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71.
Ghobad Barmalzan Amir T. Payandeh Najafabadi Narayanaswamy Balakrishnan 《统计学通讯:理论与方法》2019,48(3):660-675
In this paper, we discuss the usual stochastic and reversed hazard rate orders between the series and parallel systems from two sets of independent heterogeneous exponentiated Weibull components. We also obtain the results concerning the convex transform orders between parallel systems and obtain necessary and sufficient conditions under which the dispersive and usual stochastic orders, and the right spread and increasing convex orders between the lifetimes of the two systems are equivalent. Finally, in the multiple-outlier exponentiated Weibull models, based on weak majorization and p-larger orders between the vectors of scale and shape parameters, some characterization results for comparing the lifetimes of parallel and series systems are also established, respectively. The results of this paper can be used in practical situations to find various bounds for the important aging characteristics of these systems. 相似文献
72.
Raymond Hubbard 《The American statistician》2019,73(1):31-35
ABSTRACTRecent efforts by the American Statistical Association to improve statistical practice, especially in countering the misuse and abuse of null hypothesis significance testing (NHST) and p-values, are to be welcomed. But will they be successful? The present study offers compelling evidence that this will be an extraordinarily difficult task. Dramatic citation-count data on 25 articles and books severely critical of NHST's negative impact on good science, underlining that this issue was/is well known, did nothing to stem its usage over the period 1960–2007. On the contrary, employment of NHST increased during this time. To be successful in this endeavor, as well as restoring the relevance of the statistics profession to the scientific community in the 21st century, the ASA must be prepared to dispense detailed advice. This includes specifying those situations, if they can be identified, in which the p-value plays a clearly valuable role in data analysis and interpretation. The ASA might also consider a statement that recommends abandoning the use of p-values. 相似文献
73.
Carlos J. Pérez-González Arturo J. Fernández 《Journal of Statistical Computation and Simulation》2019,89(13):2489-2504
An accurate procedure is proposed to calculate approximate moments of progressive order statistics in the context of statistical inference for lifetime models. The study analyses the performance of power series expansion to approximate the moments for location and scale distributions with high precision and smaller deviations with respect to the exact values. A comparative analysis between exact and approximate methods is shown using some tables and figures. The different approximations are applied in two situations. First, we consider the problem of computing the large sample variance–covariance matrix of maximum likelihood estimators. We also use the approximations to obtain progressively censored sampling plans for log-normal distributed data. These problems illustrate that the presented procedure is highly useful to compute the moments with precision for numerous censoring patterns and, in many cases, is the only valid method because the exact calculation may not be applicable. 相似文献
74.
In this article, we consider the prediction of future failure times based on Type-I hybrid censored samples. Point predictors and prediction intervals using different procedures are discussed for a general model. The exponential and Rayleigh distributions are used as illustrative examples to show the most simplified forms of the so obtained predictors as well as prediction intervals. Intensive simulation study and a real life dataset are presented to illustrate our findings and results. 相似文献
75.
易莹莹 《南京邮电大学学报(社会科学版)》2011,13(2):47-52
将教育资本分解成受教育程度和职业的各种组合,借鉴Markowiz的有效投资组合理论,计算Mincer收入方程中扰动项的均值—标准差来衡量投资风险收益,以此建立中国教育投资风险和收益之间的平衡关系,并且利用F检验衡量投资组合的均值方差张成。结果表明,有效的教育资本组合不仅与所接受教育程度有关,还与未来职业选择有关。在以受教育程度为高中和中等职业的基础上,高中(06)可以张成其他全部14个投资组合的均值方差边界。因此,个体和政府在进行教育投资时,都需要全面衡量投资组合的风险收益平衡问题。 相似文献
76.
《Journal of Policy Modeling》2020,42(3):583-596
We analyze the Russian restriction on chicken imports as an example of a non-tariff barrier (NTB). Cointegration test results support the hypothesis that the NTB limited trade. We calibrate an equilibrium market model to cointegration results to assess the market impact. The tariff equivalent of the Russian chicken NTB is estimated to be 30 − 40% depending on the representation of consumer demand. Removing the NTB decreases domestic production by 4–5% and domestic price by 27%–34%, while imports increase by 326–423 thousand tons annually in 2015–2019. 相似文献
77.
Using the Theory of Planned Behaviour to Understand Motivation to Register Births in Lombok,Indonesia
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Anaise Williams Santi Kusumaningrum Cyril Bennouna Rahmadi Usman Wenny Wandasari Lindsay Stark 《Children & Society》2018,32(5):368-380
Despite government interest in promoting birth registration, more than a third of Indonesian children do not have a birth certificate, affecting the realisation of both their human and citizen rights. While barriers to registering children's births in Indonesia have been assessed, there is limited research on how communities perceive the importance of having a birth certificate. This study used focus group discussions to explore parental motivations around birth registration. The results of a thematic analysis found that perceived use of birth certificates, perceived control over the application process and social norms related to certificate ownership affect the intention to apply. 相似文献
78.
双语教学已经成为我国课程教学的发展趋势,开展双语教学是培养具有国际合作意识、国际交流能力和具有国际竞争力的外向型人才的客观要求。文章对数理统计双语教学的必要性以及在双语教学的实践中应该注意的问题进行了探讨,并提出了解决问题的方法。 相似文献
79.
《民族学刊》于2010年6月创刊,相继入选“复印报刊资料重要转载来源期刊”“北大核心期刊”“人文社科核心期刊”和“CSSCI来源期刊”,表明了《民族学刊》在学界和期刊界的学术影响,其期刊的影响因子值得研究和探讨。本文基于《中国学术期刊影响因子年报(人文社会科学)》公布的影响因子、各类计量指标和人文社科类影响因子、被引频次及可被引文献量等数据,对《民族学刊》的相应数据与C95民族学类期刊在期刊影响力指数、影响因子均值及量效指数均值、各类计量指标均值和人文社科类影响因子、被引频次及可被引文献量均值等方面进行统计对比,分析《民族学刊》2014~2018年五年间的影响因子数据在民族学类期刊位置及其学术影响。 相似文献
80.
For ethical reasons, group sequential trials were introduced to allow trials to stop early in the event of extreme results. Endpoints in such trials are usually mortality or irreversible morbidity. For a given endpoint, the norm is to use a single test statistic and to use that same statistic for each analysis. This approach is risky because the test statistic has to be specified before the study is unblinded, and there is loss in power if the assumptions that ensure optimality for each analysis are not met. To minimize the risk of moderate to substantial loss in power due to a suboptimal choice of a statistic, a robust method was developed for nonsequential trials. The concept is analogous to diversification of financial investments to minimize risk. The method is based on combining P values from multiple test statistics for formal inference while controlling the type I error rate at its designated value.This article evaluates the performance of 2 P value combining methods for group sequential trials. The emphasis is on time to event trials although results from less complex trials are also included. The gain or loss in power with the combination method relative to a single statistic is asymmetric in its favor. Depending on the power of each individual test, the combination method can give more power than any single test or give power that is closer to the test with the most power. The versatility of the method is that it can combine P values from different test statistics for analysis at different times. The robustness of results suggests that inference from group sequential trials can be strengthened with the use of combined tests. 相似文献