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71.
A. R. de Leon 《统计学通讯:理论与方法》2013,42(1):129-141
In this paper we present a procedure for finding the optimal order of a response polynomial. the procedure is based on the prediction distribution of future observations. The maximal length of the structural β - expectation tolerance region for each polynomial is calculated. The minimun of these maximal determines the optimal order of the response polynomial 相似文献
72.
R. Willink 《统计学通讯:理论与方法》2013,42(12):2235-2236
A clarification is given of the main result (1.1) in Communications in Statistics: Theory and Methods 34:753–766. The term {1 + 6a(r ? a)}1/3 is to be understood as sgn(1 + 6a(r ? a)) | 1 + 6a(r ? a)|1/3. The result is expressed in a more user-friendly form. An issue is raised regarding the common usage of the expression x 1/n when n is even. 相似文献
73.
Two sampling designs via inverse sampling for generating record data and their concomitants are considered: single sample and multisample. The purpose here is to compare the Fisher information in these two sampling schemes. It is shown that the comparison criterion depends on the underlying distribution. Several general results are established for some parametric families and their well known subclasses such as location-scale and shape families, exponential family and proportional (reversed) hazard model. Farlie-Gumbel-Morgenstern (FGM) family, bivariate normal distribution, and some other common bivariate distributions are considered as examples for illustrations and are classified according to this criterion. 相似文献
74.
Luísa Pereira 《统计学通讯:理论与方法》2013,42(24):4513-4524
The study of the relationship between extreme values of dependent random fields and their locations has important practical applications, for instance, when dealing with censored data. In this article we study the asymptotic behavior of the joint locations of the largest order statistics generated by a stationary random field with extremal index as well as the joint limiting distribution of the location of a high level exceedance nearest of the origin and the location of the maximum. 相似文献
75.
In this article, our objective is to evaluate the performance of different tests which are used to compare the equality of more than two location parameters. We have considered six tests (including some commonly used) in this study, one of which is parametric and the others are nonparametric. These tests include the usual F test (Fisher and Mackenzie, 1923), Kruskal–Wallis test (Kruskall and Wallis, 1952), Kolmogorov–Smirnov test (David, 1958), the g test (Stekler, 1987), f test (Batchelor, 1990), and Extension of Median test (as given in Daniel, 1990). Performance of these tests are compared under different symmetric, skewed and contaminated probability distributions that include Normal, Cauchy, Uniform, Laplace, Lognormal, Exponential, Weibull, Gamma, t, Chi-square, Half Normal, Mixed Weibull, and Mixed Normal. Performances of these tests are measured in terms of power. We have suggested appropriate tests which may perform better under different situations. It is expected that researchers will find these results useful in decision making. 相似文献
76.
77.
Lewis (1972) has proposed a test for the slippage of the location parameter of k- populations when the direction of the slippage is unknown. In this paper, an extension of this test is proposed. The distribution of the test statistic is obtained under the null hypothesis of no slippage and the power of the test is compared with that of another competitive test proposed by Conover (1968). 相似文献
78.
《Omega》2015
We study an integrated inventory-location problem with service requirements faced by an aerospace company in designing its service parts logistics network. Customer demand is Poisson distributed and the service levels are time-based leading to highly non-linear, stochastic service constraints and a nonlinear, mixed-integer optimization problem. Unlike previous work in the literature, which propose approximations for the nonlinear constraints, we present an exact solution methodology using logic-based Benders decomposition. We decompose the problem to separate the location decisions in the master problem from the inventory decisions in the subproblem. We propose a new family of valid cuts and prove that the algorithm is guaranteed to converge to optimality. This is the first attempt to solve this type of problem exactly. Then, we present a new restrict-and-decompose scheme to further decompose the Benders master problem by part. We test on industry instances as well as random instances. Using the exact algorithm and restrict-and-decompose scheme we are able to solve industry instances with up to 60 parts within reasonable time, while the maximum number of parts attempted in the literature is 5. 相似文献
79.
《Omega》2015
Determining the locations of facilities for prepositioning supplies to be used during a disaster is a strategic decision that directly affects the success of disaster response operations. Locating such facilities close to the disaster-prone areas is of utmost importance to minimize response time. However, this is also risky because the facility may be disrupted and hence may not support the demand point(s). In this study, we develop an optimization model that minimizes the risk that a demand point may be exposed to because it is not supported by the located facilities. The purpose is to choose the locations such that a reliable facility network to support the demand points is constructed. The risk for a demand point is calculated as the multiplication of the (probability of the) threat (e.g., earthquake), the vulnerability of the demand point (the probability that it is not supported by the facilities), and consequence (value or possible loss at the demand point due to threat). The vulnerability of a demand point is computed by using fault tree analysis and incorporated into the optimization model innovatively. To our knowledge, this paper is the first to use such an approach. The resulting non-linear integer program is linearized and solved as a linear integer program. The locations produced by the proposed model are compared to those produced by the p-center model with respect to risk value, coverage distance, and covered population by using several test problems. The model is also applied in a real problem. The results indicate that taking the risk into account explicitly may create significant differences in the risk levels. 相似文献
80.
Tatsuya Kubokawa William E. Strawderman 《Journal of statistical planning and inference》2011,141(6):2141-2155
The estimation of a linear combination of several restricted location parameters is addressed from a decision-theoretic point of view. Although the corresponding linear combination of the unbiased estimators is minimax under the restricted problem, it has a drawback of taking values outside the restricted parameter space. Thus, it is reasonable to use the linear combination of the restricted estimators such as maximum likelihood or truncated estimators. In this paper, a necessary and sufficient condition for such restricted estimators to be minimax is derived, and it is shown that the restricted estimators are not minimax when the number of the location parameters is large. The condition for minimaxity is examined for some specific distributions. Finally, similar problems of estimating the product and sum of the restricted scale parameters are studied, and it is shown that analogous non-dominance properties appear when the number of the scale parameters is large. 相似文献