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81.
A simple computational method for estimation of parameters via a type of EM algorithm is proposed in restricted latent class analysis, where equality and constant constraints are considered. These constraints create difficulty in estimation. In order to simply and stably estimate parameters in restricted latent class analysis, a simple computational method using only first-order differentials is proposed, where the step-halving method is adopted. A simulation study shows that in almost all cases the new method gives parameter sequences monotonously increasing the Q-function in the EM algorithm. Analysis of real data is provided.  相似文献   
82.
The relationship between contributions and elicited beliefs in a repeated two-person public good experiment is modeled with the help of a parsimounious random-utility function that allows for conditionally cooperative, opportunistic, and altruistic patterns of behavior. Under standard assumptions, a latent-class mixed logit specification with three sub-populations is shown to capture well heterogeneity in individual contribution levels over time, while also accomodating for different degrees of heteroscedasticity. The estimation results are consistent with the conjecture that the majority of players in public goods games are strongly conditional cooperators, with smaller fractions of the population leaning to opportunistic or altruistic behavior.  相似文献   
83.
Some functions that serve as building blocks for construction of a wider range of modes of concordance and dependence are pointed. We probe into interplays of such modes. From the standpoint of their conformity to stochastic dominance ordering of distributions within a Fréchet class, all such derived modes display some parallelism under certain conditions. We finally suggest a novel numeric measure of dependence that covers similar existing measures in literature.  相似文献   
84.
The paper reviews finite mixture models for binomial counts with concomitant variables. These models are well known in theory, but they are rarely applied. We use a binomial finite mixture to model the number of credits gained by freshmen during the first year at the School of Economics of the University of Florence. The finite mixture approach allows us to appropriately account for the large number of zeroes and the multimodality of the observed distribution. Moreover, we rely on a concomitant variable specification to investigate the role of student background characteristics and of a compulsory pre-enrollment test in predicting gained credits. In the paper, we deal with model selection, including the choice of the number of components, and we devise numerical and graphical summaries of the model results in order to exploit the information content of the concomitant variable specification. The main finding is that the introduction of the pre-enrollment test gives additional information for student tutoring, even if the predictive power is modest.  相似文献   
85.
86.
In this paper, asymptotic relative efficiency (ARE) of Wald tests for the Tweedie class of models with log-linear mean, is considered when the aux¬iliary variable is measured with error. Wald test statistics based on the naive maximum likelihood estimator and on a consistent estimator which is obtained by using Nakarnura's (1990) corrected score function approach are defined. As shown analytically, the Wald statistics based on the naive and corrected score function estimators are asymptotically equivalents in terms of ARE. On the other hand, the asymptotic relative efficiency of the naive and corrected Wald statistic with respect to the Wald statistic based on the true covariate equals to the square of the correlation between the unobserved and the observed co-variate. A small scale numerical Monte Carlo study and an example illustrate the small sample size situation.  相似文献   
87.
Suppose an estimation problem is invariant under a group of transformations and one is interested in finding an optimal equivariant estimator. The usual proactice is to confine attention to non-randomized equivariant estimators based on a minimal sufficient statistic. A justification of this restriction to a smaller clas of estimators is given in this paper under certain conditions.  相似文献   
88.
Friday and Patil bivariate exponential (FPBVE) distribution family is one of the most flexible bivariate exponential distributions in the literature; among others, it contains the bivariate exponential models due to Freund, Marshall–Olkin, Block–Basu, and Proschan–Sullo as particular cases. In this article, we discuss the stochastic aging of the maximum statistic from FPBVE model in according to the log-concavity of its density function, i.e., in the increasing or decreasing likelihood ratio classes (ILR or DLR), and consequently in the IFR and DFR classes. Furthermore, a kind of DFR distributions which are not DLR is derived from our classification.  相似文献   
89.
Summary.  We consider the problem of obtaining population-based inference in the presence of missing data and outliers in the context of estimating the prevalence of obesity and body mass index measures from the 'Healthy for life' study. Identifying multiple outliers in a multivariate setting is problematic because of problems such as masking, in which groups of outliers inflate the covariance matrix in a fashion that prevents their identification when included, and swamping, in which outliers skew covariances in a fashion that makes non-outlying observations appear to be outliers. We develop a latent class model that assumes that each observation belongs to one of K unobserved latent classes, with each latent class having a distinct covariance matrix. We consider the latent class covariance matrix with the largest determinant to form an 'outlier class'. By separating the covariance matrix for the outliers from the covariance matrices for the remainder of the data, we avoid the problems of masking and swamping. As did Ghosh-Dastidar and Schafer, we use a multiple-imputation approach, which allows us simultaneously to conduct inference after removing cases that appear to be outliers and to promulgate uncertainty in the outlier status through the model inference. We extend the work of Ghosh-Dastidar and Schafer by embedding the outlier class in a larger mixture model, consider penalized likelihood and posterior predictive distributions to assess model choice and model fit, and develop the model in a fashion to account for the complex sample design. We also consider the repeated sampling properties of the multiple imputation removal of outliers.  相似文献   
90.
大学生数学成绩影响因素的实证分析   总被引:3,自引:0,他引:3  
伴随着近几年高校的扩大招生,部分大学生的数学成绩显著下降。用统计学软件SPSS 13.0对哈尔滨工程大学部分学生的高等数学成绩及其相关因素进行统计分析,考察学生的高考数学成绩、性别、生源所在地等因素对其大学数学成绩的影响。在给出了一些切实可行的对策和建议的同时,指出培养大学生学习的主动性和研究探索精神,已经成为当今高校教师和教育工作者培养高素质人才和提高教学水平的关键。  相似文献   
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