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921.
922.
We consider the problem of estimating the maximum posterior probability (MAP) state sequence for a finite state and finite emission alphabet hidden Markov model (HMM) in the Bayesian setup, where both emission and transition matrices have Dirichlet priors. We study a training set consisting of thousands of protein alignment pairs. The training data is used to set the prior hyperparameters for Bayesian MAP segmentation. Since the Viterbi algorithm is not applicable any more, there is no simple procedure to find the MAP path, and several iterative algorithms are considered and compared. The main goal of the paper is to test the Bayesian setup against the frequentist one, where the parameters of HMM are estimated using the training data.  相似文献   
923.
大学生优秀典型作用研究   总被引:1,自引:0,他引:1  
抓好用好典型,通过典型示范和引领激励,以点带面推动全局工作,历来是我党的优良传统,也是一门重要的领导艺术和行之有效的工作方法。针对新时期大学生思想道德变化的特点,研究在大学生中树立并大力宣传优秀典型,明确树立大学生优秀典型的意义和作用,探索树立大学生先进典型的具体方法,对于准确地把握大学生思想政治工作面临的新形势,构建新格局,提高高校学生思想政治工作的针对性、实效性和科学性具有十分重要的作用和意义。  相似文献   
924.
The reconstruction of populations by stochastic optimization solves the nontrivial problem of finding demographic flows from population registers or vital statistics and censuses, if available. These flows allow the reconstruction of stocks (age pyramids and vital statistics). After a review of reconstruction methods, the sensitivity analysis shows the robustness of the method by stochastic optimization to flawed or missing values, to the length of the reconstruction period, and to variations in the actual demographic flows.  相似文献   
925.
运用可根据研究对象的潜在属性内生分组的潜类别随机前沿模型,采用1999-2012年中国各省区数据,研究各省区的创新效率及影响因素。结果表明:以人力资本水平和基础设施状况为条件变量,将全国各省区分成两个技术类别,分别有各自的技术前沿和函数形式,A类别中上海市的创新效率最高,B类别中河北省的创新效率最高;平均来看,各类的创新效率均呈上升趋势,贸易开放、产业结构和金融发展对创新效率均有显著的正向作用,同时创新效率在各类内部均存在俱乐部收敛。  相似文献   
926.
Ruiqin Tian 《Statistics》2017,51(5):988-1005
In this paper, empirical likelihood inference for longitudinal data within the framework of partial linear regression models are investigated. The proposed procedures take into consideration the correlation within groups without involving direct estimation of nuisance parameters in the correlation matrix. The empirical likelihood method is used to estimate the regression coefficients and the baseline function, and to construct confidence intervals. A nonparametric version of Wilk's theorem for the limiting distribution of the empirical likelihood ratio is derived. Compared with methods based on normal approximations, the empirical likelihood does not require consistent estimators for the asymptotic variance and bias. The finite sample behaviour of the proposed method is evaluated with simulation and illustrated with an AIDS clinical trial data set.  相似文献   
927.
Peter Schmidt has been one of its best-known and most respected econometricians in the profession for four decades. He has brought his talents to many scholarly outlets and societies, and has played a foundational and constructive role in the development of the field of econometrics. Peter Schmidt has also served and led the development of Econometric Reviews since its inception in 1982. His judgment has always been fair, informed, clear, decisive, and constructive. Respect for ideas and scholarship of others, young and old, is second nature to him. This is the best of traits, and Peter serves as an uncommon example to us all. The seventeen articles that make up this Econometric Reviews Special Issue in Honor of Peter Schmidt represent the work of fifty of the very best econometricians in our profession. They honor Professor Schmidt's lifelong accomplishments by providing fundamental research work that reflects many of the broad research themes that have distinguished his long and productive career. These include time series econometrics, panel data econometrics, and stochastic frontier production analysis.  相似文献   
928.
By building on a genetic‐inspired attribute‐based conceptual framework for safety risk analysis, we propose a novel approach to define, model, and simulate univariate and bivariate construction safety risk at the situational level. Our fully data‐driven techniques provide construction practitioners and academicians with an easy and automated way of getting valuable empirical insights from attribute‐based data extracted from unstructured textual injury reports. By applying our methodology on a data set of 814 injury reports, we first show the frequency‐magnitude distribution of construction safety risk to be very similar to that of many natural phenomena such as precipitation or earthquakes. Motivated by this observation, and drawing on state‐of‐the‐art techniques in hydroclimatology and insurance, we then introduce univariate and bivariate nonparametric stochastic safety risk generators based on kernel density estimators and copulas. These generators enable the user to produce large numbers of synthetic safety risk values faithful to the original data, allowing safety‐related decision making under uncertainty to be grounded on extensive empirical evidence. One of the implications of our study is that like natural phenomena, construction safety may benefit from being studied quantitatively by leveraging empirical data rather than strictly being approached through a managerial perspective using subjective data, which is the current industry standard. Finally, a side but interesting finding is that in our data set, attributes related to high energy levels (e.g., machinery, hazardous substance) and to human error (e.g., improper security of tools) emerge as strong risk shapers.  相似文献   
929.
In this article, we consider a Bayesian analysis of a possible change in the parameters of autoregressive time series of known order p, AR(p). An unconditional Bayesian test based on highest posterior density (HPD) credible sets is determined. The test is useful to detect a change in any one of the parameters separately. Using the Gibbs sampler algorithm, we approximate the posterior densities of the change point and other parameters to calculate the p-values that define our test.  相似文献   
930.
从基础发展、产业结构、科教发展和可持续四个方面对2001-2012年中国海洋经济的综合发展水平进行了统计测度,结果发现:地区海洋经济综合发展水平可分为三个层次,不同层次的作用因素不尽相同;广东、上海和山东三个地区的海洋经济综合发展水平在样本期间内交替领先,同时不同地区的发展速度和发展水平变化各有特点;东部区域现阶段可持续发展水平较低,而南部区域主要依靠产业结构升级拉动海洋经济。最后,提出了相应的政策建议。  相似文献   
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