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31.
宋晓杰 《吉林工程技术师范学院学报》2005,(6)
利用SPSS软件,对我国31个省、直辖市的大中型工业企业的总资产贡献率、成本费用利润率、资本保值增值率、流动资产周转次数、全员劳动生产率、产品销售率、资产负债率、总资产周转率、净资产收益率、销售利润率等十个经济效益指标进行了因子分析,并将这十个指标归结为盈利、销售、运营、发展等多个因子。最后,根据每个因子得分情况将所有地区归为六类,进而做出综合评价。 相似文献
32.
Generalized additive models for location, scale and shape 总被引:10,自引:0,他引:10
R. A. Rigby D. M. Stasinopoulos 《Journal of the Royal Statistical Society. Series C, Applied statistics》2005,54(3):507-554
Summary. A general class of statistical models for a univariate response variable is presented which we call the generalized additive model for location, scale and shape (GAMLSS). The model assumes independent observations of the response variable y given the parameters, the explanatory variables and the values of the random effects. The distribution for the response variable in the GAMLSS can be selected from a very general family of distributions including highly skew or kurtotic continuous and discrete distributions. The systematic part of the model is expanded to allow modelling not only of the mean (or location) but also of the other parameters of the distribution of y , as parametric and/or additive nonparametric (smooth) functions of explanatory variables and/or random-effects terms. Maximum (penalized) likelihood estimation is used to fit the (non)parametric models. A Newton–Raphson or Fisher scoring algorithm is used to maximize the (penalized) likelihood. The additive terms in the model are fitted by using a backfitting algorithm. Censored data are easily incorporated into the framework. Five data sets from different fields of application are analysed to emphasize the generality of the GAMLSS class of models. 相似文献
33.
Cathy W. S. Chen F. C. Liu Mike K. P. So 《Australian & New Zealand Journal of Statistics》2008,50(1):29-51
To capture mean and variance asymmetries and time‐varying volatility in financial time series, we generalize the threshold stochastic volatility (THSV) model and incorporate a heavy‐tailed error distribution. Unlike existing stochastic volatility models, this model simultaneously accounts for uncertainty in the unobserved threshold value and in the time‐delay parameter. Self‐exciting and exogenous threshold variables are considered to investigate the impact of a number of market news variables on volatility changes. Adopting a Bayesian approach, we use Markov chain Monte Carlo methods to estimate all unknown parameters and latent variables. A simulation experiment demonstrates good estimation performance for reasonable sample sizes. In a study of two international financial market indices, we consider two variants of the generalized THSV model, with US market news as the threshold variable. Finally, we compare models using Bayesian forecasting in a value‐at‐risk (VaR) study. The results show that our proposed model can generate more accurate VaR forecasts than can standard models. 相似文献
34.
中国交通运输业发展的实证研究 总被引:1,自引:0,他引:1
采用协整和误差纠正模型与方法,对中国改革开放20多年来交通运输发展与一些相关影响因素之间的关系进行实证研究。结果表明:旅客运输需求与国民收入、乘车费用之间,货物运输与国民经济、燃油价格之间分别存在长期稳定关系。研究认为:中国交通的发展应适当超前于国民经济的发展。同时,研究还发现:“旅游黄金周”的实施并不是促进中国旅客运输需求的显著影响因素。 相似文献
35.
Konstadinos Politis Lennart Robertson 《Journal of the Royal Statistical Society. Series C, Applied statistics》2004,53(4):583-600
Summary. We consider a Bayesian forecasting system to predict the dispersal of contamination on a large scale grid in the event of an accidental release of radioactivity. The statistical model is built on a physical model for atmospheric dispersion and transport called MATCH. Our spatiotemporal model is a dynamic linear model where the state parameters are the (essentially, deterministic) predictions of MATCH; the distributions of these are updated sequentially in the light of monitoring data. One of the distinguishing features of the model is that the number of these parameters is very large (typically several hundreds of thousands) and we discuss practical issues arising in its implementation as a realtime model. Our procedures have been checked against a variational approach which is used widely in the atmospheric sciences. The results of the model are applied to test data from a tracer experiment. 相似文献
36.
