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11.
Summary.  Factor analysis is a powerful tool to identify the common characteristics among a set of variables that are measured on a continuous scale. In the context of factor analysis for non-continuous-type data, most applications are restricted to item response data only. We extend the factor model to accommodate ranked data. The Monte Carlo expectation–maximization algorithm is used for parameter estimation at which the E-step is implemented via the Gibbs sampler. An analysis based on both complete and incomplete ranked data (e.g. rank the top q out of k items) is considered. Estimation of the factor scores is also discussed. The method proposed is applied to analyse a set of incomplete ranked data that were obtained from a survey that was carried out in GuangZhou, a major city in mainland China, to investigate the factors affecting people's attitude towards choosing jobs.  相似文献   
12.
在考虑了操作机的关节极限、自碰撞和静态障碍物的情况下,从给定的初始位形出发,发现一条到末端效应器目标位置和姿态的相连可到达路径。方法给出了机器人操作机点到点逆运动学问题求解算法,利用碰撞算法实现了冗余度机器人运动规划,仿真验证了该方法的有效性,并表明了该方法具有较大的实用价值。  相似文献   
13.
研究了一种客户动态、静态属性数据相结合的客户分类方法。提出了客户时间序列的加权处理方法,并应用客户时间序列的统计特征作为聚类特征向量,采用混合式遗传算法对客户聚类,使每一类客户具有相似的时序特征。在此基础上将聚类结果与客户的静态属性数据相结合,对客户进一步分类。实验结果表明,与传统的基于静态属性数据的客户分类方法相比,本文的方法提高了客户分类的准确性。  相似文献   
14.
Point processes are the stochastic models most suitable for describing physical phenomena that appear at irregularly spaced times, such as the earthquakes. These processes are uniquely characterized by their conditional intensity, that is, by the probability that an event will occur in the infinitesimal interval (t, t+Δt), given the history of the process up tot. The seismic phenomenon displays different behaviours on different time and size scales; in particular, the occurrence of destructive shocks over some centuries in a seismogenic region may be explained by the elastic rebound theory. This theory has inspired the so-called stress release models: their conditional intensity translates the idea that an earthquake produces a sudden decrease in the amount of strain accumulated gradually over time along a fault, and the subsequent event occurs when the stress exceeds the strength of the medium. This study has a double objective: the formulation of these models in the Bayesian framework, and the assignment to each event of a mark, that is its magnitude, modelled through a distribution that depends at timet on the stress level accumulated up to that instant. The resulting parameter space is constrained and dependent on the data, complicating Bayesian computation and analysis. We have resorted to Monte Carlo methods to solve these problems.  相似文献   
15.
提出了非负权最短路问题的一种新算法。与有名的Dijkstra算法相比,这种算法计算简便、容易理解、易于编程。  相似文献   
16.
建立了有柔性路径的FMS动态调度问题的模型.采用离线重调度的方法,提出一种结合离线重调度两种生成调度方式的方法来阐述FMS的有柔性路径动态调度问题.最后给出了该问题的遗传算法解决方法和计算示例.  相似文献   
17.
提出了一种基于定位辅助按需拓扑维护的超宽带自组网路由算法,该算法利用超宽带技术精确定位信息所获得的网络拓扑信息和路由信息进行分组转发,路由维护阶段在定位信息辅助下采用按需方式进行断链路由的修复和拓扑维护,通过基于位置信息的按需路由发现和限制路由查找范围,以及定位信息和网络拓扑信息的及时更新,在降低协议开销的同时保证了算法的有效性。仿真表明,该算法在分组丢失率、平均端到端时延和路由附加开销等方面具有良好性能,其优良的分布式控制特征能适应超宽带自组网的动态环境。  相似文献   
18.
The HastingsMetropolis algorithm is a general MCMC method for sampling from a density known up to a constant. Geometric convergence of this algorithm has been proved under conditions relative to the instrumental (or proposal) distribution. We present an inhomogeneous HastingsMetropolis algorithm for which the proposal density approximates the target density, as the number of iterations increases. The proposal density at the n th step is a non-parametric estimate of the density of the algorithm, and uses an increasing number of i.i.d. copies of the Markov chain. The resulting algorithm converges (in n ) geometrically faster than a HastingsMetropolis algorithm with any fixed proposal distribution. The case of a strictly positive density with compact support is presented first, then an extension to more general densities is given. We conclude by proposing a practical way of implementation for the algorithm, and illustrate it over simulated examples.  相似文献   
19.
In this article we provide a rigorous treatment of one of the central statistical issues of credit risk management. GivenK-1 rating categories, the rating of a corporate bond over a certain horizon may either stay the same or change to one of the remainingK-2 categories; in addition, it is usually the case that the rating of some bonds is withdrawn during the time interval considered in the analysis. When estimating transition probabilities, we have thus to consider aK-th category, called withdrawal, which contains (partially) missing data. We show how maximum likelihood estimation can be performed in this setup; whereas in discrete time our solution gives rigorous support to a solution often used in applications, in continuous time the maximum likelihood estimator of the transition matrix computed by means of the EM algorithm represents a significant improvement over existing methods.  相似文献   
20.
基于需求不确定性的供应链库存控制研究   总被引:3,自引:0,他引:3  
通过建立需求不确定性环境下供应链成员的独立存货成本模型,运用模拟退火法对该模型进行52周的仿真,求解存货最佳订购数量与最佳再订购点,从而比较出不同存货控制策略的供应链存货总成本及订单满足率的差异。  相似文献   
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