首页 | 本学科首页   官方微博 | 高级检索  
文章检索
  按 检索   检索词:      
出版年份:   被引次数:   他引次数: 提示:输入*表示无穷大
  收费全文   349篇
  免费   11篇
  国内免费   23篇
管理学   55篇
民族学   1篇
人口学   10篇
丛书文集   28篇
理论方法论   7篇
综合类   87篇
社会学   17篇
统计学   178篇
  2022年   3篇
  2021年   2篇
  2020年   2篇
  2019年   6篇
  2018年   4篇
  2017年   7篇
  2016年   5篇
  2015年   4篇
  2014年   14篇
  2013年   121篇
  2012年   22篇
  2011年   5篇
  2010年   7篇
  2009年   10篇
  2008年   9篇
  2007年   6篇
  2006年   9篇
  2005年   11篇
  2004年   16篇
  2003年   32篇
  2002年   48篇
  2001年   14篇
  2000年   8篇
  1999年   2篇
  1998年   2篇
  1997年   1篇
  1996年   3篇
  1995年   2篇
  1993年   1篇
  1992年   2篇
  1990年   1篇
  1989年   1篇
  1985年   1篇
  1984年   1篇
  1980年   1篇
排序方式: 共有383条查询结果,搜索用时 806 毫秒
341.
侠盗禁采花不仅表现在个体自律上,更成为盗贼团伙的内部戒律.道教成仙得道考验,女色也往往是重要一关.佛教也针对女性性别特点,制定出种种戒律规则.采花禁忌之于侠盗局部地产生约束力量的原因,与盗贼心态有关,也是由其侵犯性目的决定的.  相似文献   
342.
We respond to criticism leveled at bootstrap confidence intervals for the correlation coefficient by recent authors by arguing that in the correlation coefficient case, non–standard methods should be employed. We propose two such methods. The first is a bootstrap coverage coorection algorithm using iterated bootstrap techniques (Hall, 1986; Beran, 1987a; Hall and Martin, 1988) applied to ordinary percentile–method intervals (Efron, 1979), giving intervals with high coverage accuracy and stable lengths and endpoints. The simulation study carried out for this method gives results for sample sizes 8, 10, and 12 in three parent populations. The second technique involves the construction of percentile–t bootstrap confidence intervals for a transformed correlation coefficient, followed by an inversion of the transformation, to obtain “transformed percentile–t” intervals for the correlation coefficient. In particular, Fisher's z–transformation is used, and nonparametric delta method and jackknife variance estimates are used to Studentize the transformed correlation coefficient, with the jackknife–Studentized transformed percentile–t interval yielding the better coverage accuracy, in general. Percentile–t intervals constructed without first using the transformation perform very poorly, having large expected lengths and erratically fluctuating endpoints. The simulation study illustrating this technique gives results for sample sizes 10, 15 and 20 in four parent populations. Our techniques provide confidence intervals for the correlation coefficient which have good coverage accuracy (unlike ordinary percentile intervals), and stable lengths and endpoints (unlike ordinary percentile–t intervals).  相似文献   
343.
Properties of Hotelling's (1931) T 2 are studied under model misspecification in the model for a multivariate experiment. Stochastic bounds on T 2 and further properties of the T 2 test are studied under misspecified location and scale. The bounds are evaluated numerically in selected cases.  相似文献   
344.
345.
Abstract. We study the Jeffreys prior and its properties for the shape parameter of univariate skew‐t distributions with linear and nonlinear Student's t skewing functions. In both cases, we show that the resulting priors for the shape parameter are symmetric around zero and proper. Moreover, we propose a Student's t approximation of the Jeffreys prior that makes an objective Bayesian analysis easy to perform. We carry out a Monte Carlo simulation study that demonstrates an overall better behaviour of the maximum a posteriori estimator compared with the maximum likelihood estimator. We also compare the frequentist coverage of the credible intervals based on the Jeffreys prior and its approximation and show that they are similar. We further discuss location‐scale models under scale mixtures of skew‐normal distributions and show some conditions for the existence of the posterior distribution and its moments. Finally, we present three numerical examples to illustrate the implications of our results on inference for skew‐t distributions.  相似文献   
346.
We propose to use the term standard distance for the quantity in univariate analysis and show that it can be easily generalized to the multivariate situation, where it coincides with the square root of the Mahalanobis distance between two samples.  相似文献   
347.
An algorithm is presented for computing the probability value associated with a recently-developed test of statistical inference for matched pairs. The exact probability value is provided for small samples; otherwise, an approximate probability value is computed.  相似文献   
348.
A class of matched-pairs permutation techniques based on distances between each pair of observed signed values is considered. Although many commonly-used inference techniques for matched pairs are members of this class, some of the more appealing inference techniques among this class have received very little attention. Two new simple rank tests of this class jointly possess both intuitive properties and location-alternative power characteristics which appear more appealing than the corresponding characteristics of either the sign test or the Wllcoxon signed-ranks test. In particular, power comparisons based on slmula-tions indicate that these new rank tests are jointly as good or even vastly superior to the sign test or the Wilcoxon signed-ranks test for location alternatives involving five symmetric distributions. The five distributions selected for these com-parisons include the Laplace, logistic, normal, uniform and a U-shaped distribution  相似文献   
349.
Stein's two–sample procedure for a general linear model is studied and derived in terms of matrices in which the error tems are distributed as multivatriate student t–error terms. Tests and confidence regions are constructed in a similar way to classical linear models which involves percentage points of student t and F distributions. The advantages of taking two samples are: the variance of the error terms is known, and the power of tests are size of confidence regions are controllable. A new distribution called noncentral F–type distribution different from the nencentral F is found when considerinf the power of the test of general linear hypothesis.  相似文献   
350.
Consider the problem of estimating a dose with a certain response rate. Many multistage dose‐finding designs for this problem were originally developed for oncology studies where the mean dose–response is strictly increasing in dose. In non‐oncology phase II dose‐finding studies, the dose–response curve often plateaus in the range of interest, and there are several doses with the mean response equal to the target. In this case, it is usually of interest to find the lowest of these doses because higher doses might have higher adverse event rates. It is often desirable to compare the response rate at the estimated target dose with a placebo and/or active control. We investigate which of the several known dose‐finding methods developed for oncology phase I trials is the most suitable when the dose–response curve plateaus. Some of the designs tend to spread the allocation among the doses on the plateau. Others, such as the continual reassessment method and the t‐statistic design, concentrate allocation at one of the doses with the t‐statistic design selecting the lowest dose on the plateau more frequently. Copyright © 2013 John Wiley & Sons, Ltd.  相似文献   
设为首页 | 免责声明 | 关于勤云 | 加入收藏

Copyright©北京勤云科技发展有限公司  京ICP备09084417号