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51.
McDonald's ωt,Cronbach's α, and Generalized θ for Composite Reliability of Common Factors Structures
In the common factor model for subtest scores, several reliability coefficients, including Cronbach's α, have been found to be biased. In this article, we introduce a new coefficient, θG, or Generalized θ, which is a generalized version of Armor's θ coefficient and is equal to the true reliability when the dimensions are orthogonal and the measures are parallel. We assessed the McDonald's ωt, α, and θG in terms of mean bias, efficiency, and precision using a Monte Carlo simulation. θG outperformed ωt when the factors were orthogonal or nearly orthogonal with low correlations between them. 相似文献
52.
Govinda J. Weerakkody 《统计学通讯:模拟与计算》2013,42(4):1075-1091
Two simple tests which allow for unequal sample sizes are considered for testing hypothesis for the common mean of two normal populations. The first test is an exact test of size a based on two available t-statistics based on single samples made exact through random allocation of α among the two available t-tests. The test statistic of the second test is a weighted average of two available t-statistics with random weights. It is shown that the first test is more efficient than the available two t-tests with respect to Bahadur asymptotic relative efficiency. It is also shown that the null distribution of the test statistic in the second test, which is similar to the one based on the normalized Graybill-Deal test statistic, converges to a standard normal distribution. Finally, we compare the small sample properties of these tests, those given in Zhou and Mat hew (1993), and some tests given in Cohen and Sackrowitz (1984) in a simulation study. In this study, we find that the second test performs better than the tests given in Zhou and Mathew (1993) and is comparable to the ones given in Cohen and Sackrowitz (1984) with respect to power.. 相似文献
53.
《Risk analysis》2018,38(8):1634-1655
The work in the article presents the development of an application guide based on feedback and comments stemming from various railway actors on their practices of SIL allocation to railway safety‐related functions. The initial generic methodology for SIL allocation has been updated to be applied to railway rolling stock safety‐related functions in order to solve the SIL concept application issues. Various actors dealing with railway SIL allocation problems are the intended target of the methodology; its principles will be summarized in this article with a focus on modifications and precisions made in order to establish a practical guide for railway safety authorities. The methodology is based on the flowchart formalism used in CSM (common safety method) European regulation. It starts with the use of quantitative safety requirements, particularly tolerable hazard rates (THR). THR apportioning rules are applied. On the one hand, the rules are related to classical logical combinations of safety‐related functions preventing hazard occurrence. On the other hand, to take into account technical conditions (last safety weak link, functional dependencies, technological complexity, etc.), specific rules implicitly used in existing practices are defined for readjusting some THR values. SIL allocation process based on apportioned and validated THR values is finally illustrated through the example of “emergency brake” subsystems. Some specific SIL allocation rules are also defined and illustrated. 相似文献
54.
Evaluators are challenged to keep pace with the vast array of Veteran support programs operating in the United States, resulting in a situation in which many programs lack any evidence of impact. Due to this lack of evidence, there is no efficient way to suggest which programs are most effective in helping Veterans in need of support. One potential solution to this dilemma is to reconceptualize program evaluation, by moving away from evaluating programs individually to evaluating what is common across programs. The Common Components Analysis (CCA) is one such technique that aggregates findings from programs that have undergone rigorous evaluation at the level of program components (e.g., content, process, barrier reduction). Given that many Veteran programs lack outcome evidence from rigorous studies, an adaptation to CCA is needed. This report examines cross-sectional data from a pilot study using an adapted CCA across five domains of well-being (i.e., employment, education, legal/financial/housing, mental/physical health, and social/personal relationships). The purpose of this preliminary study is to determine the feasibility of eliciting program nominations and program components from Veterans via an online survey. When coupled with a longitudinal research design, this adaptation to CCA will allow for stronger causal claims about the expected impact of different program components within and across a variety of domains. 相似文献
55.
