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41.
采用数学规划的方法从静力和动力两方面对斜腿刚构桥的几何布局进行优化设计。静力优化设计的优化目标是截面截面应力平方均值最小,动力优化设计的优化目标是结构自振周期平方和最小。采用了直接搜索法寻优。通过算例可知,这两种优化设计方法均可行,且均为刚性设计。 相似文献
42.
Patrick J. Farrell Sarjinder Singh 《Australian & New Zealand Journal of Statistics》2005,47(3):375-383
In survey sampling, interest often centres on inference for the population total using information about an auxiliary variable. The variance of the estimator used plays a key role in such inference. This study develops a new set of higher‐order constraints for the calibration of estimators of variance for various estimators of the population total. The proposed strategy requires an appropriate model for describing the relationship between the response and auxiliary variable, and the variance of the auxiliary variable. It is therefore referred to as a model‐assisted approach. Several new estimators of variance, including the higher‐order calibration estimators of the variance of the ratio and regression estimators suggested by Singh, Horn & Yu and Sitter & Wu are special cases of the proposed technique. The paper presents and discusses the results of an empirical study to compare the performance of the proposed estimators and existing counterparts. 相似文献
43.
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
44.
薛忠祥 《淄博师范高等专科学校学报》2005,1(1):7-12
教育世界是教育科学研究的对象域。教育世界的特性是本质世界。教育世界的本质世界特性是以人的本质力量的外在表现物——哲学和各门学科知识体系为手段培养人性——人的本质。教育世界的本质特点就是本质教育。人的本质表现在责任、方法和美。教育世界的本质世界特性决定了教育科学属于本质科学。 相似文献
45.
在我国由计划经济向市场经济的体制转轨过程中,货币政策和财政政策已成为我国宏观经济调节的主要手段,在我国的经济发展中发挥了重要作用。但货币政策和财政政策是各自独立的政策体系,由于作用的方式和条件有较大区别,其效果也有较大不同,文章试图应用脉冲响应函数和方差分解方法,对改革开放以来我国货币政策和财政政策的效果进行实证比较研究,并得出有关结论,为我国的宏观调控政策提供理论分析和实证检验的依据。 相似文献
46.
Longitudinal data often contain missing observations, and it is in general difficult to justify particular missing data mechanisms, whether random or not, that may be hard to distinguish. The authors describe a likelihood‐based approach to estimating both the mean response and association parameters for longitudinal binary data with drop‐outs. They specify marginal and dependence structures as regression models which link the responses to the covariates. They illustrate their approach using a data set from the Waterloo Smoking Prevention Project They also report the results of simulation studies carried out to assess the performance of their technique under various circumstances. 相似文献
47.
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
48.
Anthony C. Atkinson 《Journal of the Royal Statistical Society. Series C, Applied statistics》2003,52(3):261-278
Summary. The paper develops methods for the design of experiments for mechanistic models when the response must be transformed to achieve symmetry and constant variance. The power transformation that is used is partially justified by a rule in analytical chemistry. Because of the nature of the relationship between the response and the mechanistic model, it is necessary to transform both sides of the model. Expressions are given for the parameter sensitivities in the transformed model and examples are given of optimum designs, not only for single-response models, but also for experiments in which multivariate responses are measured and for experiments in which the model is defined by a set of differential equations which cannot be solved analytically. The extension to designs for checking models is discussed. 相似文献
49.
Higher education outcomes, graduate employment and university performance indicators 总被引:1,自引:0,他引:1
Massimiliano Bratti Abigail McKnight Robin Naylor Jeremy Smith 《Journal of the Royal Statistical Society. Series A, (Statistics in Society)》2004,167(3):475-496
Summary. Official employment-related performance indicators in UK higher education are based on the population of students responding to the 'First destination supplement' (FDS). This generates potentially biased performance indicators as this population of students is not necessarily representative of the full population of leavers from each institution. University leavers who do not obtain qualifications and those who do not respond to the FDS are not included within the official analysis. We compare an employment-related performance indicator based on those students who responded to the FDS with alternative approaches which address the potential non-random nature of this subgroup of university leavers. 相似文献
50.
Stuart Barber Guy P. Nason 《Journal of the Royal Statistical Society. Series B, Statistical methodology》2004,66(4):927-939
Summary. Wavelet shrinkage is an effective nonparametric regression technique, especially when the underlying curve has irregular features such as spikes or discontinuities. The basic idea is simple: take the discrete wavelet transform of data consisting of a signal corrupted by noise; shrink or remove the wavelet coefficients to remove the noise; then invert the discrete wavelet transform to form an estimate of the true underlying curve. Various researchers have proposed increasingly sophisticated methods of doing this by using real-valued wavelets. Complex-valued wavelets exist but are rarely used. We propose two new complex-valued wavelet shrinkage techniques: one based on multiwavelet style shrinkage and the other using Bayesian methods. Extensive simulations show that our methods almost always give significantly more accurate estimates than methods based on real-valued wavelets. Further, our multiwavelet style shrinkage method is both simpler and dramatically faster than its competitors. To understand the excellent performance of this method we present a new risk bound on its hard thresholded coefficients. 相似文献