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951.
We propose an efficient and robust method for variance function estimation in semiparametric longitudinal data analysis. The method utilizes a local log‐linear approximation for the variance function and adopts a generalized estimating equation approach to account for within subject correlations. We show theoretically and empirically that our method outperforms estimators using working independence that ignores the correlations. The Canadian Journal of Statistics 39: 656–670; 2011. © 2011 Statistical Society of Canada 相似文献
952.
We extend four tests common in classical regression – Wald, score, likelihood ratio and F tests – to functional linear regression, for testing the null hypothesis, that there is no association between a scalar response and a functional covariate. Using functional principal component analysis, we re-express the functional linear model as a standard linear model, where the effect of the functional covariate can be approximated by a finite linear combination of the functional principal component scores. In this setting, we consider application of the four traditional tests. The proposed testing procedures are investigated theoretically for densely observed functional covariates when the number of principal components diverges. Using the theoretical distribution of the tests under the alternative hypothesis, we develop a procedure for sample size calculation in the context of functional linear regression. The four tests are further compared numerically for both densely and sparsely observed noisy functional data in simulation experiments and using two real data applications. 相似文献
953.
Modeling the dependence between uncertainties in decision and risk analyses is an important part of the problem structuring process. We focus on situations where correlated uncertainties are discrete, and extend the concept of the copula‐based approach for modeling correlated continuous uncertainties to the representation of correlated discrete uncertainties. This approach reduces the required number of probability assessments significantly compared to approaches requiring direct estimates of conditional probabilities. It also allows the use of multiple dependence measures, including product moment correlation, rank order correlation and tail dependence, and parametric families of copulas such as normal copulas, t‐copulas, and Archimedean copulas. This approach can be extended to model the dependence between discrete and continuous uncertainties in the same event tree. 相似文献
954.
隔水管系统足海洋钻井的主要设备之-本丈对描述隔水管运动的四阶非线性偏徽分方程和边界条件进行了简化,并应用有限差分法对隔水管的受力情况进行数值分析.作用在隔水管上的顶张力,使用四种海况进行研究,并编制了相应的计算程序.通过实例计葬,与美国应力工程服务奋司的计葬结果进行比较,结果完全-致.末文提供的动态分析方法及计葬程序具有方法简便、精确度高和机时省千优点,对设计和校核隔水管系统具有实用价值. 相似文献
955.
本文用模栩聚类分析方法探讨燎合考虑地层多种岩性下的地层分爽.以17种不同地层为例,分析了其模栩相容拒阵的建立方法并给出其聚类圈.讨论了绿合考虑地层多种若性下的钻头选型。 相似文献
956.
This study analyzes three years of data on misdemeanor drug offenders in Winnebago County, Wisconsin. A portion of these offenders opted into a Misdemeanor Drug Diversion Program (MDDP) offered instead of traditional adjudication. Recidivism in the treatment and comparison groups is estimated using standard binary response techniques augmented with propensity score matching to address selection bias. Results show that the MDDP reduces the probability of re-offense by 16%, after adjusting for possible selection bias. Cox proportional hazard modeling is also used to assess time-to-re-offense differentials between the treatment and comparison groups. The survival analysis indicates that the hazard rate of re-offense is 60% lower per day among those treated with the MDDP program than those who did not complete the program. The average number of days to re-offense among those that do re-offend is 297 days in the treatment group and 203 days in the comparison group. 相似文献
957.
Mark Steyvers Thomas S. Wallsten Edgar C. Merkle Brandon M. Turner 《Risk analysis》2014,34(3):435-452
We propose the use of signal detection theory (SDT) to evaluate the performance of both probabilistic forecasting systems and individual forecasters. The main advantage of SDT is that it provides a principled way to distinguish the response from system diagnosticity, which is defined as the ability to distinguish events that occur from those that do not. There are two challenges in applying SDT to probabilistic forecasts. First, the SDT model must handle judged probabilities rather than the conventional binary decisions. Second, the model must be able to operate in the presence of sparse data generated within the context of human forecasting systems. Our approach is to specify a model of how individual forecasts are generated from underlying representations and use Bayesian inference to estimate the underlying latent parameters. Given our estimate of the underlying representations, features of the classic SDT model, such as the receiver operating characteristic (ROC) curve and the area under the ROC curve (AUC), follow immediately. We show how our approach allows ROC curves and AUCs to be applied to individuals within a group of forecasters, estimated as a function of time, and extended to measure differences in forecastability across different domains. Among the advantages of this method is that it depends only on the ordinal properties of the probabilistic forecasts. We conclude with a brief discussion of how this approach might facilitate decision making. 相似文献
958.
Estimation of benchmark doses (BMDs) in quantitative risk assessment traditionally is based upon parametric dose‐response modeling. It is a well‐known concern, however, that if the chosen parametric model is uncertain and/or misspecified, inaccurate and possibly unsafe low‐dose inferences can result. We describe a nonparametric approach for estimating BMDs with quantal‐response data based on an isotonic regression method, and also study use of corresponding, nonparametric, bootstrap‐based confidence limits for the BMD. We explore the confidence limits’ small‐sample properties via a simulation study, and illustrate the calculations with an example from cancer risk assessment. It is seen that this nonparametric approach can provide a useful alternative for BMD estimation when faced with the problem of parametric model uncertainty. 相似文献
959.
马飞雄 《西安石油大学学报(社会科学版)》2014,(4):1-6
利用博弈理论分析我国成品油流通市场,发现:适度的、透明的市场进入固定成本对整个市场结构是有利的;要使成品油流通市场更有效率,并保护各方利益,政府应鼓励流通领域竞争,并更大限度地发挥市场配置资源的基础性作用,从而逐渐形成合理有效的市场结构。 相似文献
960.
"偏义复词"是一个语言学名词,它具有高度的概括性。古今偏义复词是继承发展的,两者有相同点,但又存在偏指义语素定位、对语境的依赖程度、语素的凝固性、语用等方面的差异,通过对比分析,可提高驾驭语言的能力。 相似文献