ABSTRACT The importance of compassion in healthcare is universally acknowledged. However, the factors that enhance compassion are not well understood. The perception of common humanity has been proposed as a prosocial perspective that leads to unbiased universal compassion. There has been a lack of research into the relationship between common humanity and compassion. This study examined the use of common humanity scenarios to promote compassion in healthcare workers. Seventy-five healthcare workers were randomly assigned to two groups and shown a different common humanity scenario. The healthcare workers were asked what effect viewing the videos had on their perception of common humanity and compassion. Thematic analysis was used to identify themes. Four main themes emerged: (a) common bonds; (b) people have the same needs; (c) no one wants to suffer; (d) seeing strangers helping others is motivating. Healthcare workers reported feelings of care, concern, and compassion after viewing common humanity scenarios. IMPLICATIONS
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Viewing common humanity scenarios appears to lead to enhanced feelings of connection to others and compassion in healthcare workers.
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Using common humanity scenarios may be a useful compassion training strategy in healthcare.
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Further research is necessary to gain a better understanding of how viewing common humanity material influences compassion.
56.
论元代文人篆刻崛起的文化背景 总被引:1,自引:1,他引:0
孙小力 《上海大学学报(社会科学版)》1999,(3)
蒙元贵族对印章的大量需求、异族文化情趣对汉族文人的影响等因素相互作用 ,促进了元代文人对印章制度的探讨 ,促进了印文内容和用印方式的变化 ,促进了印章材料的多样化择取 ,并最终促成了以朱、王冕为代表的文人篆刻艺术的崛起 相似文献
57.
申明秀 《重庆邮电大学学报(社会科学版)》2011,23(3):86-89
雅与俗是中国文学乃至文化批评史上的重要概念之一,在具体的批评实践中有着政治的、道德伦理的、文化的、文学的、艺术的等丰富内涵,雅俗不仅仅是衡量文学作品的重要标准,也是衡量文化与社会乃至人、事、物的重要标准。雅俗问题是冯梦龙“三言”研究的核心问题,雅就是道心、天理,俗就是人心、人欲。冯梦龙提倡“奏雅”与“适俗”并重,大力提高小说的地位,其“三言”的成功带动了世情小说持续的热潮,《型世言》、《石点头》、《豆棚闲话》,特别是《红楼梦》等一大批世情小说杰作相继问世,冯梦龙不愧为世情小说的伟大先驱与教主。 相似文献
58.
R. Guesnerie 《Econometrica : journal of the Econometric Society》2002,70(2):439-480
The paper examines within a unified methodology expectational coordination in a series of economic models. The methodology views the predictions associated with the Rational Expectations Hypothesis as reasonable whenever they can be derived from the more basic Common Knowledge Hypothesis. The paper successively considers a simple non‐noisy N‐dimensional model, standard models with “intrinsic” uncertainty, and reference intertemporal models with infinite horizon. It reviews existing results and suggests new ones. It translates the formal results into looser but economically intuitive statements, whose robustness, in the present state of knowledge, is tentatively ascertained. 相似文献
59.
We introduce a game of complete information with multiple principals and multiple common agents. Each agent makes a decision that can affect the payoffs of all principals. Each principal offers monetary transfers to each agent conditional on the action taken by the agent. We characterize pure‐strategy equilibria and we provide conditions—in terms of game balancedness—for the existence of an equilibrium with an efficient outcome. Games played through agents display a type of strategic inefficiency that is absent when either there is a unique principal or there is a unique agent. 相似文献
60.
A Bottom-Up Dynamic Model of Portfolio Credit Risk with Stochastic Intensities and Random Recoveries
Tomasz R. Bielecki Areski Cousin Stéphane Crépey Alexander Herbertsson 《统计学通讯:理论与方法》2014,43(7):1362-1389
In Bielecki et al. (2014a), the authors introduced a Markov copula model of portfolio credit risk where pricing and hedging can be done in a sound theoretical and practical way. Further theoretical backgrounds and practical details are developed in Bielecki et al. (2014b,c) where numerical illustrations assumed deterministic intensities and constant recoveries. In the present paper, we show how to incorporate stochastic default intensities and random recoveries in the bottom-up modeling framework of Bielecki et al. (2014a) while preserving numerical tractability. These two features are of primary importance for applications like CVA computations on credit derivatives (Assefa et al., 2011; Bielecki et al., 2012), as CVA is sensitive to the stochastic nature of credit spreads and random recoveries allow to achieve satisfactory calibration even for “badly behaved” data sets. This article is thus a complement to Bielecki et al. (2014a), Bielecki et al. (2014b) and Bielecki et al. (2014c). 相似文献