Göran Kauermann Renate Ortlieb 《Journal of the Royal Statistical Society. Series C, Applied statistics》2004,53(2):355-367
Summary. The pattern of absenteeism in the downsizing process of companies is a topic in focus in economics and social science. A general question is whether employees who are frequently absent are more likely to be selected to be laid off or in contrast whether employees to be dismissed are more likely to be absent for the remaining time of their working contract. We pursue an empirical and microeconomic investigation of these theses. We analyse longitudinal data that were collected in a German company over several years. We fit a semiparametric transition model based on a mixture Poisson distribution for the days of absenteeism per month. Prediction intervals are considered and the primary focus is on the period of downsizing. The data reveal clear evidence for the hypothesis that employees who are to be laid off are more frequently absent before leaving the company. Interestingly, though, no clear evidence is seen that employees being selected to leave the company are those with a bad absenteeism profile. 相似文献
37.
S. Vansteelandt E. Goetghebeur 《Journal of the Royal Statistical Society. Series B, Statistical methodology》2003,65(4):817-835
Summary. We estimate cause–effect relationships in empirical research where exposures are not completely controlled, as in observational studies or with patient non-compliance and self-selected treatment switches in randomized clinical trials. Additive and multiplicative structural mean models have proved useful for this but suffer from the classical limitations of linear and log-linear models when accommodating binary data. We propose the generalized structural mean model to overcome these limitations. This is a semiparametric two-stage model which extends the structural mean model to handle non-linear average exposure effects. The first-stage structural model describes the causal effect of received exposure by contrasting the means of observed and potential exposure-free outcomes in exposed subsets of the population. For identification of the structural parameters, a second stage 'nuisance' model is introduced. This takes the form of a classical association model for expected outcomes given observed exposure. Under the model, we derive estimating equations which yield consistent, asymptotically normal and efficient estimators of the structural effects. We examine their robustness to model misspecification and construct robust estimators in the absence of any exposure effect. The double-logistic structural mean model is developed in more detail to estimate the effect of observed exposure on the success of treatment in a randomized controlled blood pressure reduction trial with self-selected non-compliance. 相似文献
38.
李久昌 《宝鸡文理学院学报(社会科学版)》2003,23(3):10-17
三门峡上村岭虢国墓地车马坑是迄今为止发现的西周春秋时期规模较大、等级齐全、排列有序的贵族墓祔葬车马坑。虢国车马坑葬继承和沿用商周车马殉葬制,又适应和迎合社会进步及变革需要,对车马坑的殉葬内容和形式进行变通与革新,摒弃车葬坑和同穴葬,整车葬成为主流形式,并盛行车马葬和异穴葬,车马排列有序,殉葬性质更加明确,是象征性、明器化殉葬的滥觞,殉人制消失,显示出传统车马坑葬制开始出现瓦解的苗头。大量车马坑葬在虢国墓地出现,反映了虢国生产力发展水平和崇勇尚武世风,更反映了车马坑主人的身份等级,它与列鼎制紧密配合,形成了一个不可分割的整体。 相似文献
39.
Cynthia Tojeiro Francisco Louzada-Neto Heleno Bolfarine 《Journal of applied statistics》2004,31(6):685-691
In this paper, we present a Bayesian methodology for modelling accelerated lifetime tests under a stress response relationship with a threshold stress. Both Laplace and MCMC methods are considered. The methodology is described in detail for the case when an exponential distribution is assumed to express the behaviour of lifetimes, and a power law model with a threshold stress is assumed as the stress response relationship. We assume vague but proper priors for the parameters of interest. The methodology is illustrated by a accelerated failure test on an electrical insulation film. 相似文献
40.
言语生成 (speechproduction)和言语理解 (speechunderstanding)是语言交际中十分复杂的心理认知过程 ,也是心理语言学研究中的一个重要内容。本文拟对有关言语生成和理解的几种心理模型予以讨论 ,探讨言语生成及理解的过程和实质。 相似文献