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41.
Walter T. Federer 《统计学通讯:模拟与计算》2013,42(1):233-237
It is shown how to use fractional replication in simulation studies. Examples are given. Considerable savings in number of runs required can be achieved through the use of fractional replication ideas. 相似文献
42.
It is shown that the locally best invariant test for the existence of outliers for scale parameters of the gamma distribution is given by Bartholomew's test for exponentiality which is the ratio of the sum of squares of the data to the square of the sample mean. The optimality robustness, including null and nonnull robustness of the test is shown. A small simulation study to compare the power among the other eight competitive tests for testing exponentiality is performed. It is seen that the locally best invariant test is not always best but is reasonably good. It is slightly better than Cochran's test and suffers less from the limiting masking effect. 相似文献
43.
The Akaike Information Criterion (AIC) is developed for selecting the variables of the nested error regression model where an unobservable random effect is present. Using the idea of decomposing the likelihood into two parts of “within” and “between” analysis of variance, we derive the AIC when the number of groups is large and the ratio of the variances of the random effects and the random errors is an unknown parameter. The proposed AIC is compared, using simulation, with Mallows' C p , Akaike's AIC, and Sugiura's exact AIC. Based on the rates of selecting the true model, it is shown that the proposed AIC performs better. 相似文献
44.
Edoardo Otranto 《统计学通讯:理论与方法》2013,42(15):3173-3191
Recent statistical models for the analysis of volatility in financial markets serve the purpose of incorporating the effect of other markets in their structure, in order to study the spillover or the contagion phenomena. Extending the Multiplicative Error Model we are able to capture these characteristics, under the assumption that the conditional mean of the volatility can be decomposed into the sum of one component representing the proper volatility of the time series analyzed, and other components, each representing the volatility transmitted from one other market. Each component follows a proper dynamics with elements that can be usefully interpreted. This particular decomposition allows to establish, each time, the contribution brought by each individual market to the global volatility of the market object of the analysis. We experiment this model with four stock indices. 相似文献
45.
Search design is searching and estimating for a few non zero effects in a large set of effects along with estimation of elements in a set of unknown parameters. In presence of noise, the probability of discrimination between the true non zero effect from an alternative one depends on the design and an unknown parameter, say ρ. We develop a new criterion for design comparison which is independent of ρ and for a family density weight function show that it discriminates and ranks the designs precisely. This criterion is invariance to the variable noise which may be present between designs due to noise factors. This allows us to extend the design comparison to classes of equivalent designs. 相似文献
46.
This study investigates the performance of two traditional F tests, one for main effects and the other for interaction in repeated measures designs under several conditions of covariance heterogeneity. Overall, the test for interaction is more vulnerable than the one for main effects. Distortion in the level of significance is less serious for the case of equal group size. 相似文献
47.
This paper deals with an asymptotic distribution-free subset selection procedure for a two-way layout problem. The treatment effect with the largest unknown value is of interest to us. The block effect is a nuisance parameter in this problem. The proposed procedure is based on the Hodges-Lehmann estimators of location parameters. The asymptotic relative efficiency of the proposed procedure with the normal means procedure is evaluated. It is shown that the proposed procedure has a high efficiency. 相似文献
48.
《统计学通讯:模拟与计算》2013,42(4):717-741
In the study of the stochastic behaviour of the lifetime of an element as a function of its length, it is often observed that the failure time (or lifetime) decreases as the length increases. In probabilistic terms, such an idea can be expressed as follows. Let T be the lifetime of a specimen of length x, so the survival function, which denotes the probability that an element of length x survives till time t, will be given by ST (t, x) = P(T > t/α(x), where α(x) is a monotonically decreasing function. In particular, it is often assumed that T has a Weibull distribution. In this paper, we propose a generalization of this Weibull model by assuming that the distribution of T is Generalized gamma (GG). Since the GG model contains the Weibull, Gamma and Lognormal models as special and limiting cases, a GG regression model is an appropriate tool for describing the size effect on the lifetime and for selecting among the embedded models. Maximum likelihood estimates are obtained for the GG regression model with α(x) = cxb . As a special case this provide an alternative to the usual approach to estimation for the GG distribution which involves reparametrization. Related parametric inference issues are addressed and illustrated using two experimental data sets. Some discussion of censored data is also provided. 相似文献
49.
Goodness of fit for thei ordered categories discrete uniform distribution can be carried out using Pearson's X2 pstatistic and its components. Applications of this technique are considered and comparisons made with recently suggested empirical uniform distribution 相似文献
50.
K. Afsarinejad 《统计学通讯:理论与方法》2013,42(11):3985-4028
Any experiment in which one or more of the experimental units is used more than once is called a repeated measurements experiment. The associated design of a repeated measurements experiment is referred to as a repeated measurements design. This review covers some known results on repeated measurements designs. Emphasis is placed on the impact of optimal design theory. Some construction methods for these designs are presented. Hedayat and Afsarinejad (1975) has an extensive bibliography of earlier literature. A bibliography of these designs published after 1974 is provided at the end of this paper. 相似文献