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131.
The orthogonal arrays with mixed levels have become widely used in fractional factorial designs. It is highly desirable to
know when such designs with resolution III or IV have clear two-factor interaction components (2fic’s). In this paper, we
give a complete classification of the existence of clear 2fic’s in regular 2
m
4
n
designs with resolution III or IV. The necessary and sufficient conditions for a 2
m
4
n
design to have clear 2fic’s are given. Also, 2
m
4
n
designs of 32 runs with the most clear 2fic’s are given for n = 1,2.
相似文献
132.
This paper considers the analysis of round robin interaction data whereby individuals from a group of subjects interact with one another, producing a pair of outcomes, one for each individual. The authors provide an overview of the various analyses applied to these types of data and extend the work in several directions. In particular, they provide a fully Bayesian analysis for such data and use a real data example for illustration purposes. 相似文献
133.
思想政治教育成本的理论解读 总被引:1,自引:0,他引:1
李怀录 《西华大学学报(哲学社会科学版)》2007,26(3):97-101
思想政治教育有成本投入。但长期以来,思想政治教育的理论和实践都不重视成本问题。本文对思想政治教育的成本从理论上做了一般解读,揭示了成本的含义、构成、特点、影响因素和应把握的原则。 相似文献
134.
X.-L. Meng & D. van Dyk 《Journal of the Royal Statistical Society. Series B, Statistical methodology》1998,60(3):559-578
The mixed effects model, in its various forms, is a common model in applied statistics. A useful strategy for fitting this model implements EM-type algorithms by treating the random effects as missing data. Such implementations, however, can be painfully slow when the variances of the random effects are small relative to the residual variance. In this paper, we apply the 'working parameter' approach to derive alternative EM-type implementations for fitting mixed effects models, which we show empirically can be hundreds of times faster than the common EM-type implementations. In our limited simulations, they also compare well with the routines in S-PLUS® and Stata® in terms of both speed and reliability. The central idea of the working parameter approach is to search for efficient data augmentation schemes for implementing the EM algorithm by minimizing the augmented information over the working parameter, and in the mixed effects setting this leads to a transfer of the mixed effects variances into the regression slope parameters. We also describe a variation for computing the restricted maximum likelihood estimate and an adaptive algorithm that takes advantage of both the standard and the alternative EM-type implementations. 相似文献
135.
The quality of estimation of variance components depends on the design used as well as on the unknown values of the variance components. In this article, three designs are compared, namely, the balanced, staggered, and inverted nested designs for the three-fold nested random model. The comparison is based on the so-called quantile dispersion graphs using analysis of variance (ANOVA) and maximum likelihood (ML) estimates of the variance components. It is demonstrated that the staggered nested design gives more stable estimates of the variance component for the highest nesting factor than the balanced design. The reverse, however, is true in case of lower nested factors. A comparison between ANOVA and ML estimation of the variance components is also made using each of the aforementioned designs. 相似文献
136.
Eric J. Beh 《Australian & New Zealand Journal of Statistics》2001,43(3):327-333
This paper presents a partition of Pearson's chi-squared statistic for singly ordered two-way contingency tables. The partition involves using orthogonal polynomials for the ordinal variable while generalized basic vectors are used for the non-ordinal variable. The benefit of this partition is that important information about the structure of the ordered variable can be identified in terms of locations, dispersion and higher order components. For the non-ordinal variable, it is shown that the squared singular values from the singular value decomposition of the transformed dataset can be partitioned into location, dispersion and higher order components. The paper also uses the chi-squared partition to present an alternative to the maximum likelihood technique of parameter estimation for the log-linear analysis of the contingency table. 相似文献
137.
The mixed model is defined. The exact posterior distribution for the fixed effect vector is obtained. The exact posterior distribution for the error variance is obtained. The exact posterior mean and variance of a Bayesian estimator for the variances of random effects is also derived. All computations are non-iterative and avoid numerical integrations. 相似文献
138.
We distinguish between three types of outliers in a one-way random effects model. These are formally described in terms of
their position relative to the main part of the observations. We propose simple rules for identifying such outliers and give
an example which involves median-based statistics. 相似文献
139.
基于进程代数的DSS 模型系统建模与实现 总被引:1,自引:0,他引:1
把进程代数(process algebra , PA) 引入DSS 模型系统建模,提出一种新的DSS 模型建模理
论体系———DSS 模型代数,它可以描述模型之间激发、选择、重复、同步和并发等行为. 建立了
基于DSS 模型代数的模型系统与组件模型的对应关系,提出了基于组件技术的模型系统实现
方法,并通过一个实例给出实现方法的具体应用. 相似文献
140.
Bootstrap in functional linear regression 总被引:1,自引:0,他引:1
Wenceslao González-Manteiga Adela Martínez-Calvo 《Journal of statistical planning and inference》2011,141(1):453-461
We have considered the functional linear model with scalar response and functional explanatory variable. One of the most popular methodologies for estimating the model parameter is based on functional principal components analysis (FPCA). In recent literature, weak convergence for a wide class of FPCA-type estimates has been proved, and consequently asymptotic confidence sets can be built. In this paper, we have proposed an alternative approach in order to obtain pointwise confidence intervals by means of a bootstrap procedure, for which we have obtained its asymptotic validity. Besides, a simulation study allows us to compare the practical behaviour of asymptotic and bootstrap confidence intervals in terms of coverage rates for different sample sizes. 相似文献