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131.
132.
张蕾 《河北建筑科技学院学报(社会科学版)》2007,(2):83-84
随着经济的飞速发展,环境污染的现象日益严重,“环境危机”已成为人类不可回避的问题,“环境污染侵害之民事责任”问题成为当今世界研究的一个主要课题。由于环境污染侵害的特殊性,决定了其归责原则不同于一般民事侵权的归责原则。分析了环境污染损害赔偿的构成要件以及归责原则等重要问题,以求对我国环境侵害赔偿制度有所裨益。 相似文献
133.
A comparison of multiple imputation and doubly robust estimation for analyses with missing data 总被引:1,自引:0,他引:1
James R. Carpenter Michael G. Kenward Stijn Vansteelandt 《Journal of the Royal Statistical Society. Series A, (Statistics in Society)》2006,169(3):571-584
Summary. Multiple imputation is now a well-established technique for analysing data sets where some units have incomplete observations. Provided that the imputation model is correct, the resulting estimates are consistent. An alternative, weighting by the inverse probability of observing complete data on a unit, is conceptually simple and involves fewer modelling assumptions, but it is known to be both inefficient (relative to a fully parametric approach) and sensitive to the choice of weighting model. Over the last decade, there has been a considerable body of theoretical work to improve the performance of inverse probability weighting, leading to the development of 'doubly robust' or 'doubly protected' estimators. We present an intuitive review of these developments and contrast these estimators with multiple imputation from both a theoretical and a practical viewpoint. 相似文献
134.
The authors study the empirical likelihood method for linear regression models. They show that when missing responses are imputed using least squares predictors, the empirical log‐likelihood ratio is asymptotically a weighted sum of chi‐square variables with unknown weights. They obtain an adjusted empirical log‐likelihood ratio which is asymptotically standard chi‐square and hence can be used to construct confidence regions. They also obtain a bootstrap empirical log‐likelihood ratio and use its distribution to approximate that of the empirical log‐likelihood ratio. A simulation study indicates that the proposed methods are comparable in terms of coverage probabilities and average lengths of confidence intervals, and perform better than a normal approximation based method. 相似文献
135.
Imputation is commonly used to compensate for missing data in surveys. We consider the general case where the responses on either the variable of interest y or the auxiliary variable x or both may be missing. We use ratio imputation for y when the associated x is observed and different imputations when x is not observed. We obtain design-consistent linearization and jackknife variance estimators under uniform response. We also report the results of a simulation study on the efficiencies of imputed estimators, and relative biases and efficiencies of associated variance estimators. 相似文献
136.
Statistical disclosure control (SDC) is a balancing act between mandatory data protection and the comprehensible demand from researchers for access to original data. In this paper, a family of methods is defined to ‘mask’ sensitive variables before data files can be released. In the first step, the variable to be masked is ‘cloned’ (C). Then, the duplicated variable as a whole or just a part of it is ‘suppressed’ (S). The masking procedure's third step ‘imputes’ (I) data for these artificial missings. Then, the original variable can be deleted and its masked substitute has to serve as the basis for the analysis of data. The idea of this general ‘CSI framework’ is to open the wide field of imputation methods for SDC. The method applied in the I-step can make use of available auxiliary variables including the original variable. Different members of this family of methods delivering variance estimators are discussed in some detail. Furthermore, a simulation study analyzes various methods belonging to the family with respect to both, the quality of parameter estimation and privacy protection. Based on the results obtained, recommendations are formulated for different estimation tasks. 相似文献
137.
This article addresses issues in creating public-use data files in the presence of missing ordinal responses and subsequent statistical analyses of the dataset by users. The authors propose a fully efficient fractional imputation (FI) procedure for ordinal responses with missing observations. The proposed imputation strategy retrieves the missing values through the full conditional distribution of the response given the covariates and results in a single imputed data file that can be analyzed by different data users with different scientific objectives. Two most critical aspects of statistical analyses based on the imputed data set, validity and efficiency, are examined through regression analysis involving the ordinal response and a selected set of covariates. It is shown through both theoretical development and simulation studies that, when the ordinal responses are missing at random, the proposed FI procedure leads to valid and highly efficient inferences as compared to existing methods. Variance estimation using the fractionally imputed data set is also discussed. The Canadian Journal of Statistics 48: 138–151; 2020 © 2019 Statistical Society of Canada 相似文献
138.
D. M. Titterington 《统计学通讯:理论与方法》2013,42(18):2151-2167
Censoring, truncation and grouping represent different but related forms of incompleteness. Methods of producing kernel functions on the incomplete observations are proposed. They involve substituting for or averaging over the incomplete observations. Consistency of the procedures in terms of:the criterion of integrated mean squared error is established and optimal choice of smoothing parameter is achieved. 相似文献
139.
Gipeum Do 《Journal of Statistical Computation and Simulation》2017,87(4):631-639
Competing risks often occur when subjects may fail from one of several mutually exclusive causes. For example, when a patient suffering a cancer may die from other cause, we are interested in the effect of a certain covariate on the probability of dying of cancer at a certain time. Several approaches have been suggested to analyse competing risk data in the presence of complete information of failure cause. In this paper, our interest is to consider the occurrence of missing causes as well as interval censored failure time. There exist no method to discuss this problem. We applied a Klein–Andersen's pseudo-value approach [Klein, JP Andersen PK. Regression modeling of competing risks data based on pseudovalues of the cumulative incidence function. Biometrics. 2005;61:223–229] based on the estimated cumulative incidence function and a regression coefficient is estimated through a multiple imputation. We evaluate the suggested method by comparing with a complete case analysis in several simulation settings. 相似文献
140.
归责原则与责任构成视角下侵权责任的质和量 总被引:1,自引:0,他引:1
刘清生 《大连海事大学学报(社会科学版)》2010,9(1):82-85
过错责任原则与危险责任原则的交叉关系决定了过错责任构成与危险责任构成的同时应用,两个责任构成要件均为3个:过错行为或异常危险行为、损害结果以及因果关系。归责原则仅解决“该不该”承担责任的“质”的问题,而责任构成不仅落实责任“质”的问题,更解决责任“量”的问题。归责原则的重叠适用决定了责任构成在“量”上的累积,也决定了具体责任的“量”。 相似文献