全文获取类型
收费全文 | 2618篇 |
免费 | 47篇 |
国内免费 | 5篇 |
专业分类
管理学 | 83篇 |
民族学 | 111篇 |
人口学 | 54篇 |
丛书文集 | 280篇 |
理论方法论 | 89篇 |
综合类 | 619篇 |
社会学 | 347篇 |
统计学 | 1087篇 |
出版年
2024年 | 6篇 |
2023年 | 52篇 |
2022年 | 23篇 |
2021年 | 42篇 |
2020年 | 62篇 |
2019年 | 78篇 |
2018年 | 166篇 |
2017年 | 245篇 |
2016年 | 111篇 |
2015年 | 95篇 |
2014年 | 131篇 |
2013年 | 605篇 |
2012年 | 238篇 |
2011年 | 110篇 |
2010年 | 66篇 |
2009年 | 66篇 |
2008年 | 79篇 |
2007年 | 92篇 |
2006年 | 76篇 |
2005年 | 79篇 |
2004年 | 82篇 |
2003年 | 69篇 |
2002年 | 42篇 |
2001年 | 31篇 |
2000年 | 16篇 |
1999年 | 2篇 |
1997年 | 2篇 |
1990年 | 1篇 |
1983年 | 1篇 |
1981年 | 1篇 |
1980年 | 1篇 |
排序方式: 共有2670条查询结果,搜索用时 9 毫秒
41.
Amir Ahmadi-Javid 《统计学通讯:理论与方法》2013,42(8):1352-1362
This article presents some results showing how rectangular probabilities can be studied using copula theory. These results lead us to develop new lower and upper bounds for rectangular probabilities which can be computed efficiently. The new bounds are compared with the ones obtained from the generalized Fréchet–Hoeffding bounds and Bonferroni-type inequalities. 相似文献
42.
The problems of constructing tolerance intervals for the binomial and Poisson distributions are considered. Closed-form approximate equal-tailed tolerance intervals (that control percentages in both tails) are proposed for both distributions. Exact coverage probabilities and expected widths are evaluated for the proposed equal-tailed tolerance intervals and the existing intervals. Furthermore, an adjustment to the nominal confidence level is suggested so that an equal-tailed tolerance interval can be used as a tolerance interval which includes a specified proportion of the population, but does not necessarily control percentages in both tails. Comparison of such coverage-adjusted tolerance intervals with respect to coverage probabilities and expected widths indicates that the closed-form approximate tolerance intervals are comparable with others, and less conservative, with minimum coverage probabilities close to the nominal level in most cases. The approximate tolerance intervals are simple and easy to compute using a calculator, and they can be recommended for practical applications. The methods are illustrated using two practical examples. 相似文献
43.
Ülkü Gürler 《统计学通讯:理论与方法》2013,42(24):4409-4416
In most reliability studies involving censoring, one assumes that censoring probabilities are unknown. We derive a nonparametric estimator for the survival function when information regarding censoring frequency is available. The estimator is constructed by adjusting the Nelson–Aalen estimator to incorporate censoring information. Our results indicate significant improvements can be achieved if available information regarding censoring is used. We compare this model to the Koziol–Green model, which is also based on a form of proportional hazards for the lifetime and censoring distributions. Two examples of survival data help to illustrate the differences in the estimation techniques. 相似文献
44.
Jacek Białek 《统计学通讯:理论与方法》2013,42(5):943-952
In this article, we propose a general formula for aggregative price indices that satisfies most postulates coming from the axiomatic price index theory. We show that the ideal Fisher index, Laspeyres and Paasche formulas, and a lot of other indices are particular cases of the proposed formula. Moreover, using the general formula we can easily define new indices, that would satisfy given postulates. We also present an interesting result for the proposed formula. 相似文献
45.
Y. Maleki 《统计学通讯:理论与方法》2013,42(23):4983-5004
We study locally self-similar processes (LSSPs) in Silverman’s sense. By deriving the minimum mean-square optimal kernel within Cohen’s class counterpart of time–frequency representations, we obtain an optimal estimation for the scale invariant Wigner spectrum (SIWS) of Gaussian LSSPs. The class of estimators is completely characterized in terms of kernels, so the optimal kernel minimizes the mean-square error of the estimation. We obtain the SIWS estimation for two cases: global and local, where in the local case, the kernel is allowed to vary with time and frequency. We also introduce two generalizations of LSSPs: the locally self-similar chirp process and the multicomponent LSSP, and obtain their optimal kernels. Finally, the performance and accuracy of the estimation is studied via simulation. 相似文献
46.
AbstractIn statistical hypothesis testing, a p-value is expected to be distributed as the uniform distribution on the interval (0, 1) under the null hypothesis. However, some p-values, such as the generalized p-value and the posterior predictive p-value, cannot be assured of this property. In this paper, we propose an adaptive p-value calibration approach, and show that the calibrated p-value is asymptotically distributed as the uniform distribution. For Behrens–Fisher problem and goodness-of-fit test under a normal model, the calibrated p-values are constructed and their behavior is evaluated numerically. Simulations show that the calibrated p-values are superior than original ones. 相似文献
47.
Prabhanjan N. Tattar 《统计学通讯:理论与方法》2013,42(5):1270-1277
AbstractIn the present paper we develop bootstrap tests of hypothesis, based on simulation, for the transition probability matrix arising in the context of a multi-state model. The bootstrap test statistic is based on the paper of Tattar and Vaman (2008), which develops a statistic for the testing problems concerning the transition probability matrix of the non homogeneous Markov process. 相似文献
48.
Victor M. Guerrero 《统计学通讯:理论与方法》2013,42(21):4568-4585
We consider the problem of estimating a trend with different amounts of smoothness for segments of a time series subjected to different variability regimes. We propose using an unobserved components model to consider the existence of at least two data segments. We first fix some desired percentages of smoothness for the trend segments and deduce the corresponding smoothing parameters involved. Once the size of each segment is chosen, the smoothing formulas here derived produce trend estimates for all segments with the desired smoothness as well as their corresponding estimated variances. Empirical examples from demography and economics illustrate our proposal. 相似文献
49.
Jiannan Ning 《统计学通讯:理论与方法》2013,42(17):5224-5233
ABSTRACTCoefficient of tail dependence measures the strength of dependence in the tail of a bivariate distribution and it has been found useful in the risk management. In this paper, we derive the upper tail dependence coefficient for a random vector following the skew Laplace distribution and the skew Cauchy distribution, respectively. The result shows that skew Laplace distribution is asymptotically independent in upper tail, however, skew Cauchy distribution has asymptotic upper tail dependence. 相似文献
50.
The article concerns tests for normality based on the Shapiro–Wilk W statistic. The constants in the test statistic are recalculated as those given in Shapiro and Wilk are incorrect. The empirical significance levels and power of improved tests have been evaluated in simulation study and compared to original ones. The improved tests were also applied to the multivariate case. In this case, we consider two implementations of the W statistic, the first one proposed by Srivastava and Hui and the other by Hanusz and Tarasinska. Empirical size of tests and their power have been compared to the Henze–Zirkler test. 相似文献