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51.
52.
王智 《重庆文理学院学报》2018,37(4):15-21
改革开放以后,特别是21世纪以来,“文化带动旅游,旅游搞活经济”的模式在全国已经成为常见的经济形态。在这样的大背景下,许多新建的、基于神话和民间信仰打造的旅游景观,与当地居民及海内外香客对民间信仰宗教化的理解,以及国家的宗教政策形成了一种微妙的平衡。作为一处旅游景观,扎麻隆凤凰山的九天圣都筹建于20世纪末,现已成为区域内闻名的民间信仰道场。扎麻隆凤凰山身份与功能的交互与矛盾,以及扎麻隆村权力格局对其影响无疑是值得关注和研究的现象。 相似文献
53.
《Journal of Statistical Computation and Simulation》2012,82(7):1320-1333
In reliability theory, risk analysis, renewal processes and actuarial studies, the residual lifetimes data play an important essential role in studying the conditional tail of the lifetime data. In this paper, based on some observed ordered residual Weibull data, we introduce different prediction methods for obtaining prediction intervals (PIs) of future residual lifetimes including likelihood, Wald, moments, parametric bootstrap, and highest conditional methods. Monte Carlo simulations are performed to compare the performances of the so obtained PIs and one data analysis is performed for illustration purposes. 相似文献
54.
The theory of higher-order asymptotics provides accurate approximations to posterior distributions for a scalar parameter of interest, and to the corresponding tail area, for practical use in Bayesian analysis. The aim of this article is to extend these approximations to pseudo-posterior distributions, e.g., posterior distributions based on a pseudo-likelihood function and a suitable prior, which are proved to be particularly useful when the full likelihood is analytically or computationally infeasible. In particular, from a theoretical point of view, we derive the Laplace approximation for a pseudo-posterior distribution, and for the corresponding tail area, for a scalar parameter of interest, also in the presence of nuisance parameters. From a computational point of view, starting from these higher-order approximations, we discuss the higher-order tail area (HOTA) algorithm useful to approximate marginal posterior distributions, and related quantities. Compared to standard Markov chain Monte Carlo methods, the main advantage of the HOTA algorithm is that it gives independent samples at a negligible computational cost. The relevant computations are illustrated by two examples. 相似文献
55.
This paper is dedicated to the study of the composite quantile regression (CQR) estimations of time-varying parameter vectors for multidimensional diffusion models. Based on the local linear fitting for parameter vectors, we propose the local linear CQR estimations of the drift parameter vectors, and verify their asymptotic biases, asymptotic variances and asymptotic normality. Moreover, we discuss the asymptotic relative efficiency (ARE) of the local linear CQR estimations with respect to the local linear least-squares estimations. We obtain that the local estimations that we proposed are much more efficient than the local linear least-squares estimations. Simulation studies are constructed to show the performance of the estimations proposed. 相似文献
56.
The components of a reliability system subjected to a common random environment usually have dependent lifetimes. This paper studies the stochastic properties of such a system with lifetimes of the components following multivariate frailty models and multivariate mixed proportional reversed hazard rate (PRHR) models, respectively. Through doing stochastic comparison, we devote to throwing a new light on how the random environment affects the number of working components of a reliability system and on assessing the performance of a k-out-of-n system. 相似文献
57.
The asymptotic variance of the maximum likelihood estimate is proved to decrease when the maximization is restricted to a subspace that contains the true parameter value. Maximum likelihood estimation allows a systematic fitting of covariance models to the sample, which is important in data assimilation. The hierarchical maximum likelihood approach is applied to the spectral diagonal covariance model with different parameterizations of eigenvalue decay, and to the sparse inverse covariance model with specified parameter values on different sets of nonzero entries. It is shown computationally that using smaller sets of parameters can decrease the sampling noise in high dimension substantially. 相似文献
58.
Relations Between Alphabetized Name Order and Nomination Counts in Peer Nomination Measures
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Peer nominations, a central method for measuring peer relationships in developmental research, typically involve asking children or adolescents to choose peers who fit various criteria from an alphabetized roster of classmates or grade‐mates. Although such measures have been used for decades, very little research has investigated the effects of alphabetical name order on the number of nominations received by peers. This study collected peer nominations for 20 items among 607 eighth grade participants in two schools. Regression analyses showed that earlier name order significantly predicted higher nomination counts for eight of the items, and explained over 5 percent of the variance in four affective variables (friendship, acceptance, acquaintanceship, and received liking). Across variables, name order effects were negatively correlated with internal reliability of nominations, implying that order effects may be related to the consensus of the peer group. Name order also had a minimal effect on inter‐correlations among a subset of variables. Implications and concrete recommendations for controlling and reducing name order effects in future research are discussed. 相似文献
59.
刘艳娟 《重庆文理学院学报》2016,35(1):60-62
对贞卜辞是甲骨文中有特色的文例形式,我们从对贞卜辞的判定、同字异形现象的判定以及两条卜辞刻写先后顺序的判定三个方面来细致研究对贞卜辞,进而为下一步的研究打下基础。 相似文献
60.
This work presents a study about the smoothness attained by the methods more frequently used to choose the smoothing parameter in the context of splines: Cross Validation, Generalized Cross Validation, and corrected Akaike and Bayesian Information Criteria, implemented with Penalized Least Squares. It is concluded that the amount of smoothness strongly depends on the length of the series and on the type of underlying trend, while the presence of seasonality even though statistically significant is less relevant. The intrinsic variability of the series is not statistically significant and its effect is taken into account only through the smoothing parameter. 相似文献