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141.
Margaret Mering Contributor 《Serials Review》2013,39(1-2):66-68
AbstractIFLA Library Reference Model (IFLA LRM) represents the consolidation of Functional Requirements for Bibliographic Records (FRBR) and the two other conceptual models of the Functional Requirements (FR) family, the Functional Requirements for Authority Data (FRAD) and the Functional Requirements for Subject Authority Data (FRSAD). IFLA LRM includes a specific section (5.8) devoted to serials. The RDA Steering Committee adopted IFLA LRM as the conceptual model for the development of RDA in November 2016. The 3R (RDA Toolkit Restructure and Redesign) Project’s purpose is partly to make RDA compatible with the IFLA LRM. A beta version of the English-language content of the RDA Toolkit, which incorporates the IFLA LRM, was released in June 2018. This column explores, in lay terms, serials in relation to the IFLA LRM and the RDA Toolkit Restructure and Redesign (3R) Project. The beta version of the restructured and redesigned RDA Toolkit introduces several new concepts relating to serials. 相似文献
142.
A global measure of biomarker effectiveness is the Youden index, the maximum difference between sensitivity, the probability of correctly classifying diseased individuals, and 1-specificity, the probability of incorrectly classifying healthy individuals. The cut-point leading to the index is the optimal cut-point when equal weight is given to sensitivity and specificity. Using the delta method, we present approaches for estimating confidence intervals for the Youden index and corresponding optimal cut-point for normally distributed biomarkers and also those following gamma distributions. We also provide confidence intervals using various bootstrapping methods. A comparison of interval width and coverage probability is conducted through simulation over a variety of parametric situations. Confidence intervals via delta method are shown to have both closer to nominal coverage and shorter interval widths than confidence intervals from the bootstrapping methods. 相似文献
143.
When incomplete repeated failure times are collected from a large number of independent individuals, interest is focused primarily on the consistent and efficient estimation of the effects of the associated covariates on the failure times. Since repeated failure times are likely to be correlated, it is important to exploit the correlation structure of the failure data in order to obtain such consistent and efficient estimates. However, it may be difficult to specify an appropriate correlation structure for a real life data set. We propose a robust correlation structure that can be used irrespective of the true correlation structure. This structure is used in constructing an estimating equation for the hazard ratio parameter, under the assumption that the number of repeated failure times for an individual is random. The consistency and efficiency of the estimates is examined through a simulation study, where we consider failure times that marginally follow an exponential distribution and a Poisson distribution is assumed for the random number of repeated failure times. We conclude by using the proposed method to analyze a bladder cancer dataset. 相似文献
144.
Arthur G. Holms 《统计学通讯:模拟与计算》2013,42(1):51-71
As many as three iterated statistical model deletion procedures are considered for an experiment.Population model coeff cients were chosen to simulate a saturated 24experiment having an unfavorable distribution of parameter values.Using random number studies, three model selection strategies were developed, namely, (1) a strategy to be used in anticipation of large coefficients of variation (neighborhood of 65 percent), (2) strategy to be used in anticipation of small coefficients of variation (4 percent or less), and (3) a security regret strategy to be used in the absence of such prior knowledge 相似文献
145.
These Fortran-77 subroutines provide building blocks for Generalized Cross-Validation (GCV) (Craven and Wahba, 1979) calculations in data analysis and data smoothing including ridge regression (Golub, Heath, and Wahba, 1979), thin plate smoothing splines (Wahba and Wendelberger, 1980), deconvolution (Wahba, 1982d), smoothing of generalized linear models (O'sullivan, Yandell and Raynor 1986, Green 1984 and Green and Yandell 1985), and ill-posed problems (Nychka et al., 1984, O'sullivan and Wahba, 1985). We present some of the types of problems for which GCV is a useful method of choosing a smoothing or regularization parameter and we describe the structure of the subroutines.Ridge Regression: A familiar example of a smoothing parameter is the ridge parameter X in the ridge regression problem which we write. 相似文献
146.
In this paper, the authors derived the large sample distribution of the t statistic based upon the observations on the first principal component instead of the original variables. It is shown that the above statistic is distributed asymptotically as Student's t distribution. 相似文献
147.
The joint effect of the deletion of the ith and jih cases is given by Gray and Ling (1984), they discussed the influence measures for influential subsets in linear regression analysis. The present paper is concerned with multiple sets of deletion measures in the linear regression model. In particular we are interested in the effects of the jointly and conditional influence analysis for the detection of two influential subsets. 相似文献
148.
AbstractIn this paper, we introduce a version of Hayter and Tsui's statistical test with double sampling for the vector mean of a population under multivariate normal assumption. A study showed that this new test was more or as efficient than the well-known Hotelling's T2 with double sampling. Some nice features of Hayter and Tsui's test are its simplicity of implementation and its capability of identifying the errant variables when the null hypothesis is rejected. Taking that into consideration, a new control chart called HTDS is also introduced as a tool to monitor multivariate process vector mean when using double sampling. 相似文献
149.
Leila Mohammadi 《统计学通讯:理论与方法》2013,42(19):4730-4747
150.
This paper deals with the problem of selecting the “best” population from a given number of populations in a decision theoretic framework. The class of selection rules considered is based on a suitable partition of the sample space. A selection rule is given which is shown to have certain optimum properties among the selection rules in the given class for a mal rules are known. 相似文献