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21.
A Bayesian approach is presented for detecting influential observations using general divergence measures on the posterior distributions. A sampling-based approach using a Gibbs or Metropolis-within-Gibbs method is used to compute the posterior divergence measures. Four specific measures are proposed, which convey the effects of a single observation or covariate on the posterior. The technique is applied to a generalized linear model with binary response data, an overdispersed model and a nonlinear model. An asymptotic approximation using Laplace method to obtain the posterior divergence is also briefly discussed. 相似文献
22.
Eugene Seneta 《Australian & New Zealand Journal of Statistics》2002,44(4):385-400
The death, in Sydney, of Oliver Lancaster marks the end of an era in the histories of the Statistical Society of Australia, which (in its previous existence as the Statistical Society of New South Wales) he helped found in 1947, and of the Australian Journal of Statistics of which he was founding editor (1959–1971). Oliver Lancaster was Foundation Professor of Mathematical Statistics at the University of Sydney (1959–1978), where he spent his life as student and academic. During his academic career, he achieved scholarly distinction in at least four fields: mathematical statistics, medical and public health statistics, the history of medicine and of statistics, and statistical bibliography. With E.J.G. Pitman (1897–1993), M.H. Belz (1897–1975), E.A. Cornish (1909–1973) and P.A.P. Moran (1917–1988) he was part of a cohort of renowned Australian mathematical statisticians who laid the foundation of the glory days of Australian mathematical statistics. This obituary and tribute focuses on some of these aspects, within a broader historical picture. 相似文献
23.
李晓洁 《西北大学学报(哲学社会科学版)》2005,35(2):148-152
关于“深度报道”的各种思考充斥于新闻传播学领域,遗憾的是,诸多的讨论却由于本体思考的缺失或倒错,最终偏离了期望的轨道,反造成知识上的混乱。究其实,“深度报道”是人类规避简单思维求取生存真相的一种努力。它一头扎进复杂的现实背景中去,该背景深入到事实的每一个原子中去,以至于特别的偏好事实的模糊性。它所追寻的是历史记忆的官能,它所采纳的是社会学的思考,它所贡献的是强烈的批判性。它是人类在“极速主义”时代求取清明的一种负责任的大努力。 相似文献
24.
In this paper, the task of determining expected values of sample moments, where the sample members have been selected based on noisy information, is considered. This task is a recurring problem in the theory of evolution strategies. Exact expressions for expected values of sums of products of concomitants of selected order statistics are derived. Then, using Edgeworth and Cornish-Fisher approximations, explicit results that depend on coefficients that can be determined numerically are obtained. While the results are exact only for normal populations, it is shown experimentally that including skewness and kurtosis in the calculations can yield greatly improved results for other distributions. 相似文献
25.
N. Balakrishnan 《Statistical Papers》1989,30(1):141-146
We derive a simple relation satisfied by the covariances of order statistics in the i.i.d. case and then generalize it to
the case when the variables are independent and non-identically distributed. This relation could be employed successfully
either to check the calculations or to reduce the amount of direct computations involved in evaluating the covariances of
order statistics from an outlier model. 相似文献
26.
It is shown that when a parameter lying in a sufficiently small interval is to be estimated in a family of uniform distributions,
a two point prior is least favourable under squared error loss. The unique Bayes estimator with respect to this prior is minimax.
The Γ-minimax estimator is derived for sets Γ of priors consisting of all priors that give fixed probabilities to two specified
subintervals of the parameter space if a two point prior is least favourable in Γ. 相似文献
27.
Consider the process with, cf. (1.2) on page 265 in B1, X1, …, XN a sample from a distribution F and, for i = 1, …, N, R , the rank of |X1 - q1ø| among |X1 - q1ø|, …, |XN - qNø|. It is shown that, under certain regularity conditions on F and on the constants pi and qi, TøN(t) is asymptotically approximately a linear function of ø uniformly in t and in ø for |ø| ≤ C. The special case where the pi and the qi, are independent of i is considered. 相似文献
28.
一种基于区间数判断矩阵的群决策新方法 总被引:9,自引:4,他引:9
针对基于区间数判断矩阵的群决策问题,提出了一种群决策新方法.借助于集值统计原理,构造了与区间数判断矩阵群信息等价的具有一定可靠度的确定数判断矩阵,建立了计算这类群信息集结值可靠度的模型,运用和积法对所得新判断矩阵进行处理,得到了一种简便的方案排序方法.最后,通过一个算例验证了该方法的有效性和实用性. 相似文献
29.
《Journal of Statistical Computation and Simulation》2012,82(7):1320-1333
In reliability theory, risk analysis, renewal processes and actuarial studies, the residual lifetimes data play an important essential role in studying the conditional tail of the lifetime data. In this paper, based on some observed ordered residual Weibull data, we introduce different prediction methods for obtaining prediction intervals (PIs) of future residual lifetimes including likelihood, Wald, moments, parametric bootstrap, and highest conditional methods. Monte Carlo simulations are performed to compare the performances of the so obtained PIs and one data analysis is performed for illustration purposes. 相似文献
30.
Serkan Eryilmaz 《统计学通讯:模拟与计算》2017,46(10):8005-8013
In this article, a system that consists of n independent components each having two dependent subcomponents (Ai, Bi), i = 1, …, n is considered. The system is assumed to compose of components that have two correlated subcomponents (Ai, Bi), and functions iff both systems of subcomponents A1, A2, …, An and B1, B2, …, Bn work under certain structural rules. The expressions for reliability and mean time to failure of such systems are obtained. A sufficient condition to compare two systems of bivariate components in terms of stochastic ordering is also presented. 相似文献