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21.
Xiaomo Jiang 《Journal of applied statistics》2008,35(1):49-65
Multivariate model validation is a complex decision-making problem involving comparison of multiple correlated quantities, based upon the available information and prior knowledge. This paper presents a Bayesian risk-based decision method for validation assessment of multivariate predictive models under uncertainty. A generalized likelihood ratio is derived as a quantitative validation metric based on Bayes’ theorem and Gaussian distribution assumption of errors between validation data and model prediction. The multivariate model is then assessed based on the comparison of the likelihood ratio with a Bayesian decision threshold, a function of the decision costs and prior of each hypothesis. The probability density function of the likelihood ratio is constructed using the statistics of multiple response quantities and Monte Carlo simulation. The proposed methodology is implemented in the validation of a transient heat conduction model, using a multivariate data set from experiments. The Bayesian methodology provides a quantitative approach to facilitate rational decisions in multivariate model assessment under uncertainty. 相似文献
22.
Gini’s nuclear family 总被引:1,自引:0,他引:1
Rolf Aaberge 《Journal of Economic Inequality》2007,5(3):305-322
The purpose of this paper is to justify the use of the Gini coefficient and two close relatives for summarizing the basic
information of inequality in distributions of income. To this end we employ a specific transformation of the Lorenz curve,
the scaled conditional mean curve, rather than the Lorenz curve as the basic formal representation of inequality in distributions
of income. The scaled conditional mean curve is shown to possess several attractive properties as an alternative interpretation
of the information content of the Lorenz curve and furthermore proves to yield essential information on polarization in the
population. The paper also provides asymptotic distribution results for the empirical scaled conditional mean curve and the
related family of empirical measures of inequality.
相似文献
23.
本文研究了热喷涂分解法制备Sb:SnO2电热膜的工艺及基体对电热膜电学性能的影响,并讨论了该膜的电阻温度系数的变化.实验表明:喷涂工艺对掺Sb的SnO2电热膜的电学性能有很大影响. 相似文献
24.
Robin Willink 《Revue canadienne de statistique》2008,36(4):623-637
If the unknown mean of a univariate population is sufficiently close to the value of an initial guess then an appropriate shrinkage estimator has smaller average squared error than the sample mean. This principle has been known for some time, but it does not appear to have found extension to problems of interval estimation. The author presents valid two‐sided 95% and 99% “shrinkage” confidence intervals for the mean of a normal distribution. These intervals are narrower than the usual interval based on the Student distribution when the population mean lies in such an “effective interval.” A reduction of 20% in the mean width of the interval is possible when the population mean is sufficiently close to the value of the guess. The author also describes a modification to existing shrinkage point estimators of the general univariate mean that enables the effective interval to be enlarged. 相似文献
25.
我国产业间波及效应的探讨 总被引:2,自引:0,他引:2
从理论上来说,某一产业的变化会引起其它产业间的连锁反映。产业间的波及效应可以通过投入系数表来加以分析。通过实证分析,研究我国产业间波及效应的强弱,可以为国家制定产业政策、优化产业结构提供依据。 相似文献
26.
This note presents a measure of similarity between connected nodes in terms of centrality based on Euclidean distances, and compares it to ‘assortative mixing’ [Newman, M.E.J., 2002. Assortative mixing in networks. Physical Review Letters 89, 208701], which is based on Pearson correlation coefficient. This study suggests that the measure based on Euclidean distances may be more appropriate for relatively smaller (N < 500) and denser networks. 相似文献
27.
动态定位数据处理中,判定运动载体何时开始机动,测量数据何时出现粗差是一个困难的问题。为了在实时动态定位中尽可能快地检测出运动载体机动和观测数据何时出现粗差,文中提出了一种对机动和粗差检测的新方法。该检测算法是基于机动和粗差检测延迟最小的准则。通过分析,对不同的显著水平和机动幅度存在一个最优窗口长度。 相似文献
28.
一些恒等式在函数论、组合数学、解析数论等学科的研究领域中极为重要。以二项式作为生成函数,给出了几个组合恒等式证明。 相似文献
29.
Dynamic reliability models with conditional proportional hazards 总被引:1,自引:0,他引:1
A dynamic approach to the stochastic modelling of reliability systems is further explored. This modelling approach is particularly appropriate for load-sharing, software reliability, and multivariate failure-time models, where component failure characteristics are affected by their degree of use, amount of load, or extent of stresses experienced. This approach incorporates the intuitive notion that when a set of components in a coherent system fail at a certain time, there is a jump from one structure function to another which governs the residual lifetimes of the remaining functioning components, and since the component lifetimes are intrinsically affected by the structure function which they constitute, then at such a failure time there should also be a jump in the stochastic structure of the lifetimes of the remaining components. For such dynamically-modelled systems, the stochastic characteristics of their jump times are studied. These properties of the jump times allow us to obtain the properties of the lifetime of the system. In particular, for a Markov dynamic model, specific expressions for the exact distribution functions of the jump times are obtained for a general coherent system, a parallel system, and a series-parallel system. We derive a new family of distribution functions which describes the distributions of the jump times for a dynamically-modelled system. 相似文献
30.
汤光宋 《济南大学学报(社会科学版)》1998,(1)
给出二维变系数线性微分系统在已知某解的情形下求通解的公式,并直接应用此公式,导出几类二维变系数线性微分系统的通解公式.对理论和实际应用都是有益的. 相似文献