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61.
In the present paper, a semiparametric maximum-likelihood-type test statistic is proposed and proved to have the same limit null distribution as the classical parametric likelihood one. Under some mild conditions, the limiting law of the proposed test statistic, suitably normalized and centralized, is shown to be double exponential, under the null hypothesis of no change in the parameter of copula models. We also discuss the Gaussian-type approximations for the semiparametric likelihood ratio. The asymptotic distribution of the proposed statistic under specified alternatives is shown to be normal, and an approximation to the power function is given. Simulation results are provided to illustrate the finite sample performance of the proposed statistical tests based on the double exponential and Gaussian-type approximations. 相似文献
62.
Anirban Dasgupta George Casella Mohan Delampady Christian Genest William E. Strawderman Herman Rubin 《Revue canadienne de statistique》2000,28(4):675-687
The authors consider the correlation between two arbitrary functions of the data and a parameter when the parameter is regarded as a random variable with given prior distribution. They show how to compute such a correlation and use closed form expressions to assess the dependence between parameters and various classical or robust estimators thereof, as well as between p‐values and posterior probabilities of the null hypothesis in the one‐sided testing problem. Other applications involve the Dirichlet process and stationary Gaussian processes. Using this approach, the authors also derive a general nonparametric upper bound on Bayes risks. 相似文献
63.
Helge Blaker 《Revue canadienne de statistique》2000,28(4):783-798
The author describes a method for improving standard “exact” confidence intervals in discrete distributions with respect to size while retaining correct level. The binomial, negative binomial, hypergeometric, and Poisson distributions are considered explicitly. Contrary to other existing methods, the author's solution possesses a natural nesting condition: if α < α', the 1 ‐ α' confidence interval is included in the 1 ‐ α interval. Nonparametric confidence intervals for a quantile are also considered. 相似文献
64.
本文应用因子分析法对我国分地区高等教育与经济发展水平的协调性进行了实证分析。利用31个省区市2006年横截面数据计算了各地高等教育与经济发展的因子得分,进行排序、等级差和相关性分析。研究表明:31个省区市中,高等教育与经济发展协调程度为好和较好的有12个,差和较差的有13个,协调程度一般的有6个,总体协调程度较差。在分析个案原因的基础上,提出高等教育发展规划要更多考虑地方经济发展状况和潜力;鼓励高等教育发展滞后地区的地方政府加大对高等教育投资,支持社会资本进入高等教育领域;适当控制发展过度地区的高等教育规模,并加大中央财政对西部欠发达地区的财政支持。 相似文献
65.
Studying the right tail of a distribution, one can classify the distributions into three classes based on the extreme value index γ. The class γ>0 corresponds to Pareto-type or heavy tailed distributions, while γ<0 indicates that the underlying distribution has a finite endpoint. The Weibull-type distributions form an important subgroup within the Gumbel class with γ=0. The tail behaviour can then be specified using the Weibull tail index. Classical estimators of this index show severe bias. In this paper we present a new estimation approach based on the mean excess function, which exhibits improved bias and mean squared error. The asserted properties are supported by simulation experiments and asymptotic results. Illustrations with real life data sets are provided. 相似文献
66.
We consider in this paper the regularization by projection of a linear inverse problem Y=Af+εξ where ξ denotes a Gaussian white noise, A a compact operator and ε>0 a noise level. Compared to the standard unbiased risk estimation (URE) method, the risk hull minimization (RHM) procedure presents a very interesting numerical behavior. However, the regularization in the singular value decomposition setting requires the knowledge of the eigenvalues of A. Here, we deal with noisy eigenvalues: only observations on this sequence are available. We study the efficiency of the RHM method in this situation. More generally, we shed light on some properties usually related to the regularization with a noisy operator. 相似文献
67.
Under appropriate long range dependence conditions, the point process of exceedances of a stationary sequence weakly converges to a homogeneous compound Poisson point process. This limiting point process can be characterized by the extremal index and the cluster-size probabilities. In this paper we address the problem of estimating these quantities and we consider the intervals estimators introduced in Ferro and Segers [2003. Inference for clusters of extreme values. J. Roy. Statist. Soc. Ser. B 545–556] and in Ferro [2004. Statistical methods for clusters of extreme values. Ph.D. Thesis, Lancaster University]. We establish asymptotic weak convergence to Gaussian random variables and we give their asymptotic variance. 相似文献
68.
Kevin J. Carroll 《Pharmaceutical statistics》2009,8(4):333-345
Time to event outcome trials in clinical research are typically large, expensive and high‐profile affairs. Such trials are commonplace in oncology and cardiovascular therapeutic areas but are also seen in other areas such as respiratory in indications like chronic obstructive pulmonary disease. Their progress is closely monitored and results are often eagerly awaited. Once available, the top line result is often big news, at least within the therapeutic area in which it was conducted, and the data are subsequently fully scrutinized in a series of high‐profile publications. In such circumstances, the statistician has a vital role to play in the design, conduct, analysis and reporting of the trial. In particular, in drug development it is incumbent on the statistician to ensure at the outset that the sizing of the trial is fully appreciated by their medical, and other non‐statistical, drug development team colleagues and that the risk of delivering a statistically significant but clinically unpersuasive result is minimized. The statistician also has a key role in advising the team when, early in the life of an outcomes trial, a lower than anticipated event rate appears to be emerging. This paper highlights some of the important features relating to outcome trial sample sizing and makes a number of simple recommendations aimed at ensuring a better, common understanding of the interplay between sample size and power and the final result required to provide a statistically positive and clinically persuasive outcome. Copyright © 2009 John Wiley & Sons, Ltd. 相似文献
69.
Let X1,X2,… be a sequence of iid random variables having a continuous distribution; by R1,R2,… denote the corresponding record values. All the distributions allowing linearity of regressions either E(Rm+k|Rm) or E(Rm|Rm+k) are identified. 相似文献
70.
苏霍姆林斯基论校长素质及其现实价值 总被引:2,自引:0,他引:2
实施素质教育需要高素质的教育工作者,尤其需要高素质的校长。苏霍姆林斯基认为校长应具有正确的教育思想、坚定的优师理念、笃深的职业情感、渊博的文化知识、精湛的指导艺术和强烈的科研意识,这在实施素质教育的大背景下,对于强化校长素养,优化管理行为,具有特别重要的指导价值。 相似文献