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31.
M. Pear Hossain M. Hafidz Omar Muhammad Riaz 《Journal of Statistical Computation and Simulation》2017,87(3):594-606
Control charts have been popularly used as a user-friendly yet technically sophisticated tool to monitor whether a process is in statistical control or not. These charts are basically constructed under the normality assumption. But in many practical situations in real life this normality assumption may be violated. One such non-normal situation is to monitor the process variability from a skewed parent distribution where we propose the use of a Maxwell control chart. We introduce a pivotal quantity for the scale parameter of the Maxwell distribution which follows a gamma distribution. Probability limits and L-sigma limits are studied along with performance measure based on average run length and power curve. To avoid the complexity of future calculations for practitioners, factors for constructing control chart for monitoring the Maxwell parameter are given for different sample sizes and for different false alarm rate. We also provide simulated data to illustrate the Maxwell control chart. Finally, a real life example has been given to show the importance of such a control chart. 相似文献
32.
A multiple state repetitive group sampling (MSRGS) plan is developed on the basis of the coefficient of variation (CV) of the quality characteristic which follows a normal distribution with unknown mean and variance. The optimal plan parameters of the proposed plan are solved by a nonlinear optimization model, which satisfies the given producer's risk and consumer's risk at the same time and minimizes the average sample number required for inspection. The advantages of the proposed MSRGS plan over the existing sampling plans are discussed. Finally an example is given to illustrate the proposed plan. 相似文献
33.
从“凯恩斯效应”到“阿米曲线”——政府规模与经济增长关系的非线性转向 总被引:1,自引:0,他引:1
政府规模与经济增长之间的关系问题是宏观经济研究中的核心问题之一.关于两者关系的传统研究往往以线性假定为基础,所以实证结果出现了巨大的差异.这种现象促使研究者从非线性角度重新审视政府规模与经济增长之间的关系.“巴罗法则”在内生增长框架内为政府规模与经济增长关系研究提供了一个标准的分析框架,揭示了两者之间的倒“U”关系.而“Armey曲线”不仅非常直观地表达了政府规模与经济增长之间的非线性关系,同时还指出这种非对称关系的非对称性质,具有很强的总结性和政策指导意义. 相似文献
34.
科技力与区域金融综合竞争力的模糊曲线分析 总被引:5,自引:0,他引:5
田霖 《重庆大学学报(社会科学版)》2005,11(4):44-48
针对区域金融研究现状的不足,利用复杂系统原理,建立了全面、客观的金融综合竞争力指标体系,将其分为显示性指标和解释性指标两部分,选取31个地区作为样本,运用主成分和因子分析法对各个区域的金融成长状况进行计量分析研究和排序,并在此基础上进行聚类分析;在解释性指标的模糊曲线分析中,选取科技力指标,通过分析得出该指标以及构成该指标的各个分力与金融综合竞争力存在显著相关关系。科技力对区域金融综合竞争力的解释力和贡献率很高,因此科技力量对金融的发展水平起着决定性作用。 相似文献
35.
崔畅 《宁波大学学报(人文科学版)》2009,22(4):94-98
假设股票收益率序列服从具有厚尾特征的GED分布,利用多种非对称性模型描述和检验了沪市股票日收益率序列的波动性特征,发现股票价格波动具有条件异方差性,并通过对股票市场信息影响曲线的分析,刻画了沪市股票价格波动中的显著非对称性。这说明股市波动对于不同的政策干预和信息冲击具有不同程度的反应,且非对称性的方向与以往结论有所不同,说明我国股市风险变异特征和收益状况在不断的发生变化,"利好消息"对股市的刺激作用需要其他市场干预的配合才能发挥出来。 相似文献
36.
中国电力工业环境学习曲线与节能减排潜力分析 总被引:1,自引:0,他引:1
电力行业在生产过程中,消耗大量的资源且排放大量的污染物,在资源环境保护方面承担着非常重要的责任。利用1991—2005年的时间序列数据,选取万元产值能耗、水耗、SO2排放、COD排放等九个主要指标,建立电力工业能耗和大气污染、水耗和水环境污染随着人均GDP变化的环境学习曲线,并根据这些曲线分析了不同时段,我国电力工业的环境负荷和节能减排潜力。结果发现:我国电力工业资源环境九项指标均随人均GDP的增长呈幂指数衰减,不同时段电力工业万元产值环境负荷逐渐下降,同时节能减排的潜力也逐年下降,这是由环保意识增强和经济技术发展而产生的必然结果。 相似文献
37.
Reliability sampling plans provide an efficient method to determine the acceptability of a product based upon the lifelengths
of some test units. Usually, they depend on the producer and consumer’s quality requirements and do not admit closed form
solutions. Acceptance sampling plans for one- and two-parameter exponential lifetime models, derived by approximating the
operating characteristic curve, are presented in this paper. The accuracy of these approximate plans, which are explicitly
expressible and valid for failure and progressive censoring, is assessed. The approximation proposed in the one-parameter
case is found to be practically exact. Explicit lower and upper bounds on the smallest sample size are given in the two-parameter
case. Some additional advantages are also pointed out. 相似文献
38.
介绍了使用PC1D 5.9软件模拟高效单晶硅太阳能电池的方法。通过建立太阳能电池的结构模型和参数模型,在模拟的电池测试环境下,仿真得到太阳能电池的电压-电流曲线和量子效率曲线,并根据太阳能电池的理论,计算填充因子和转换效率的值。 相似文献
39.
Myung Geun Kim 《统计学通讯:理论与方法》2013,42(7):1511-1526
Two decompositions of the Mahalanobis distance are considered. These decompositions help to explain some reasons for the outlyingness of multivari- ate observations. They also provide a graphical tool for identifying outliers including those that have a large influence on the multiple correlation coefficient, Illustrative examples are given. 相似文献
40.
The current financial turbulence in Europe inspires and perhaps requires researchers to rethink how to measure incomes, wealth, and other parameters of interest to policy-makers and others. The noticeable increase in disparities between less and more fortunate individuals suggests that measures based upon comparing the incomes of less fortunate with the mean of the entire population may not be adequate. The classical Gini and related indices of economic inequality, however, are based exactly on such comparisons. It is because of this reason that in this paper we explore and contrast the classical Gini index with a new Zenga index, the latter being based on comparisons of the means of less and more fortunate sub-populations, irrespectively of the threshold that might be used to delineate the two sub-populations. The empirical part of the paper is based on the 2001 wave of the European Community Household Panel data set provided by EuroStat. Even though sample sizes appear to be large, we supplement the estimated Gini and Zenga indices with measures of variability in the form of normal, t-bootstrap, and bootstrap bias-corrected and accelerated confidence intervals. 相似文献