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251.
ABSTRACT

Discrepancies are measures which are defined as the deviation between the empirical and the theoretical uniform distribution. In this way, discrepancy is a measure of uniformity which provides a way of construction a special kind of space filling designs, namely uniform designs. Several discrepancies have been proposed in recent literature. A brief, selective review of these measures including some construction algorithms are given in this paper. Furthermore, a critical discussion along with some comparisons is provided, as well.  相似文献   
252.
Several indices of entropy have been suggested in the literature as weighted diversity measures of a population with respect to a classification process. Among them, Shannon's entropy and Havrda -Charvát's non-additive entropies of order a, have been exhaustively used.

When the population is finite but too large to be censused, the diversity with respect to a given classification process must be estimated from a sample.

In this note, on the basis of an asymptotic study of the sample indices in the stratified random sampling, we are going to confirm that when we deal with large samples one can guarantee a gain in precision from stratified random over simple random sampling. This gain becomes considerable when the ‘inaccuracy" (as intended by Kerridge and Rathie and Kannapan) between the frequency vector in each stratum and that in the whole population, varies greatly from stratum to stratum.  相似文献   
253.
It is well known that the standard independent, identically distributed (iid) bootstrap of the mean is inconsistent in a location model with infinite variance (α-stable) innovations. This occurs because the bootstrap distribution of a normalised sum of infinite variance random variables tends to a random distribution. Consistent bootstrap algorithms based on subsampling methods have been proposed but have the drawback that they deliver much wider confidence sets than those generated by the iid bootstrap owing to the fact that they eliminate the dependence of the bootstrap distribution on the sample extremes. In this paper we propose sufficient conditions that allow a simple modification of the bootstrap (Wu, 1986 Wu , C. F. J. ( 1986 ). Jackknife, bootstrap, and other resampling methods . Annals of Statistics 14 : 12611295 .[Crossref], [Web of Science ®] [Google Scholar]) to be consistent (in a conditional sense) yet to also reproduce the narrower confidence sets of the iid bootstrap. Numerical results demonstrate that our proposed bootstrap method works very well in practice delivering coverage rates very close to the nominal level and significantly narrower confidence sets than other consistent methods.  相似文献   
254.
The article discusses alternative Research Assessment Measures (RAM), with an emphasis on the Thomson Reuters ISI Web of Science database (hereafter ISI). Some analysis and comparisons are also made with data from the SciVerse Scopus database. The various RAM that are calculated annually or updated daily are defined and analyzed, including the classic 2-year impact factor (2YIF), 2YIF without journal self-citations (2YIF*), 5-year impact factor (5YIF), Immediacy (or zero-year impact factor (0YIF)), Impact Factor Inflation (IFI), Self-citation Threshold Approval Rating (STAR), Eigenfactor score, Article Influence, C3PO (Citation Performance Per Paper Online), h-index, Zinfluence, and PI-BETA (Papers Ignored – By Even The Authors). The RAM are analyzed for 10 leading econometrics journals and 4 leading statistics journals. The application to econometrics can be used as a template for other areas in economics, for other scientific disciplines, and as a benchmark for newer journals in a range of disciplines. In addition to evaluating high quality research in leading econometrics journals, the paper also compares econometrics and statistics, alternative RAM, highlights the similarities and differences of the alternative RAM, finds that several RAM capture similar performance characteristics for the leading econometrics and statistics journals, while the new PI-BETA criterion is not highly correlated with any of the other RAM, and hence conveys additional information regarding RAM, highlights major research areas in leading journals in econometrics, and discusses some likely future uses of RAM, and shows that the harmonic mean of 13 RAM provides more robust journal rankings than relying solely on 2YIF.  相似文献   
255.
ABSTRACT

