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71.
Zouaoui Chikr-Elmezouar Ibrahim M. Almanjahie Ali Laksaci 《Journal of nonparametric statistics》2019,31(1):175-195
In this paper we present a new estimator of the conditional density and mode when the co-variables are of functional kind. This estimator is a combination of both, the k-Nearest Neighbours procedure and the functional local linear estimation. Then, for each statistical parameter (conditional density or mode), results concerning the strong consistency and rate of convergence of the estimators are presented. Finally, their performances, for finite sample sizes, are illustrated by using simulated data. 相似文献
72.
New results on uniform convergence in probability for expansions of Gaussian random processes using compactly supported wavelets are given. The main result is valid for general classes of non stationary processes. An application of the obtained results to stationary processes is also presented. It is shown that the convergence rate of the expansions is exponential. 相似文献
73.
基于潜类别随机前沿的区域创新效率及其影响因素分析 总被引:1,自引:1,他引:0
运用可根据研究对象的潜在属性内生分组的潜类别随机前沿模型,采用1999-2012年中国各省区数据,研究各省区的创新效率及影响因素。结果表明:以人力资本水平和基础设施状况为条件变量,将全国各省区分成两个技术类别,分别有各自的技术前沿和函数形式,A类别中上海市的创新效率最高,B类别中河北省的创新效率最高;平均来看,各类的创新效率均呈上升趋势,贸易开放、产业结构和金融发展对创新效率均有显著的正向作用,同时创新效率在各类内部均存在俱乐部收敛。 相似文献
74.
Fadoua Balabdaoui 《Journal of nonparametric statistics》2014,26(1):21-59
Let X1, …, Xn be i.i.d. from a discrete probability mass function (pmf) p. In Balabdaoui et al. [(2013), ‘Asymptotic Distribution of the Discrete Log-Concave mle and Some Applications’, JRSS-B, in press], the pointwise limit distribution of the log-concave maximum-likelihood estimator (MLE) was derived in both the well- and misspecified settings. In the well-specified setting, the geometric distribution was excluded, classified as being degenerate. In this article, we establish the global asymptotic theory of the log-concave MLE of a geometric pmf in all ?q distances for q∈{1, 2, …}∪{∞}. We also show how these asymptotic results could be used in testing whether a pmf is geometric. 相似文献
75.
Non-parametric Estimation of the Residual Distribution 总被引:2,自引:0,他引:2
Consider a heteroscedastic regression model Y = m ( X ) +σ( X )ε, where the functions m and σ are smooth, and ε is independent of X . An estimator of the distribution of ε based on non-parametric regression residuals is proposed and its weak convergence is obtained. Applications to prediction intervals and goodness-of-fit tests are discussed. 相似文献
76.
In this paper we consider the problem of estimating a coefficient of a strongly elliptic partial differential operator in stochastic parabolic equations. The coefficient is a bounded function of time. We compute the maximum likelihood estimate of the function on an approximating space (sieve) using a finite number of the spatial Fourier coefficients of the solution and establish conditions that guarantee consistency and asymptotic normality of the resulting estimate as the number of the coefficients increases. The equation is assumed diagonalizable in the sense that all the operators have a common system of eigenfunctions. 相似文献
77.
We give a critical synopsis of classical and recent tests for Poissonity, our emphasis being on procedures which are consistent against general alternatives. Two classes of weighted Cramér–von Mises type test statistics, based on the empirical probability generating function process, are studied in more detail. Both of them generalize already known test statistics by introducing a weighting parameter, thus providing more flexibility with regard to power against specific alternatives. In both cases, we prove convergence in distribution of the statistics under the null hypothesis in the setting of a triangular array of rowwise independent and identically distributed random variables as well as consistency of the corresponding test against general alternatives. Therefore, a sound theoretical basis is provided for the parametric bootstrap procedure, which is applied to obtain critical values in a large-scale simulation study. Each of the tests considered in this study, when implemented via the parametric bootstrap method, maintains a nominal level of significance very closely, even for small sample sizes. The procedures are applied to four well-known data sets. 相似文献
78.
The authors provide an overview of optimal scaling results for the Metropolis algorithm with Gaussian proposal distribution. They address in more depth the case of high‐dimensional target distributions formed of independent, but not identically distributed components. They attempt to give an intuitive explanation as to why the well‐known optimal acceptance rate of 0.234 is not always suitable. They show how to find the asymptotically optimal acceptance rate when needed, and they explain why it is sometimes necessary to turn to inhomogeneous proposal distributions. Their results are illustrated with a simple example. 相似文献
79.
目前一些学者对于发展战略与经济收敛的研究结论存在较大分歧。本文提出了一个基于动态比较优势的发展战略与地区经济收敛的分析框架,给出了一个较为全面的新解释。本文的主要论点是:落后地区代表性生产部门加大物质资本与人力资本投入,引进或研发较为先进的生产技术,加快工业化进程,实行赶超战略有利于缩小本地区与领先地区间的经济差距增长的速度,甚至于实现经济收敛。并以我国改革开放以来各省区的经济增长现实验证了理论假说的合理性。 相似文献
80.
晏青 《北京理工大学学报(社会科学版)》2011,13(5):117-121
在媒介融合背景下,视频企业之间的竞争,归根结底就是“内容”的竞争,优秀的内容才是企业真正的核心竞争力。视频内容生产的转型是利益性诱导和审美需求相结合的过程,它的转型目标建立多元内容生产主体和生产形态的内容产业链上游集群,要依赖的现实路径是媒介资源的融合和共享,实现媒介融合带来的资源效益、规模效益,以及内容的差异化、个性化接受,实现视频内容生产的“蓝海”战略。 相似文献