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81.
Andrew P. Soms 《统计学通讯:理论与方法》2013,42(12):4459-4469
The results of Hoeffding (1956), Pledger and Proschan (1971), Gleser (1975) and Boland and Proschan (1983) are used to obtain Buehler (1957) 1-α lower confidence limits for the reliability of k of n systems of independent components when the subsystem data have equal sample sizes and the observed failures satisfy certain conditions. To the best of our knowledge, for k ≠ 1 or n, this is the first time the exact optimal lower confidence limits for system reliability have been given. The observed failure vectors are a generalization of key test results for k of n systems, k ≠ n (Soms (1984) and Winterbottom (1974)). Two examples applying the above theory are also given. 相似文献
82.
Tanaka (1988) lias derived the influence functions, which are equivalent to the perturbation expansions up to linear terms, of two functions of eigenvalues and eigenvectors of a real symmetric matrix, and applied them to principal component analysis. The present paper deals with the perturbation expansions up to quadratic terms of the same functions and discusses their application to sensitivity analysis in multivariate methods, in particular, principal component analysis and principal factor analysis. Numerical examples are given to show how the approximation improves with the quadratic terms. 相似文献
83.
Nazir Ahmed Chaudhry 《统计学通讯:理论与方法》2013,42(9):3283-3313
Using the idea of impirical influence function, Hinkley (1977), the weighted jackknife technique is extended to ratio estimation. A weighted jackknife variance estimator for the ratio estimator is developed. Using the prediction theory approach, the properties of the weighted jackknifed variance estimator are examined. The implications of the failures of regression model on the behaviour of the weighted jackknifed variance estimator, for ratio estimation, are also studied. 相似文献
84.
The problem of estimating the mode of a conditional probability density function is considered. It is shown that under some regularity conditions the estimate of the conditional mode obtained by maximizing a kernel estimate of the conditional probability density function is strongly consistent and asymptotically normally distributed. 相似文献
85.
86.
The authors show how saddlepoint techniques lead to highly accurate approximations for Bayesian predictive densities and cumulative distribution functions in stochastic model settings where the prior is tractable, but not necessarily the likelihood or the predictand distribution. They consider more specifically models involving predictions associated with waiting times for semi‐Markov processes whose distributions are indexed by an unknown parameter θ. Bayesian prediction for such processes when they are not stationary is also addressed and the inverse‐Gaussian based saddlepoint approximation of Wood, Booth & Butler (1993) is shown to accurately deal with the nonstationarity whereas the normal‐based Lugannani & Rice (1980) approximation cannot, Their methods are illustrated by predicting various waiting times associated with M/M/q and M/G/1 queues. They also discuss modifications to the matrix renewal theory needed for computing the moment generating functions that are used in the saddlepoint methods. 相似文献
87.
Copula-based regression models: A survey 总被引:1,自引:0,他引:1
In this review paper we collect several results about copula-based models, especially concerning regression models, by focusing on some insurance applications. 相似文献
88.
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
89.
胡风文艺理论中的黑格尔因素 总被引:3,自引:0,他引:3
胡风与黑格尔之间呈现出一种复杂的历史关系。一方面,在文艺领域,胡风确实继承了黑格尔的某些哲学思想,这种继承使胡风的文艺思想在整个左翼文艺阵营中具有另类的风格。这在“事实”与“价值”的分立及其理论文本的“认识的魅力”、“黑格尔式的论证”等方面体现出来。另一方面,在意识深处,胡风对黑格尔式的哲学方式是予以“反抗”的。 相似文献
90.
孙兰春 《山西高等学校社会科学学报》2001,13(3):84-85
实现祖国完全统一,是大势所趋,按照"和平统一,一国两制"方针,解决台湾问题,是包括台湾人民在内的中国人的共同愿望.香港回归祖国3年来,政治稳定,经济繁荣,国际地位提高,生存空间拓宽.这对解决台湾问题,提供了良好的样版. 相似文献