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171.
Intergenerational relationships are a topic of general concern to social scientists because of the importance of the family for individual's well-being, especially in times of crisis. Hence, a considerable amount of research on relationships between parents and their adult children has been published in a broad array of social science journals. Most of this research examines intergenerational relationships from the perspective of only one generation and implicitly assumes that we would get the same results if we were to examine the relationships from the point of view of other family members. In societies where there are strong norms regarding kin contact, this assumption is likely to be invalid. This research examines reported levels of face-to-face contact among kin in the USA and Japan, and tests whether these reports are systematically different for respondents in some kinship positions than in others. The results show that norms favoring patrilineal contact in Japan can produce reporting bias. In Japan, married daughters tend to underreport levels of contact with their parents. In the USA, children-in-law report lower levels of visiting. 相似文献
172.
Julius Sim Benjamin Saunders Jackie Waterfield Tom Kingstone 《International Journal of Social Research Methodology》2018,21(5):643-646
In his detailed response to our paper on sample size in qualitative research, Norman Blaikie raises important issues concerning conceptual definitions and taxonomy. In particular, he points out the problems associated with a loose, generic application of adjectives such as ‘qualitative’ or ‘inductive’. We endorse this concern, though we suggest that in some specific contexts a broad categorization may be more appropriate than a more nuanced distinction – provided that it is clear in which sense the terms are employed. However, other concepts, such as saturation, do not lend themselves to generic use, and require a more detailed conceptualization. Blaikie’s analysis also makes it clear that meaningful discussion of sample size in qualitative research cannot occur with reference to an undifferentiated conception of the nature of qualitative research; clear distinctions need to be made within this approach in terms of methodology, ontological and epistemological assumptions and broader research paradigms. 相似文献
173.
《Journal of Statistical Computation and Simulation》2012,82(7):549-564
Consider the logistic linear model, with some explanatory variables overlooked. Those explanatory variables may be quantitative or qualitative. In either case, the resulting true response variable is not a binomial or a beta-binomial but a sum of binomials. Hence, standard computer packages for logistic regression can be inappropriate even if an overdispersion factor is incorporated. Therefore, a discrete exponential family assumption is considered to broaden the class of sampling models. Likelihood and Bayesian analyses are discussed. Bayesian computation techniques such as Laplacian approximations and Markov chain simulations are used to compute posterior densities and moments. Approximate conditional distributions are derived and are shown to be accurate. The Markov chain simulations are performed effectively to calculate posterior moments by using the approximate conditional distributions. The methodology is applied to Keeler's hardness of winter wheat data for checking binomial assumptions and to Matsumura's Accounting exams data for detailed likelihood and Bayesian analyses. 相似文献
174.
We propose serial correlation-robust asymptotic confidence bands for the receiver operating characteristic (ROC) curve and its functional, viz., the area under ROC curve (AUC), estimated by quasi-maximum likelihood in the binormal model. Our simulation experiments confirm that this new method performs fairly well in finite samples, and confers an additional measure of robustness to nonnormality. The conventional procedure is found to be markedly undersized in terms of yielding empirical coverage probabilities lower than the nominal level, especially when the serial correlation is strong. An example from macroeconomic forecasting demonstrates the importance of accounting for serial correlation when the probability forecasts for real GDP declines are evaluated using ROC. Supplementary materials for this article are available online. 相似文献
175.
This article proposes a variables sampling plan that can be applied for sampling inspection of resubmitted lots when the quality characteristic of interest follows the normal distribution. Resubmission of lots for inspection is allowed in some situations where the original inspection results are suspected or when the supplier or producer is allowed to opt for resampling as per the provisions of the contract, etc. The advantages of this proposed variables sampling plan over the existing single sampling variables plan are discussed. Tables are also constructed for the selection of optimal parameters of known and unknown standard deviation variables resampling scheme for specified two points on the operating characteristic curve, namely, the acceptable quality level and the limiting quality level along with the producer and consumer's risks. The optimization problem is formulated as a nonlinear programming where the objective function to be minimized is the average sample number and the constraints are related to lot acceptance probabilities at acceptable quality level and limiting quality level under the operating characteristic curve. 相似文献
176.
Sundar Natarajan Stuart R. Lipsitz Garrett Fitzmaurice Charity G. Moore Rene Gonin 《Journal of the Royal Statistical Society. Series C, Applied statistics》2008,57(1):75-87
Summary. Complex survey sampling is often used to sample a fraction of a large finite population. In general, the survey is conducted so that each unit (e.g. subject) in the sample has a different probability of being selected into the sample. For generalizability of the sample to the population, both the design and the probability of being selected into the sample must be incorporated in the analysis. In this paper we focus on non-standard regression models for complex survey data. In our motivating example, which is based on data from the Medical Expenditure Panel Survey, the outcome variable is the subject's 'total health care expenditures in the year 2002'. Previous analyses of medical cost data suggest that the variance is approximately equal to the mean raised to the power of 1.5, which is a non-standard variance function. Currently, the regression parameters for this model cannot be easily estimated in standard statistical software packages. We propose a simple two-step method to obtain consistent regression parameter and variance estimates; the method proposed can be implemented within any standard sample survey package. The approach is applicable to complex sample surveys with any number of stages. 相似文献
177.
It is desired to draw a random sample containing specified numbers of individuals from each stratum of a population. First a random sample of size N is chosen from the whole populations and the stratum of each individual ascertained; then any shortfall is made up by selecting individuals with known stratum affiliation. Optimal values of N are sought allowing for cost structure and also the possibility of error in ascertaining the strata to which individuals in the first sample belong. 相似文献
178.
This paper presents procedures and tables for the selection of minimum sample size multiple deferred (dependent) state sampling plan of type MDS and MDS - 1 for various entry conditions such as (AQL, LQL), (AQL, AOQL) etc. 相似文献
179.
This paper presents modified tables for the selection of double sampling plans for given Acceptable Qualtiy Level (AQL), producer’s risk (α) Limiting Quality Level (LQL), and consumer’s risk (ß) giving the minimum sum of Average Sample Numbers (ASN) at AQL and LQL under the conditions of the Poisson model for the Operating Characteristic (OC) curve. 相似文献
180.
John McDonald 《商业与经济统计学杂志》2013,31(3):300-301
Beginning with the 1990 Census and the January 1992 Current Population Survey (CPS), the Bureau of the Census changed the emphasis of its educational-attainment question from years of education to degree receipt. Using a matched sample from the 1991 and 1992 March CPS, this article addresses how to reconcile the old and new questions. The effects of those methods on the estimated return(s) to education are then examined. Both the estimated linear return and the estimated college–high-school wage differential are slightly larger using information from the new question. 相似文献