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241.
Three relations between elementary school children were investigated: networks of general dislike and bullying were related to networks of general like. These were modeled using multivariate cross-sectional (statistical) network models. Exponential random graph models for a sample of 18 classrooms, numbering 393 students, were summarized using meta-analyses. Results showed (balanced) network structures with positive ties between those who were structurally equivalent in the negative network. Moreover, essential structural parameters for the univariate network structure of positive (general like) and negative (general dislike and bullying) tie networks were identified. Different structures emerged in positive and negative networks. The results provide a starting point for further theoretical and (multiplex) empirical research about negative ties and their interplay with positive ties.  相似文献   
242.
This paper asks whether maternal employment has a lasting influence on the division of household labor for married women and men. Employing multi-level models with 2002 ISSP survey data for 31 countries, we test the lagged accommodation hypothesis that a long societal history of maternal employment contributes to more egalitarian household arrangements. Our results find that living in a country with a legacy of high maternal employment is positively associated with housework task-sharing, even controlling for the personal socialization experience of growing up with a mother who worked for pay. In formerly socialist countries, however, there is less gender parity in housework than predicted by the high historical level of maternal employment.  相似文献   
243.
Zero-inflated count data are frequently encountered in public health and epidemiology research. Two-parts model is often used to model the excessive zeros, which are a mixture of two components: a point mass at zero and a count distribution, such as a Poisson distribution. When the rate of events per unit exposure is of interest, offset is commonly used to account for the varying extent of exposure, which is essentially a predictor whose regression coefficient is fixed at one. Such an assumption of exposure effect is, however, quite restrictive for many practical problems. Further, for zero-inflated models, offset is often only included in the count component of the model. However, the probability of excessive zero component could also be affected by the amount of ‘exposure’. We, therefore, proposed incorporating the varying exposure as a covariate rather than an offset term in both the probability of excessive zeros and conditional counts components of the zero-inflated model. A real example is used to illustrate the usage of the proposed methods, and simulation studies are conducted to assess the performance of the proposed methods for a broad variety of situations.  相似文献   
244.
Team performance of the Mexican Football League (Liga MX), measured as the percentage of the total points obtained during each short tournament, is analyzed using Dynamic Factor Models (DFMs). The estimation of the common components is carried out with Principal Components and the stochastic nature of the DFM is studied through Panel Analysis of Non-stationarity in Idiosyncratic and Common Components. The results reveal that there are two common factors, one being possibly non-stationary. These factors show an interesting dynamic behavior in the league and allow to split the teams into two groups, namely, top competitors and emerging or relegated teams. Some discussion is given in this direction.  相似文献   
245.
246.
Abstract

This paper compares three estimators for periodic autoregressive (PAR) models. The first is the classical periodic Yule-Walker estimator (YWE). The second is a robust version of YWE (RYWE) which uses the robust autocovariance function in the periodic Yule-Walker equations, and the third is the robust least squares estimator (RLSE) based on iterative least squares with robust versions of the original time series. The daily mean particulate matter concentration (PM10) data is used to illustrate the methodologies in a real application, that is, in the Air Quality area.  相似文献   
247.
Understanding how people view flash flood risks can help improve risk communication, ultimately improving outcomes. This article analyzes data from 26 mental models interviews about flash floods with members of the public in Boulder, Colorado, to understand their perspectives on flash flood risks and mitigation. The analysis includes a comparison between public and professional perspectives by referencing a companion mental models study of Boulder‐area professionals. A mental models approach can help to diagnose what people already know about flash flood risks and responses, as well as any critical gaps in their knowledge that might be addressed through improved risk communication. A few public interviewees mentioned most of the key concepts discussed by professionals as important for flash flood warning decision making. However, most interviewees exhibited some incomplete understandings and misconceptions about aspects of flash flood development and exposure, effects, or mitigation that may lead to ineffective warning decisions when a flash flood threatens. These include important misunderstandings about the rapid evolution of flash floods, the speed of water in flash floods, the locations and times that pose the greatest flash flood risk in Boulder, the value of situational awareness and environmental cues, and the most appropriate responses when a flash flood threatens. The findings point to recommendations for ways to improve risk communication, over the long term and when an event threatens, to help people quickly recognize and understand threats, obtain needed information, and make informed decisions in complex, rapidly evolving extreme weather events such as flash floods.  相似文献   
248.
In estimating the proportion of people bearing a sensitive attribute A, say, in a given community, following Warner’s (J Am Stat Assoc 60:63–69, 1965) pioneering work, certain randomized response (RR) techniques are available for application. These are intended to ensure efficient and unbiased estimation protecting a respondent’s privacy when it touches a person’s socially stigmatizing feature like rash driving, tax evasion, induced abortion, testing HIV positive, etc. Lanke (Int Stat Rev 44:197–203, 1976), Leysieffer and Warner (J Am Stat Assoc 71:649–656, 1976), Anderson (Int Stat Rev 44:213–217, 1976, Scand J Stat 4:11–19, 1977) and Nayak (Commun Stat Theor Method 23:3303–3321, 1994) among others have discussed how maintenance of efficiency is in conflict with protection of privacy. In their RR-related activities the sample selection is traditionally by simple random sampling (SRS) with replacement (WR). In this paper, an extension of an essential similarity in case of general unequal probability sample selection even without replacement is reported. Large scale surveys overwhelmingly employ complex designs other than SRSWR. So extension of RR techniques to complex designs is essential and hence this paper principally refers to them. New jeopardy measures to protect revelation of secrecy presented here are needed as modifications of those in the literature covering SRSWR alone. Observing that multiple responses are feasible in addressing such a dichotomous situation especially with Kuk’s (Biometrika 77:436–438, 1990) and Christofides’ (Metrika 57:195–200, 2003) RR devices, an average of the response-specific jeopardizing measures is proposed. This measure which is device dependent, could be regarded as a technical characteristic of the device and it should be made known to the participants before they agree to use the randomization device. The views expressed are the authors’, not of the organizations they work for. Prof Chaudhuri’s research is partially supported by CSIR Grant No. 21(0539)/02/EMR-II.  相似文献   
249.
For multivariate probit models, Spiess and Tutz suggest three alternative performance measures, which are all based on the decomposition of the variation. The multivariate probit model can be seen as a special case of the discrete copula model. This paper proposes some new measures based on the value of the likelihood function and the prediction-realization table. In addition, it generalizes the measures from Spiess and Tutz for the discrete copula model. Results of a simulation study designed to compare the different measures in various situations are presented.  相似文献   
250.

There are three approaches to analyzing and forecasting age‐specific mortality: (1) analyze age‐specific data directly, (2) analyze each cause‐specific mortality series separately and add the results, (3) analyze cause‐specific mortality series jointly and add the results. We show that if linear models are used for cause‐specific mortality, then the three approaches often give close results even when cause‐specific series are correlated. This result holds for cross‐correlations arising from random misclassification of deaths by cause, and also for certain patterns of systematic misclassification. It need not hold, if one or more causes serve as “leading indicators”; for the remaining causes, or if outside information is incorporated into forecasting either through expert judgment or formal statistical modeling. Under highly nonlinear models or in the presence of modeling error the result may also fail. The results are illustrated with U.S. age‐specific mortality data from 1968–1985. In some cases the aggregate forecasts appear to be the more credible ones.  相似文献   
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