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131.
Indranil Ghosh N. Balakrishnan 《Journal of Statistical Computation and Simulation》2017,87(7):1467-1487
Income and wealth data are typically modelled by some variant of the classical Pareto distribution. Often, in practice, the observed data are truncated with respect to some unobserved covariate. In this paper, a hidden truncation formulation of this scenario is proposed and analysed. For this purpose, a bivariate Pareto (IV) distribution is assumed for the variable of interest and the unobserved covariate. Some important distributional properties of the resulting model as well as associated inferential methods are studied. An example is used finally to illustrate the results developed here. In this case, it is noted that hidden truncation on the left does not result in any new model, but the hidden truncation on the right does. The properties and fit of such a model pose a challenging problem and that is what is focused here in this work. 相似文献
132.
Trace Class Markov Chains for Bayesian Inference with Generalized Double Pareto Shrinkage Priors 下载免费PDF全文
Bayesian shrinkage methods have generated a lot of interest in recent years, especially in the context of high‐dimensional linear regression. In recent work, a Bayesian shrinkage approach using generalized double Pareto priors has been proposed. Several useful properties of this approach, including the derivation of a tractable three‐block Gibbs sampler to sample from the resulting posterior density, have been established. We show that the Markov operator corresponding to this three‐block Gibbs sampler is not Hilbert–Schmidt. We propose a simpler two‐block Gibbs sampler and show that the corresponding Markov operator is trace class (and hence Hilbert–Schmidt). Establishing the trace class property for the proposed two‐block Gibbs sampler has several useful consequences. Firstly, it implies that the corresponding Markov chain is geometrically ergodic, thereby implying the existence of a Markov chain central limit theorem, which in turn enables computation of asymptotic standard errors for Markov chain‐based estimates of posterior quantities. Secondly, because the proposed Gibbs sampler uses two blocks, standard recipes in the literature can be used to construct a sandwich Markov chain (by inserting an appropriate extra step) to gain further efficiency and to achieve faster convergence. The trace class property for the two‐block sampler implies that the corresponding sandwich Markov chain is also trace class and thereby geometrically ergodic. Finally, it also guarantees that all eigenvalues of the sandwich chain are dominated by the corresponding eigenvalues of the Gibbs sampling chain (with at least one strict domination). Our results demonstrate that a minor change in the structure of a Markov chain can lead to fundamental changes in its theoretical properties. We illustrate the improvement in efficiency resulting from our proposed Markov chains using simulated and real examples. 相似文献
133.
本文讨论了给定容量n的一个Pareto样本在对称损失函数下,Pareto分布参数的Bayes估计,证明了这一估计是可容许的,并给出了Bayes的置信下限。 相似文献
134.
关于社会主义新农村建设的经济理论基础探析 总被引:1,自引:0,他引:1
王雅鹏 《江西农业大学学报(社会科学版)》2008,7(3):1-7
社会主义新农村建设正在迅猛向前推进,其经济理论基础是什么?本文通过分析认为:可持续发展理论指导了社会主义新农村建设的目标定位,平衡发展理论和帕累托最优理论指引和校正了社会主义新农村发建设的行动,它们共同形成了社会主义新农村建设的理论基础,支撑和引领社会主义新农村建设稳步向前发展。 相似文献
135.
Yoshikazu Takada 《Revue canadienne de statistique》1981,9(2):225-228
This paper deals with obtaining an upper tolerance limit for a largest observation X(n) in an ordered sample of size n from a continuous distribution where the first m observations X(1) < X(2) < … < X(m), l ≤ m < n, have been observed. A criterion of “goodness” of tolerance limit is developed, and a method is given to obtain the best tolerance limit. This method is applied to exponential and Pareto distributions. 相似文献
136.
Two designs equivalent under one or two criteria may be compared under other criteria. For certain configurations of eigenvalues of the information matrices, we decide which design is the better of the two for many other such criteria. The relationship to universal optimality (in the case of equivalence under one criterion) is indicated. For two criteria, applications are given to weighing and treatment-with-covariate settings. 相似文献
137.
In the usual two-way layout of ANOVA (interactions are admitted) let nij ? 1 be the number of observations for the factor-level combination(i, j). For testing the hypothesis that all main effects of the first factor vanish numbers are given such that the power function of the F-test is uniformly maximized (U-optimality), if one considers only designs (nij) for which the row-sums ni are prescribed. Furthermore, in the (larger) set of all designs for which the total number of observations is given, all D-optimum designs are constructed. 相似文献
138.
Designs for quadratic and cubic regression are considered when the possible choices of the controlable variable are points x=( x1,x2,…,xq) in the q-dimensional. Full of radius R, Bq(R) ={x:Σ4ix2i?R2}. The designs that are optimum among rotatable designs with respect to the D-, A-, and E-optimality criteria are compared in their performance relative to these and other criteria, including extrapolation. Additionally, the performance of a design optimum for one value of R, when it is implemented for a different value of R, is investigated. Some of the results are developed algebraically; others, numerically. For example, in quadratic regression the A-optimum design appears to be fairly robust in its efficiency, under variation of criterion. 相似文献
139.
In this article we obtain an alternative formulation of the von Mises type conditions for p-max stable laws in terms of generalized log Pareto distributions (glogPds). Relationship between the rate of convergence of extremes and the remainder terms in the von Mises type conditions is investigated. It is shown that the rate of convergence in the von Mises type conditions for p-max stable laws determines the distance of the underlying distribution function from a glogPd. 相似文献
140.
Rakhee Dinubhai Patel 《Journal of applied statistics》2011,38(11):2547-2562
The Pareto distribution, or power-law distribution, has long been used to model phenomena in many fields, including wildfire sizes, earthquake seismic moments and stock price changes. Recent observations have brought the fit of the Pareto into question, however, particularly in the upper tail where it often overestimates the frequency of the largest events. This paper proposes a graphical self-similarity test specifically designed to assess whether a Pareto distribution fits better than a tapered Pareto or another alternative. Unlike some model selection methods, this graphical test provides the advantage of highlighting where the model fits well and where it breaks down. Specifically, for data that seem to be better modeled by the tapered Pareto or other alternatives, the test assesses the degree of local self-similarity at each value where the test is computed. The basic properties of the graphical test and its implementation are discussed, and applications of the test to seismological, wildfire, and financial data are considered. 相似文献