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101.
本文利用丰富的资料,从教育、研究与开发、知识产权保护、开放度等四个方面,对民族素质能量积聚的途径、方式进行了开拓性的研究.  相似文献   
102.
浅析中国土族人口分布格局及其社会发展   总被引:2,自引:0,他引:2  
人口分布格局,既是人在空间分布上呈现出来的地理状态,又是许多附着于分布环境上的社会人文变量的外在表现,因此对其进行研究具有探索自然和认识社会的双重意义。本文就中国土族人口的分布格局进行探讨,从历史和现实两方面分析了形成这种分布的原因,并在此基础上探讨了与人口分布格局密切相关的人口城市化、人口流动、人口素质提高、区域经济发展等社会热点问题,以期为政府政策的制定提供可靠的依据。  相似文献   
103.
In the present article, we discuss the regression of a point on the surface of a unit sphere in d dimensions given a point on the surface of a unit sphere in p dimensions, where p may not be equal to d. Point projection is added to the rotation and linear transformation for regression link function. The identifiability of the model is proved. Then, parameter estimation in this set up is discussed. Simulation studies and data analyses are done to illustrate the model.  相似文献   
104.
In this paper, we propose a robust estimation procedure for a class of non‐linear regression models when the covariates are contaminated with Laplace measurement error, aiming at constructing an estimation procedure for the regression parameters which are less affected by the possible outliers, and heavy‐tailed underlying distribution, as well as reducing the bias introduced by the measurement error. Starting with the modal regression procedure developed for the measurement error‐free case, a non‐trivial modification is made so that the modified version can effectively correct the potential bias caused by measurement error. Large sample properties of the proposed estimate, such as the convergence rate and the asymptotic normality, are thoroughly investigated. A simulation study and real data application are conducted to illustrate the satisfying finite sample performance of the proposed estimation procedure.  相似文献   
105.
Abstract

In the fields of internet financial transactions and reliability engineering, there could be more zero and one observations simultaneously. In this paper, considering that it is beyond the range where the conventional model can fit, zero-and-one-inflated geometric distribution regression model is proposed. Ingeniously introducing Pólya-Gamma latent variables in the Bayesian inference, posterior sampling with high-dimensional parameters is converted to latent variables sampling and posterior sampling with lower-dimensional parameters, respectively. Circumventing the need for Metropolis-Hastings sampling, the sample with higher sampling efficiency is obtained. A simulation study is conducted to assess the performance of the proposed estimation for various sample sizes. Finally, a doctoral dissertation data set is analyzed to illustrate the practicability of the proposed method, research shows that zero-and-one-inflated geometric distribution regression model using Pólya-Gamma latent variables can achieve better fitting results.  相似文献   
106.
Abstract

This paper considers an extension of the classical discrete time risk model for which the claim numbers are assumed to be temporal dependence and overdispersion. The risk model proposed is based on the first-order integer-valued autoregressive (INAR(1)) process with discrete compound Poisson distributed innovations. The explicit expression for the moment generating function of the discounted aggregate claim amount is derived. Some numerical examples are provided to illustrate the impacts of dependence and overdispersion on related quantities such as the stop-loss premium, the value at risk and the tail value at risk.  相似文献   
107.
Abstract

In literature, Lindley distribution is considered as an alternative to exponential distribution to fit lifetime data. In the present work, a Lindley step-stress model with independent causes of failure is proposed. An algorithm to generate random samples from the proposed model under type 1 censoring scheme is developed. Point and interval estimation of the model parameters is carried out using maximum likelihood method and percentile bootstrap approach. To understand the effectiveness of the resulting estimates, numerical illustration is provided based on simulated and real-life data sets.  相似文献   
108.
中国与中亚在能源方面合作不断加强,逐步形成了更加紧密的能源安全共同体,然而在双方投资与合作过程中诸多相关法律问题也不断涌现,使中国对中亚地区的能源投资风险加大。文章对中亚能源投资中对投资的界定、投资准入、政治风险及环境保护等相关投资法律问题进行研究与分析,提出中国在中亚投资与合作过程中的相应对策,将对中国能源投资规避风险、保护投资利益大有裨益。  相似文献   
109.
We consider confidence intervals for the stress–strength reliability Pr(X< Y) in the two-parameter exponential distribution. We have derived the Bayesian highest posterior density interval using non-informative prior distributions. We have compared its performance with the intervals based on the generalized pivot variable intervals in terms of their coverage probabilities and expected lengths. Our simulation study shows that the Bayesian interval performs better according to the criteria used, especially when the sample sizes are very small. An example is given.  相似文献   
110.
After initiation of treatment, HIV viral load has multiphasic changes, which indicates that the viral decay rate is a time-varying process. Mixed-effects models with different time-varying decay rate functions have been proposed in literature. However, there are two unresolved critical issues: (i) it is not clear which model is more appropriate for practical use, and (ii) the model random errors are commonly assumed to follow a normal distribution, which may be unrealistic and can obscure important features of within- and among-subject variations. Because asymmetry of HIV viral load data is still noticeable even after transformation, it is important to use a more general distribution family that enables the unrealistic normal assumption to be relaxed. We developed skew-elliptical (SE) Bayesian mixed-effects models by considering the model random errors to have an SE distribution. We compared the performance among five SE models that have different time-varying decay rate functions. For each model, we also contrasted the performance under different model random error assumptions such as normal, Student-t, skew-normal, or skew-t distribution. Two AIDS clinical trial datasets were used to illustrate the proposed models and methods. The results indicate that the model with a time-varying viral decay rate that has two exponential components is preferred. Among the four distribution assumptions, the skew-t and skew-normal models provided better fitting to the data than normal or Student-t model, suggesting that it is important to assume a model with a skewed distribution in order to achieve reasonable results when the data exhibit skewness.  相似文献   
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