The analysis of clustered data in a longitudinal ophthalmology study is complicated by correlations between repeatedly measured visual outcomes of paired eyes in a participant and missing observations due to the loss of follow-up. In the present article we consider hypothesis testing problems in an ophthalmology study, where eligible eyes are randomized to two treatments (when two eyes of a participant are eligible, the paired eyes are assigned to different treatments), and vision function outcomes are repeatedly measured over time. A large sample-based nonparametric test statistic and a nonparametric Bootstrap test analog are proposed for testing an interaction effect of two factors and testing an effect of a eye-specific factor within a level of the other person-specific factor on visual function outcomes. Both test statistics allow for missing observations, correlations between repeatedly measured outcomes on individual eyes, and correlations between repeatedly measured outcomes on both eyes of each participant. A simulation study shows that these proposed test statistics maintain nominal significance levels approximately and comparable powers to each other, as well as higher powers than the naive test statistic ignoring correlations between repeated bilateral measurements of both eyes in the same person. For illustration, we apply the proposed test statistics to the changes of visual field defect score in the Advanced Glaucoma Intervention Study.  相似文献   
256.
The inverse Gaussian distribution is often suited for modeling positive and/or positively skewed data (see Chhikara and Folks, 1989 Chhikara , R. S. , Folks , J. L. ( 1989 ). The Inverse Gaussian Distribution . New York : Marcel Dekker . [Google Scholar]) and presents an interesting alternative to the Gaussian model in such cases. We note here that overlap coefficients and their variants are widely studied in the literature for Gaussian populations (see Mulekar and Mishra, 1994 Mulekar , M. , Mishra , S. N. ( 1994 ). Overlap coefficients of two normal densities: equal means case . J. Japan. Statist. Soc. 24 : 169180 . [Google Scholar], 2000 Mulekar , M. , Mishra , S. N. ( 2000 ). Confidence interval estimation of overlap: equal means case . Computat. Statist. Data Anal. 34 : 121137 .[Crossref], [Web of Science ®] [Google Scholar], and references therein for further details). This article studies the properties and addresses point estimation for large samples of commonly used measures of overlap when the populations are described by inverse Gaussian distributions. The bias and mean square error properties of the estimators are studied through a simulation study.  相似文献   
257.
Longitudinal investigations play an increasingly prominent role in biomedical research. Much of the literature on specifying and fitting linear models for serial measurements uses methods based on the standard multivariate linear model. This article proposes a more flexible approach that permits specification of the expected response as an arbitrary linear function of fixed and time-varying covariates so that mean-value functions can be derived from subject matter considerations rather than methodological constraints. Three families of models for the covariance function are discussed: multivariate, autoregressive, and random effects. Illustrations demonstrate the flexibility and utility of the proposed approach to longitudinal analysis.  相似文献   
258.
259.
Nowadays, there is an increasing interest in multi-point models and their applications in Earth sciences. However, users not only ask for multi-point methods able to capture the uncertainties of complex structures and to reproduce the properties of a training image, but also they need quantitative tools for assessing whether a set of realizations have the properties required. Moreover, it is crucial to study the sensitivity of the realizations to the size of the data template and to analyze how fast realization-based statistics converge on average toward training-based statistics. In this paper, some similarity measures and convergence indexes, based on some physically measurable quantities and cumulants of high-order, are presented. In the case study, multi-point simulations of the spatial distribution of coarse-grained limestone and calcareous rock, generated by using three templates of different sizes, are compared and convergence toward training-based statistics is analyzed by taking into account increasing numbers of realizations.  相似文献   
260.
大数据时代已经到来,大数据驱动下的政府治理发生何种改变,目前相关研究较少。当前政府治理的考验集中在2020年实现全面脱贫后精准扶贫领域的返贫阻断。文章以该领域为切入点,探索大数据驱动下政府治理的内在机制。研究发现:大数据背景下,政府治理能力催生出新的核心能力,即数据治理能力。数据治理能力驱动下,政府治理主体多元化有利于实现政府治理资源的宽范围、精准化动员;政府治理方式实现经验式决策向数据化决策转变,有利于实现政府资源的高效率和公平配置;政府治理客体的精准识别,有利于政府资源的精准化和最优化运用。但是客观上必须具备数据治理能力,主观上必须按照大数据驱动的要求重构政府治理体系(包括治理主体、治理方式和治理客体),才能真正实现以数据治理驱动政府治理,进而提高政府治理能力的目的。而数据治理能力客观上也加速了政府治理体系的重构,进而加快了政府治理能力的提升,并最终提高政府治理绩效。在对标大数据应用不同阶段分析常规式返贫阻断和大数据返贫阻断的不足和差距的基础上,笔者提出重构政府治理体系和提升数据治理能力等针对性建议。  相似文献   
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