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981.
Inferential analysis for the reliability parameter based on the three-parameter Lindley distribution
ABSTRACTIn this article, we consider the estimation of R = P(Y < X), when Y and X are two independent three-parameter Lindley (LI) random variables. On the basis of two independent samples, the modified maximum likelihood estimator along its asymptotic behavior and conditional likelihood-based estimator are used to estimate R. We also propose sample-based estimate of R and the associated credible interval based on importance sampling procedure. A real life data set involving the times to breakdown of an insulating fluid is presented and analyzed for illustrative purposes. 相似文献
982.
ABSTRACTIn this article, causal inference in randomized studies with recurrent events data and all-or-none compliance is considered. We use the counting process to analyze the recurrent events data and propose a causal proportional intensity model. The maximum likelihood approach is adopted to estimate the parameters of the proposed causal model. To overcome the computational difficulties created by the mixture structure of the problem, we develop an expectation-maximization (EM) algorithm. The resulting estimators are shown to be consistent and asymptotically normal. We further estimate the complier average causal effect (CACE), which is defined as the difference of the average numbers of recurrence between treatment and control groups within the complier class. The corresponding inferential procedures are established. Some simulation studies are conducted to assess the finite sample performance of the proposed approach. 相似文献
983.
ABSTRACTIn this paper, we extend a variance shift model, previously considered in the linear mixed models, to the linear mixed measurement error models using the corrected likelihood of Nakamura (1990). This model assumes that a single outlier arises from an observation with inflated variance. We derive the score test and the analogue of the likelihood ratio test, to assess whether the ith observation has inflated variance. A parametric bootstrap procedure is implemented to obtain empirical distributions of the test statistics. Finally, results of a simulation study and an example of real data are presented to illustrate the performance of proposed tests. 相似文献
984.
AbstractIn statistical hypothesis testing, a p-value is expected to be distributed as the uniform distribution on the interval (0, 1) under the null hypothesis. However, some p-values, such as the generalized p-value and the posterior predictive p-value, cannot be assured of this property. In this paper, we propose an adaptive p-value calibration approach, and show that the calibrated p-value is asymptotically distributed as the uniform distribution. For Behrens–Fisher problem and goodness-of-fit test under a normal model, the calibrated p-values are constructed and their behavior is evaluated numerically. Simulations show that the calibrated p-values are superior than original ones. 相似文献
985.
AbstractIn this article, we proposed a new three parameter lifetime distribution motivated mainly by lifetime issues, which generalizes the Exponential Poisson distribution proposed by Cancho et al. (2011). We derive various standard mathematical properties of the proposed model including a formal proof of its probability density function and hazard rate function. The inference via the maximum likelihood approach is discussed. The performance of the maximum likelihood estimators, the likelihood ratio test and its power are studied by simulation. Finally, the proposed model is fitted to two real data sets and it is compared with several models. 相似文献
986.
ABSTRACTIn this article, we consider a two-phase tandem queueing model with a second optional service and random feedback. The first phase of service is essential for all customers and after the completion of the first phase of service, any customer receives the second phase of service with probability α, feedback to the tail of the first queue with probability β if the service is not successful and leaves the system with probability 1 ? α ? β. In this model, our main purpose is to estimate the parameters of the model, traffic intensity, and mean system size, in the steady state, via maximum likelihood and Bayesian methods. Furthermore, we find asymptotic confidence intervals for mean system size. Finally, by a simulation study, we compute the confidence levels and mean length for asymptotic confidence intervals of mean system size with a nominal level 0.95. 相似文献
987.
AbstractThis article is devoted to study the problem of test of periodicity in the restricted exponential autoregressive (EXPAR) model. The local asymptotic normality property, of this model, is shown via the adapted sufficient conditions due to Swensen (1985). Using this result, in the case where the innovation density is specified, we obtain a parametric local asymptotic “most stringent” test. 相似文献
988.
ABSTRACTEvery large census operation should undergo evaluation programs to find the sources and extent of inherent coverage errors. In this article, we briefly discuss the statistical methodology to estimate the omission rate in Indian census using dual-system estimation (DSE) technique. We have explicitly studied the correlation bias factor involved in the estimate, its extent, and consequences. A new potential source of bias in the estimate is identified and discussed. During the survey, more efficient enumerators compared to the census operations are appointed, and this fact may inflate the dependency between two lists and lead to a significant bias. Some examples are given to demonstrate this argument in various plausible situations. We have suggested one simple and flexible approach which can control this bias. Our proposed estimator can efficiently overcome the potential bias by achieving the desired degree of accuracy (almost unbiased) with relatively higher efficiency. Overall improvements in the results are explored through simulation study on different populations. 相似文献
989.
AbstractIn this paper, assuming that the error terms follow a multivariate t distribution, we derive the exact formula for the predictive mean squared error (PMSE) of two different types of pretest estimators. It is shown analytically that one of the pretest estimator dominates the SR estimator if a critical value of the pretest is chosen appropriately. Also, we compare the PMSE of the pretest estimators with the MMSE, AMMSE, SR and PSR estimators by numerical evaluations. Our results show that the pretest estimators dominate the OLS estimator for all combinations when the degrees of freedom is not more than 5. 相似文献
990.
Gustavo Guimarães de Castro Amorim 《统计学通讯:理论与方法》2013,42(19):4703-4711
ABSTRACTResearchers are often required to reuse data that have been collected and analyzed for other purposes. Issues may arise if the outcome of this secondary study is related to the outcome of the first study and traditional methods may fail to deliver a consistent estimate. Here we propose a semiparametric approach that takes this correlation into account and produces asymptotically consistent and normally distributed estimates. We discuss its performance through simulations and apply the proposed method to a real dataset. 相似文献