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61.
Richard Z. Gooding 《Evaluation and program planning》1980,3(2):95-103
Evaluation methodologies have generally emphasized the measurement and assessment of program merit, as reflected by the achievement of program objectives. Less attention has been devoted to analyzing and explaining the reasons for deficient performance and, more importantly, what needs to be modified to improve performance. While evaluators do identify performance problems, the identified problems are not always analyzed. Consequently, the information reported to decision makers may be incomplete, inconclusive, and of limited utility in the decision-making process. This article describes an evaluation methodology based on problem solving techniques which can be effective and efficient in defining and analyzing problems which impair program performance. The model can be applied in evaluations where the purpose is to provide decision makers with information and recommendations to improve program performance and provide an alternative to those evaluation models which emphasize the assessment of program merit. The model also provides a potentially unique cost/benefit methodology for estimating the potential worth of improving program performance (i.e., solving the problem). 相似文献
62.
A study is made of Neyman's C(a) test for testing independence in nonnormal situations. It is shown that it performs very well both in terms of the level of significance and the powereven for smallvalues of the samplesize. Also, in the case of the bivariate Polsson distribution, itis shown that Fisher's z and Student's t transforms of the sample correlation coefficient are good competitors for Neyman's procedure. 相似文献
63.
中国粮食价格波动特征研究——基于X-12-ARIMA模型和ARCH类模型 总被引:1,自引:0,他引:1
以小麦和大豆为例,研究2002年1月至2012年6月中国粮食价格波动特征。首先利用X-12-ARIMA模型对价格序列进行季节调整,然后运用ARCH类模型对剥离季节因素的价格序列进行波动分析。结果发现:中国粮食价格季节性波动逐年减弱;粮食价格具有明显的波动集簇性,前期价格波动和外部冲击对后期价格的影响具有持续性;粮食市场不存在"高风险、高回报"特征;小麦价格波动的非对称性不显著,而大豆价格波动则呈现明显的非对称特征,且上期价格上涨信息引发的波动要大于下跌信息。 相似文献
64.
In a missing data setting, we have a sample in which a vector of explanatory variables ${\bf x}_i$ is observed for every subject i, while scalar responses $y_i$ are missing by happenstance on some individuals. In this work we propose robust estimators of the distribution of the responses assuming missing at random (MAR) data, under a semiparametric regression model. Our approach allows the consistent estimation of any weakly continuous functional of the response's distribution. In particular, strongly consistent estimators of any continuous location functional, such as the median, L‐functionals and M‐functionals, are proposed. A robust fit for the regression model combined with the robust properties of the location functional gives rise to a robust recipe for estimating the location parameter. Robustness is quantified through the breakdown point of the proposed procedure. The asymptotic distribution of the location estimators is also derived. The proofs of the theorems are presented in Supplementary Material available online. The Canadian Journal of Statistics 41: 111–132; 2013 © 2012 Statistical Society of Canada 相似文献
65.
In the paper the problem of nonlinear unbiased estimation of expectation in linear models is considered. The considerations are restricted to linear plus quadratic estimators with quadratic parts invariant under a group of translations. The one way classification model is considered in detail, for which an explicit formula for the locally best estimators is presented. A numerical evaluation of variances of the best estimators is given for some unbalanced one way classification models and compared with the variance of the ordinary linear estimators. 相似文献
66.
67.
The paper investigates random processes of geometrical objects in Euclidean spaces. General properties of the measure of total projections are derived by means of Palm distribution. Explicit formulas for variances of the projection measure are obtained for Poisson point processes of compact sets. Intensity estimators of fibre (surface) processes are then studied by means of projection measures. Classification of direct and indirect probes is introduced. The indirect sampling design of vertical sections and projections is generalized and its statistical properties derived. 相似文献
68.
This paper aims to determine, by means of regression analysis, which exported product groups, categorized according to their technological intensity, have the greatest effect on the movements in the volume of GDP p/c of the Western Balkan Countries (WBCs). The analysis, based on statistical-econometric methodology, includes 16 commodity groups per each WBC (Albania; Bosnia and Herzegovina; Croatia; FYR Macedonia; Montenegro; Serbia). The data were collected and presented in accordance with the HS4 system classification, which is also used for development of the ITC’s Trade Map. The results of the analysis show that those commodity groups produced by medium-low and low technology industries have the greatest effect on the change in the volume of GDP p/c in all WBCs in the period 2005–2015. 相似文献
69.
Alternative ways of using Monte Carlo methods to implement a Cox-type test for separate families of hypotheses are considered. Monte Carlo experiments are designed to compare the finite sample performances of Pesaran and Pesaran's test, a RESET test, and two Monte Carlo hypothesis test procedures. One of the Monte Carlo tests is based on the distribution of the log-likelihood ratio and the other is based on an asymptotically pivotal statistic. The Monte Carlo results provide strong evidence that the size of the Pesaran and Pesaran test is generally incorrect, except for very large sample sizes. The RESET test has lower power than the other tests. The two Monte Carlo tests perform equally well for all sample sizes and are both clearly preferred to the Pesaran and Pesaran test, even in large samples. Since the Monte Carlo test based on the log-likelihood ratio is the simplest to calculate, we recommend using it. 相似文献
70.
Xuanxuan Yu Lixin Cai Hao Yu Zihang Zhong Min Yang Jingwei Wu Jianling Bai 《Pharmaceutical statistics》2023,22(2):266-283
Multi-regional clinical trial (MRCT) is an efficient design to accelerate drug approval globally. Once the global efficacy of test drug is demonstrated, each local regulatory agency is required to prove effectiveness of test drug in their own population. Meanwhile, the ICH E5/E17 guideline recommends using data from other regions to help evaluate regional drug efficacy. However, one of the most challenges is how to manage to bridge data among multiple regions in an MRCT since various intrinsic and extrinsic factors exist among the participating regions. Furthermore, it is critical for a local agency to determine the proportion of information borrowing from other regions given the ethnic differences between target region and non-target regions. To address these issues, we propose a discounting factor weighted Z statistic to adaptively borrow information from non-target regions. In this weighted Z statistic, the weight is derived from a discounting factor in which the discounting factor denotes the proportion of information borrowing from non-target regions. We consider three ways to construct discounting factors based on the degree of congruency between target and non-target regions either using control group data, or treatment group data, or all data. We use the calibrated power prior to construct discounting factor based on scaled Kolmogorov–Smirnov statistic. Comprehensive simulation studies show that our method has desirable operating characteristics. Two examples are used to illustrate the applications of our proposed approach. 相似文献