首页 | 本学科首页   官方微博 | 高级检索  
文章检索
  按 检索   检索词:      
出版年份:   被引次数:   他引次数: 提示:输入*表示无穷大
  收费全文   1497篇
  免费   41篇
  国内免费   15篇
管理学   182篇
民族学   8篇
人口学   24篇
丛书文集   49篇
理论方法论   27篇
综合类   575篇
社会学   49篇
统计学   639篇
  2024年   1篇
  2023年   8篇
  2022年   10篇
  2021年   14篇
  2020年   24篇
  2019年   41篇
  2018年   55篇
  2017年   67篇
  2016年   32篇
  2015年   34篇
  2014年   54篇
  2013年   221篇
  2012年   64篇
  2011年   57篇
  2010年   53篇
  2009年   48篇
  2008年   60篇
  2007年   60篇
  2006年   58篇
  2005年   63篇
  2004年   62篇
  2003年   43篇
  2002年   25篇
  2001年   64篇
  2000年   50篇
  1999年   39篇
  1998年   40篇
  1997年   32篇
  1996年   31篇
  1995年   34篇
  1994年   21篇
  1993年   18篇
  1992年   14篇
  1991年   9篇
  1990年   8篇
  1989年   9篇
  1988年   13篇
  1987年   2篇
  1986年   1篇
  1985年   2篇
  1984年   2篇
  1983年   1篇
  1981年   2篇
  1979年   3篇
  1976年   3篇
  1975年   1篇
排序方式: 共有1553条查询结果,搜索用时 125 毫秒
41.
Semi-parametric modelling of interval-valued data is of great practical importance, as exampled by applications in economic and financial data analysis. We propose a flexible semi-parametric modelling of interval-valued data by integrating the partial linear regression model based on the Center & Range method, and investigate its estimation procedure. Furthermore, we introduce a test statistic that allows one to decide between a parametric linear model and a semi-parametric model, and approximate its null asymptotic distribution based on wild Bootstrap method to obtain the critical values. Extensive simulation studies are carried out to evaluate the performance of the proposed methodology and the new test. Moreover, several empirical data sets are analysed to document its practical applications.  相似文献   
42.
Ordinary differential equations (ODEs) are normally used to model dynamic processes in applied sciences such as biology, engineering, physics, and many other areas. In these models, the parameters are usually unknown, and thus they are often specified artificially or empirically. Alternatively, a feasible method is to estimate the parameters based on observed data. In this study, we propose a Bayesian penalized B-spline approach to estimate the parameters and initial values for ODEs used in epidemiology. We evaluated the efficiency of the proposed method based on simulations using the Markov chain Monte Carlo algorithm for the Kermack–McKendrick model. The proposed approach is also illustrated based on a real application to the transmission dynamics of hepatitis C virus in mainland China.  相似文献   
43.
The weighted kappa coefficient of a binary diagnostic test is a measure of the beyond-chance agreement between the diagnostic test and the gold standard, and is a measure that allows us to assess and compare the performance of binary diagnostic tests. In the presence of partial disease verification, the comparison of the weighted kappa coefficients of two or more binary diagnostic tests cannot be carried out ignoring the individuals with an unknown disease status, since the estimators obtained would be affected by verification bias. In this article, we propose a global hypothesis test based on the chi-square distribution to simultaneously compare the weighted kappa coefficients when in the presence of partial disease verification the missing data mechanism is ignorable. Simulation experiments have been carried out to study the type I error and the power of the global hypothesis test. The results have been applied to the diagnosis of coronary disease.  相似文献   
44.
We introduce the problem of estimation of the parameters of a dynamically selected population in an infinite sequence of random variables and provide its application in the statistical inference based on record values from a non stationary scheme. We develop unbiased estimation of the parameters of the dynamically selected population and evaluate the risk of the estimators. We provide comparisons with natural estimators and obtain asymptotic results. Finally, we illustrate the applicability of the results using real data.  相似文献   
45.
The literature on sequential estimation problems for negative exponential populations has been reviewed here, We attempt to bring in all the published and unpublished materials known to us in a fairly coherent fashion. Both the concepts and theoretical findings are discussed.  相似文献   
46.
ABSTRACT

This paper presents a closed-form likelihood approximation for one type of affine point processes widely used in financial credit risk models. We proceed by first conjecturing the concrete series form of the transition density, verifying our postulation and then establishing the related coefficients by means of Kolmogorov equations. The asymptotic properties of the maximum-likelihood estimators (MLEs) are given in the end.  相似文献   
47.
针对软导向设计具有改善用户在特定导向任务中的寻路效率和效果的假设,利用意向尺度法对包含软导向设计的空间和不包含软导向设计的空间进行对比调研。结果证明,软导向设计可以明显提升导识效率,并发现随着用户对空间熟悉程度的增加,一些地标性差异物可以成为用户稳定可靠的定位要素,从而对常规标识系统的依赖度逐渐下降。由此提出应通过色彩和光影变化、立体造型与显著空间标志物的设置、平面造型的图案规划与差异、材料和肌理以及装饰强度的对比等措施完成空间中的软导向设计。并认为软导向设计前期需要在充分调研的基础之上开展,在设计过程中不但要节制规范的使用软导向要素,还应与空间主题语境相呼应。  相似文献   
48.
This paper studies the dynamics of long‐term contracts in repeated principal–agent relationships with an impatient agent. Despite the absence of exogenous uncertainty, Pareto‐optimal dynamic contracts generically oscillate between favoring the principal and favoring the agent.  相似文献   
49.
In this study, it was aimed to determine accuracy of generalized estimating equations versus logistic regressions on different correlation levels and sample sizes. For this aim, two methods were compared with different sample sizes 10, 25, 50 and 100 and correlation levels 0.0, 0.3, 0.5 and 0.8. Result of this study showed that using generalized estimating equations could be preferred versus logistic regression when the sample size is over than 25 and correlation level is higher than 0.3 on data taken from studies with repeated measurements, but logistic regression could be better when the autocorrelations do not exist.  相似文献   
50.
Xing-De Duan 《Statistics》2016,50(3):525-539
This paper develops a Bayesian approach to obtain the joint estimates of unknown parameters, nonparametric functions and random effects in generalized partially linear mixed models (GPLMMs), and presents three case deletion influence measures to identify influential observations based on the φ-divergence, Cook's posterior mean distance and Cook's posterior mode distance of parameters. Fisher's iterative scoring algorithm is developed to evaluate the posterior modes of parameters in GPLMMs. The first-order approximation to Cook's posterior mode distance is presented. The computationally feasible formulae for the φ-divergence diagnostic and Cook's posterior mean distance are given. Several simulation studies and an example are presented to illustrate our proposed methodologies.  相似文献   
设为首页 | 免责声明 | 关于勤云 | 加入收藏

Copyright©北京勤云科技发展有限公司  京ICP备09084417号