
设为首页 | 免责声明 | 关于勤云 | 加入收藏

Copyright©北京勤云科技发展有限公司  京ICP备09084417号