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51.
国家财政对农业的投入是影响农业发展的重要因素。收集了建国以来国家财政对农业投入的数据,分析构造出状态空间模型,应用卡尔曼滤波估计出状态向量,挖掘出隐藏在数据内部的变化特征,分析国家财政对农业投入的实际情况,并对未来几年的农业投入进行预测。 相似文献
52.
Scheike TH 《Lifetime data analysis》2006,12(4):461-480
I suggest an extension of the semiparametric transformation model that specifies a time-varying regression structure for the
transformation, and thus allows time-varying structure in the data. Special cases include a stratified version of the usual
semiparametric transformation model. The model can be thought of as specifying a first order Taylor expansion of a completely
flexible baseline. Large sample properties are derived and estimators of the asymptotic variances of the regression coefficients
are given. The method is illustrated by a worked example and a small simulation study. A goodness of fit procedure for testing
if the regression effects lead to a satisfactory fit is also suggested. 相似文献
53.
Yi-Hau Chen & Hung Chen 《Journal of the Royal Statistical Society. Series B, Statistical methodology》2000,62(3):449-460
We propose a unified approach to the estimation of regression parameters under double-sampling designs, in which a primary sample consisting of data on the rough or proxy measures for the response and/or explanatory variables as well as a validation subsample consisting of data on the exact measurements are available. We assume that the validation sample is a simple random subsample from the primary sample. Our proposal utilizes a specific parametric model to extract the partial information contained in the primary sample. The resulting estimator is consistent even if such a model is misspecified, and it achieves higher asymptotic efficiency than the estimator based only on the validation data. Specific cases are discussed to illustrate the application of the estimator proposed. 相似文献
54.
Thispaper considers the stratified proportional hazards model witha focus on the assessment of stratum effects. The assessmentof such effects is often of interest, for example, in clinicaltrials. In this case, two relevant tests are the test of stratuminteraction with covariates and the test of stratum interactionwith baseline hazard functions. For the test of stratum interactionwith covariates, one can use the partial likelihood method (Kalbfleischand Prentice, 1980; Lin, 1994). For the test of stratum interactionwith baseline hazard functions, however, there seems to be noformal test available. We consider this problem and propose aclass of nonparametric tests. The asymptotic distributions ofthe tests are derived using the martingale theory. The proposedtests can also be used for survival comparisons which need tobe adjusted for covariate effects. The method is illustratedwith data from a lung cancer clinical trial. 相似文献
55.
Two ways of modelling overdispersion in non-normal data 总被引:2,自引:0,他引:2
Y. Lee & J. A. Nelder 《Journal of the Royal Statistical Society. Series C, Applied statistics》2000,49(4):591-598
For non-normal data assumed to have distributions, such as the Poisson distribution, which have an a priori dispersion parameter, there are two ways of modelling overdispersion: by a quasi-likelihood approach or with a random-effect model. The two approaches yield different variance functions for the response, which may be distinguishable if adequate data are available. The epilepsy data of Thall and Vail and the fabric data of Bissell are used to exemplify the ideas. 相似文献
56.
This paper describes a technique for computing approximate maximum pseudolikelihood estimates of the parameters of a spatial point process. The method is an extension of Berman & Turner's (1992) device for maximizing the likelihoods of inhomogeneous spatial Poisson processes. For a very wide class of spatial point process models the likelihood is intractable, while the pseudolikelihood is known explicitly, except for the computation of an integral over the sampling region. Approximation of this integral by a finite sum in a special way yields an approximate pseudolikelihood which is formally equivalent to the (weighted) likelihood of a loglinear model with Poisson responses. This can be maximized using standard statistical software for generalized linear or additive models, provided the conditional intensity of the process takes an 'exponential family' form. Using this approach a wide variety of spatial point process models of Gibbs type can be fitted rapidly, incorporating spatial trends, interaction between points, dependence on spatial covariates, and mark information. 相似文献
57.
58.
Several models for studies related to tensile strength of materials are proposed in the literature where the size or length
component has been taken to be an important factor for studying the specimens’ failure behaviour. An important model, developed
on the basis of cumulative damage approach, is the three-parameter extension of the Birnbaum–Saunders fatigue model that incorporates
size of the specimen as an additional variable. This model is a strong competitor of the commonly used Weibull model and stands
better than the traditional models, which do not incorporate the size effect. The paper considers two such cumulative damage
models, checks their compatibility with a real dataset, compares them with some of the recent toolkits, and finally recommends
a model, which appears an appropriate one. Throughout the study is Bayesian based on Markov chain Monte Carlo simulation. 相似文献
59.
D. R. Cox Michelle Jackson Shiwei Lu 《Journal of the Royal Statistical Society. Series A, (Statistics in Society)》2009,172(2):483-493
Summary. Square contingency tables with matching ordinal rows and columns arise in particular as empirical transition matrices and the paper considers these in the context of social class and income mobility tables. Such tables relate the socio-economic position of parents to the socio-economic position of their child in adulthood. The level of association between parental and child socio-economic position is taken as a measure of mobility. Several approaches to analysis are described and illustrated by UK data in which interest focuses on comparisons of social class and income mobility tables that are derived from the same individuals. Account is taken of the use of the same individuals in the two tables. Additionally comparisons over time are considered. 相似文献
60.
Nuoo-Ting Molitor Nicky Best Chris Jackson Sylvia Richardson 《Journal of the Royal Statistical Society. Series A, (Statistics in Society)》2009,172(3):615-637
Summary. Data in the social, behavioural and health sciences frequently come from observational studies instead of controlled experiments. In addition to random errors, observational data typically contain additional sources of uncertainty such as missing values, unmeasured confounders and selection biases. Also, the research question is often different from that which a particular source of data was designed to answer, and so not all relevant variables are measured. As a result, multiple sources of data are often necessary to identify the biases and to inform about different aspects of the research question. Bayesian graphical models provide a coherent way to connect a series of local submodels, based on different data sets, into a global unified analysis. We present a unified modelling framework that will account for multiple biases simultaneously and give more accurate parameter estimates than standard approaches. We illustrate our approach by analysing data from a study of water disinfection by-products and adverse birth outcomes in the UK. 相似文献