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91.
A fully nonparametric model may not perform well or when the researcher wants to use a parametric model but the functional form with respect to a subset of the regressors or the density of the errors is not known. This becomes even more challenging when the data contain gross outliers or unusual observations. However, in practice the true covariates are not known in advance, nor is the smoothness of the functional form. A robust model selection approach through which we can choose the relevant covariates components and estimate the smoothing function may represent an appealing tool to the solution. A weighted signed-rank estimation and variable selection under the adaptive lasso for semi-parametric partial additive models is considered in this paper. B-spline is used to estimate the unknown additive nonparametric function. It is shown that despite using B-spline to estimate the unknown additive nonparametric function, the proposed estimator has an oracle property. The robustness of the weighted signed-rank approach for data with heavy-tail, contaminated errors, and data containing high-leverage points are validated via finite sample simulations. A practical application to an economic study is provided using an updated Canadian household gasoline consumption data. 相似文献
92.
高校就业率政策在激发高校提高办学质量、重视就业指导工作等方面起着积极的作用。随着我国教育体制改革的深入,高等教育由精英化向大众化转变,大学生就业问题逐渐成为社会关注焦点之一,高校毕业生就业率也日益受到重视。针对目前就业率评价与统计过程中出现的问题,提出理性地看待高校就业率就要合理设置统计时间、科学界定就业率统计途径、结合就业率与就业质量来评价高校就业情况。 相似文献
93.
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
94.
Christophe Ange Napolon Biscio Rasmus Waagepetersen 《Scandinavian Journal of Statistics》2019,46(4):1168-1190
We establish a central limit theorem for multivariate summary statistics of nonstationary α‐mixing spatial point processes and a subsampling estimator of the covariance matrix of such statistics. The central limit theorem is crucial for establishing asymptotic properties of estimators in statistics for spatial point processes. The covariance matrix subsampling estimator is flexible and model free. It is needed, for example, to construct confidence intervals and ellipsoids based on asymptotic normality of estimators. We also provide a simulation study investigating an application of our results to estimating functions. 相似文献
95.
Bartlett correction constitutes one of the attractive features of empirical likelihood because it enables the construction of confidence regions for parameters with improved coverage probabilities. We study the Bartlett correction of spatial frequency domain empirical likelihood (SFDEL) based on general spectral estimating functions for regularly spaced spatial data. This general formulation can be applied to testing and estimation problems in spatial analysis, for example testing covariance isotropy, testing covariance separability as well as estimating the parameters of spatial covariance models. We show that the SFDEL is Bartlett correctable. In particular, the improvement in coverage accuracies of the Bartlett‐corrected confidence regions depends on the underlying spatial structures. The Canadian Journal of Statistics 47: 455–472; 2019 © 2019 Statistical Society of Canada 相似文献
96.
Ghobad Barmalzan Amir T. Payandeh Najafabadi Narayanaswamy Balakrishnan 《统计学通讯:理论与方法》2019,48(3):660-675
In this paper, we discuss the usual stochastic and reversed hazard rate orders between the series and parallel systems from two sets of independent heterogeneous exponentiated Weibull components. We also obtain the results concerning the convex transform orders between parallel systems and obtain necessary and sufficient conditions under which the dispersive and usual stochastic orders, and the right spread and increasing convex orders between the lifetimes of the two systems are equivalent. Finally, in the multiple-outlier exponentiated Weibull models, based on weak majorization and p-larger orders between the vectors of scale and shape parameters, some characterization results for comparing the lifetimes of parallel and series systems are also established, respectively. The results of this paper can be used in practical situations to find various bounds for the important aging characteristics of these systems. 相似文献
97.
Raymond Hubbard 《The American statistician》2019,73(1):31-35
ABSTRACTRecent efforts by the American Statistical Association to improve statistical practice, especially in countering the misuse and abuse of null hypothesis significance testing (NHST) and p-values, are to be welcomed. But will they be successful? The present study offers compelling evidence that this will be an extraordinarily difficult task. Dramatic citation-count data on 25 articles and books severely critical of NHST's negative impact on good science, underlining that this issue was/is well known, did nothing to stem its usage over the period 1960–2007. On the contrary, employment of NHST increased during this time. To be successful in this endeavor, as well as restoring the relevance of the statistics profession to the scientific community in the 21st century, the ASA must be prepared to dispense detailed advice. This includes specifying those situations, if they can be identified, in which the p-value plays a clearly valuable role in data analysis and interpretation. The ASA might also consider a statement that recommends abandoning the use of p-values. 相似文献
98.
Carlos J. Pérez-González Arturo J. Fernández 《Journal of Statistical Computation and Simulation》2019,89(13):2489-2504
An accurate procedure is proposed to calculate approximate moments of progressive order statistics in the context of statistical inference for lifetime models. The study analyses the performance of power series expansion to approximate the moments for location and scale distributions with high precision and smaller deviations with respect to the exact values. A comparative analysis between exact and approximate methods is shown using some tables and figures. The different approximations are applied in two situations. First, we consider the problem of computing the large sample variance–covariance matrix of maximum likelihood estimators. We also use the approximations to obtain progressively censored sampling plans for log-normal distributed data. These problems illustrate that the presented procedure is highly useful to compute the moments with precision for numerous censoring patterns and, in many cases, is the only valid method because the exact calculation may not be applicable. 相似文献
99.
In this article, we consider the prediction of future failure times based on Type-I hybrid censored samples. Point predictors and prediction intervals using different procedures are discussed for a general model. The exponential and Rayleigh distributions are used as illustrative examples to show the most simplified forms of the so obtained predictors as well as prediction intervals. Intensive simulation study and a real life dataset are presented to illustrate our findings and results. 相似文献
100.
Development of an Asset Value Map for Disaster Risk Assessment in China by Spatial Disaggregation Using Ancillary Remote Sensing Data 总被引:1,自引:0,他引:1
《Risk analysis》2018,38(1):17-30
The extent of economic losses due to a natural hazard and disaster depends largely on the spatial distribution of asset values in relation to the hazard intensity distribution within the affected area. Given that statistical data on asset value are collected by administrative units in China, generating spatially explicit asset exposure maps remains a key challenge for rapid postdisaster economic loss assessment. The goal of this study is to introduce a top‐down (or downscaling) approach to disaggregate administrative‐unit level asset value to grid‐cell level. To do so, finding the highly correlated “surrogate” indicators is the key. A combination of three data sets—nighttime light grid, LandScan population grid, and road density grid, is used as ancillary asset density distribution information for spatializing the asset value. As a result, a high spatial resolution asset value map of China for 2015 is generated. The spatial data set contains aggregated economic value at risk at 30 arc‐second spatial resolution. Accuracy of the spatial disaggregation reflects redistribution errors introduced by the disaggregation process as well as errors from the original ancillary data sets. The overall accuracy of the results proves to be promising. The example of using the developed disaggregated asset value map in exposure assessment of watersheds demonstrates that the data set offers immense analytical flexibility for overlay analysis according to the hazard extent. This product will help current efforts to analyze spatial characteristics of exposure and to uncover the contributions of both physical and social drivers of natural hazard and disaster across space and time. 相似文献