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   1192篇
  免费   49篇
  国内免费   4篇
管理学   83篇
民族学   46篇
人口学   40篇
丛书文集   42篇
理论方法论   100篇
综合类   175篇
社会学   279篇
统计学   480篇
  2024年   1篇
  2023年   25篇
  2022年   7篇
  2021年   20篇
  2020年   57篇
  2019年   58篇
  2018年   62篇
  2017年   73篇
  2016年   51篇
  2015年   27篇
  2014年   41篇
  2013年   285篇
  2012年   87篇
  2011年   51篇
  2010年   35篇
  2009年   37篇
  2008年   36篇
  2007年   30篇
  2006年   38篇
  2005年   34篇
  2004年   29篇
  2003年   24篇
  2002年   27篇
  2001年   30篇
  2000年   13篇
  1999年   12篇
  1998年   11篇
  1997年   9篇
  1996年   4篇
  1995年   3篇
  1994年   3篇
  1992年   1篇
  1991年   1篇
  1990年   3篇
  1989年   2篇
  1988年   4篇
  1987年   2篇
  1985年   1篇
  1983年   2篇
  1982年   2篇
  1981年   2篇
  1980年   2篇
  1979年   2篇
  1978年   1篇
排序方式: 共有1245条查询结果,搜索用时 15 毫秒
91.
群体归因偏差及矫正策略   总被引:2,自引:0,他引:2  
转型期社会群体对于社会认知和人的发展的归因偏差主要表现在过度归因于体制和政策、社会认识偏差、人情认知偏差、社会浮躁心态与社会牢骚等方面。因此,应通过克服归因从众心理,克服群体归因极化模式,提高元认知水平和强化自我控制等对策,使个体与群体都能得到良好的发展,更好地促进社会发展。  相似文献   
92.
Let X1, X2,…,Xn be independent, indentically distributed random variables with density f(x,θ) with respect to a σ-finite measure μ. Let R be a measurable set in the sample space X. The value of X is observable if X ? (X?R) and not otherwise. The number J of observable X’s is binomial, N, Q, Q = 1?P(X ? R). On the basis of J observations, it is desired to estimate N and θ. Estimators considered are conditional and unconditional maximum likelihood and modified maximum likelihood using a prior weight function to modify the likelihood before maximizing. Asymptotic expansions are developed for the [Ncirc]’s of the form [Ncirc] = N + α√N + β + op(1), where α and β are random variables. All estimators have the same α, which has mean 0, variance σ2 (a function of θ) and is asymptotically normal. Hence all are asymptotically equivalent by the usual limit distributional theory. The β’s differ and Eβ can be considered an “asymptotic bias”. Formulas are developed to compare the asymptotic biases of the various estimators. For a scale parameter family of absolutely continuous distributions with X = (0,∞) and R = (T,∞), special formuli are developed and a best estimator is found.  相似文献   
93.
The minimum bias estimator was introduced as an alternative to the least squares estimator for approximating response functions by low-order polynomials. Here we show how to obtain an admissible estimator with smaller squared bias.  相似文献   
94.
利用最小化代价函数的方法推导了一种谱分析的多窗口。性能分析的结果表明,此方法与离散长球序列多窗口谱分析方法具有相当的估计偏差与方差性能。与离散长球序列多窗口相比,此方法得到的多窗口具有直观的解析表达式而无须求解矩阵的特征分解问题,因而具有较小的计算量。通过对离散白噪声与AR过程进行的多窗口谱分析对比实验,验证了此方法的有效性和正确性。  相似文献   
95.
ABSTRACT

We evaluate the bias from endogenous job mobility in fixed-effects estimates of worker- and firm-specific earnings heterogeneity using longitudinally linked employer–employee data from the LEHD infrastructure file system of the U.S. Census Bureau. First, we propose two new residual diagnostic tests of the assumption that mobility is exogenous to unmodeled determinants of earnings. Both tests reject exogenous mobility. We relax exogenous mobility by modeling the matched data as an evolving bipartite graph using a Bayesian latent-type framework. Our results suggest that allowing endogenous mobility increases the variation in earnings explained by individual heterogeneity and reduces the proportion due to employer and match effects. To assess external validity, we match our estimates of the wage components to out-of-sample estimates of revenue per worker. The mobility-bias-corrected estimates attribute much more of the variation in revenue per worker to variation in match quality and worker quality than the uncorrected estimates. Supplementary materials for this article are available online.  相似文献   
96.
Assume independent random samples are drawn from two populations which are exponentially distributed with unknown location parameters and a common known scale parameter. We want to estimate the maximum and the minimum of the unknowo location paremeters. In this paper several estimators are proposed which are better than the natural estimations in terms of absolute bias and /or meaqn squared error.  相似文献   
97.
Standard methods of estimation for autoregressive models are known to be biased in finite samples, which has implications for estimation, hypothesis testing, confidence interval construction and forecasting. Three methods of bias reduction are considered here: first-order bias correction, FOBC, where the total bias is approximated by the O(T-1) bias; bootstrapping; and recursive mean adjustment, RMA. In addition, we show how first-order bias correction is related to linear bias correction. The practically important case where the AR model includes an unknown linear trend is considered in detail. The fidelity of nominal to actual coverage of confidence intervals is also assessed. A simulation study covers the AR(1) model and a number of extensions based on the empirical AR(p) models fitted by Nelson & Plosser (1982). Overall, which method dominates depends on the criterion adopted: bootstrapping tends to be the best at reducing bias, recursive mean adjustment is best at reducing mean squared error, whilst FOBC does particularly well in maintaining the fidelity of confidence intervals.  相似文献   
98.
The accuracy of a binary diagnostic test is usually measured in terms of its sensitivity and its specificity, or through positive and negative predictive values. Another way to describe the validity of a binary diagnostic test is the risk of error and the kappa coefficient of the risk of error. The risk of error is the average loss that is caused when incorrectly classifying a non-diseased or a diseased patient, and the kappa coefficient of the risk of error is a measure of the agreement between the diagnostic test and the gold standard. In the presence of partial verification of the disease, the disease status of some patients is unknown, and therefore the evaluation of a diagnostic test cannot be carried out through the traditional method. In this paper, we have deduced the maximum likelihood estimators and variances of the risk of error and of the kappa coefficient of the risk of error in the presence of partial verification of the disease. Simulation experiments have been carried out to study the effect of the verification probabilities on the coverage of the confidence interval of the kappa coefficient.  相似文献   
99.
The author proposes inference techniques for ranked set sample data in the presence of judgment ranking errors. He bases his analysis on the models of Bohn & Wolfe (1994) and Frey (2007a, b), of which parameters are estimated by minimizing a distance measure. He then uses the fitted models to calibrate confidence intervals and tests. He shows the validity of his approach through simulation and illustrates its application through the construction of distribution‐free confidence intervals for the median area of apple tree leaves covered by a spray.  相似文献   
100.
鉴于国内的许多跨文化交际研究主要集中在纯语言的探讨和表层文化的分析上,试图从行为意识的角度出发,就思维定势、偏见意识和价值观念三大因素来分析跨文化交际中存在的障碍,从而使学习者排除跨文化交际的障碍,并从跨文化交流中获得益处。  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