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11.
The change from the z of “Student's” 1908 paper to the t of present day statistical theory and practice is traced and documented. It is shown that the change was brought about by the extension of “Student's” approach, by R.A. Fisher, to a broader class of problems, in response to a direct appeal from “Student” for a solution to one of these problems.  相似文献   
12.
自由度是统计学中一个十分重要而又长期没有被圆满解释的概念。对此,从统计学史角度,对皮尔逊、费歇尔有关自由度问题争论原始文献细致考察,彻底澄清了自由度概念的内涵及与其相关的统计思想,弥补了Fienberg、Stigler与陈希孺已有解释的缺陷。研究表明:皮尔逊关于卡方检验中无论总体分布已知还是其来自于样本推断统计量都具有同一分布的错误判断,导致卡方检验的准确性出现偏差,这种偏差虽被同时代少数几个统计学家察觉但他们却无法解释其根源。费歇尔提出自由度概念并结合n维几何、假设检验与最大似然方法的论证不仅修正了皮尔逊的错误,也完善了从样本统计量估计总体参数的数理逻辑。  相似文献   
13.
Josef Kozák 《Statistics》2013,47(3):363-371
Working with the linear regression model (1.1) and having the extraneous information (1.2) about regression coefficients the problem exists how to build estimators (1.3) with the risk (1.4) which enable to utilize the known information in order to reduce their risk as compared with the risk (1.6) of the LSE (1.5). Solution of this problem is known for the positive definite matrix T, namely in form for estimators (1.8) and (1.10).First, it is shown that the proposed estimators (2.6),(2.9) and (2.16) based on psedoinversions of the matrix L represent the solution of the problem of the positive semidefinite matrix T=L'L.Further, the problem of interpretability of estimators in the sense of the inequality (3.1) exists; it is shown that all mentioned estimators are at least partially interpretable in the sense of requirements (3.2) or (3.10).  相似文献   
14.
This paper considers a general and computationally convenient method of evaluating the distribution function of statistics that are the ratio of a bilinear form to a quadratic form. Numerous Economemc applications of the method are given.  相似文献   
15.
In many engineering problems it is necessary to draw statistical inferences on the mean of a lognormal distribution based on a complete sample of observations. Statistical demonstration of mean time to repair (MTTR) is one example. Although optimum confidence intervals and hypothesis tests for the lognormal mean have been developed, they are difficult to use, requiring extensive tables and/or a computer. In this paper, simplified conservative methods for calculating confidence intervals or hypothesis tests for the lognormal mean are presented. In this paper, “conservative” refers to confidence intervals (hypothesis tests) whose infimum coverage probability (supremum probability of rejecting the null hypothesis taken over parameter values under the null hypothesis) equals the nominal level. The term “conservative” has obvious implications to confidence intervals (they are “wider” in some sense than their optimum or exact counterparts). Applying the term “conservative” to hypothesis tests should not be confusing if it is remembered that this implies that their equivalent confidence intervals are conservative. No implication of optimality is intended for these conservative procedures. It is emphasized that these are direct statistical inference methods for the lognormal mean, as opposed to the already well-known methods for the parameters of the underlying normal distribution. The method currently employed in MIL-STD-471A for statistical demonstration of MTTR is analyzed and compared to the new method in terms of asymptotic relative efficiency. The new methods are also compared to the optimum methods derived by Land (1971, 1973).  相似文献   
16.
In a series of papers, Kshirsagar (1964, 1971) and McHenry and Kshirsagar (1977), factorize Wilks' A into a number of factors and find the independent null multivariate beta densities of these factors. These factors are the likelihood ratio test criteria for testing the goodness of fit of certain assigned discriminant functions or canonical variables either in the space of independent or dependent variables. Essentially the factors of Wilks' A are the factors of certain multivariate beta distributed matrix or its determinant. The Bartlett decomposition of the underlying multivariate beta distribution into independent factors determines the distribution of these factors. The present paper generalizes Kshirsagar's (1971) normal theory to the elliptically contoured model, and shows that his results are null robust for the elliptically contoured model.  相似文献   
17.
The statistical properties of control charts are usually evaluated under the assumption that the observations from the process are independent. For many processes however, observations which are closely spaced in time will be correlated. This paper considers EWMA and CUSUM control charts for the process mean when the observations are from an AR(1) process with additional random error. This simple model may be a reasonable model for many processes encountered in practice. The ARL and steady state ARL of the EWMA and CUSUM charts are evaluated numerically using an integral equation approach and a Markov chain approach. The numerical results show that correlation can have a significant effect on the properties of these charts. Tables are given to aid in the design of these charts when the observations follow the assumed model.  相似文献   
18.
This paper relaxes the Mittelhammer's (1981) assumption that the value of the true variance is known in the mixed regression model and examines the small sample, properties of the feasible mixed regression predictor under misspecification. The paper shows that the feasible mixed regression predictor is not always superior to the ordinary least squares predictor in terms of the weak mean square error when there exist omitted variables in the model. Further it shows that misspecificstion works favorably for the ordinary least squares predictor.  相似文献   
19.
A new class of partially efficiency-balanced designs is introduced from a practical point of view. This new design includes all equireplicated incomplete block designs available in literature as special cases. The fundamental properties of the design are clarified with relation to other block designs.  相似文献   
20.
A-optimal and mv optimal repeated measurments designs for comparing serveral test treatments with a control are considered. the models considered are basically of two types: without preperides and the cirular model. It is shown known that some known strongly balanced uniform repeated measurements designs can be modified to obtain optimal designs for this problem. Some other methods of finding optimal designs are also given.  相似文献   
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