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   8059篇
  免费   263篇
  国内免费   91篇
管理学   162篇
劳动科学   5篇
民族学   85篇
人才学   1篇
人口学   222篇
丛书文集   777篇
理论方法论   508篇
综合类   4273篇
社会学   1059篇
统计学   1321篇
  2024年   14篇
  2023年   76篇
  2022年   97篇
  2021年   113篇
  2020年   199篇
  2019年   222篇
  2018年   209篇
  2017年   266篇
  2016年   233篇
  2015年   322篇
  2014年   901篇
  2013年   1464篇
  2012年   1175篇
  2011年   674篇
  2010年   652篇
  2009年   498篇
  2008年   415篇
  2007年   124篇
  2006年   84篇
  2005年   111篇
  2004年   105篇
  2003年   128篇
  2002年   110篇
  2001年   55篇
  2000年   38篇
  1999年   14篇
  1998年   13篇
  1997年   10篇
  1996年   5篇
  1995年   10篇
  1994年   6篇
  1993年   6篇
  1992年   3篇
  1991年   2篇
  1990年   4篇
  1989年   5篇
  1988年   5篇
  1986年   4篇
  1985年   5篇
  1984年   8篇
  1983年   3篇
  1982年   5篇
  1981年   9篇
  1980年   3篇
  1979年   4篇
  1978年   2篇
  1977年   1篇
  1976年   1篇
排序方式: 共有8413条查询结果,搜索用时 0 毫秒
441.
The present study empirically analyzes the validity of Wagner's Law for Indian economy. With the use of annual time series data from 1970–71 to 2013–14, all the six versions of Wagner's Law have been analyzed to test the relationship between government expenditure and gross domestic product. Wagner's Law states that the economic growth is the causative factor of the growth of the public expenditure. The study applied the unit root test and cointegration test to find the long-run relationship between government expenditure and gross domestic product. The present study employed the various econometric techniques such as unit root test, cointegration, and causality analysis for empirical analysis. The empirical analysis under study inferred mixed results of Wagner's Law for Indian economy, where four versions, namely Peacock, Gupta, Guffman, and Musgrave, found valid for Indian economy. The study concluded that the Wagner's Law is valid for the Indian economy except the Pryor and Mann Versions of the Wagner's Law.  相似文献   
442.
We propose some statistical tools for diagnosing the class of generalized Weibull linear regression models [A.A. Prudente and G.M. Cordeiro, Generalized Weibull linear models, Comm. Statist. Theory Methods 39 (2010), pp. 3739–3755]. This class of models is an alternative means of analysing positive, continuous and skewed data and, due to its statistical properties, is very competitive with gamma regression models. First, we show that the Weibull model induces ma-ximum likelihood estimators asymptotically more efficient than the gamma model. Standardized residuals are defined, and their statistical properties are examined empirically. Some measures are derived based on the case-deletion model, including the generalized Cook's distance and measures for identifying influential observations on partial F-tests. The results of a simulation study conducted to assess behaviour of the global influence approach are also presented. Further, we perform a local influence analysis under the case-weights, response and explanatory variables perturbation schemes. The Weibull, gamma and other Weibull-type regression models are fitted into three data sets to illustrate the proposed diagnostic tools. Statistical analyses indicate that the Weibull model fitted into these data yields better fits than other common alternative models.  相似文献   
443.
Abstract

Finding and deciphering serials records in online catalogs is a challenge to many library users. To understand and analyze these challenges, the author conducted searches for scientific journal titles in the online catalogs of Committee on Institutional Cooperation (CIC) libraries. The first part of the study measures the difficulty of retrieving serial records from online catalogs comparing one-word versus multiple-word titles. The second part analyzes displays for complexity by measuring the length of the complete record and the length of the holdings statements. These data show the complexity of displays and indicate the potential confusion that these displays may induce in library users.  相似文献   
444.
Abstract

Johnson describes changes in library journal literature topics over the past one hundred years, with a focus on the period between her first Balance Point column in 2003 and this one, her last. She reminisces on her experience as a Balance Point column editor.  相似文献   
445.
ABSTRACT

Economic statistical designs aim at minimizing the cost of process monitoring when a specific scenario or a set of estimated process and cost parameters is given. But, in practice the process may be affected by more than one scenario which may lead to severe cost penalties if the wrong design is used. Here, we investigate the robust economic statistical design (RESD) of the T2 chart in an attempt to reduce these cost penalties when there are multiple scenarios. Our method is to employ the genetic algorithm (GA) optimization method to minimize the total expected monitoring cost across all distinct scenarios. We illustrate the effectiveness of the method using two numerical examples. Simulation studies indicate that robust economic statistical designs should be encouraged in practice.  相似文献   
446.
A confidence interval is geometrically constructed about a parameter estimated by the ratio of bivariate normal random variables. The resulting confidence interval is equivalent to that of Fieller's theorem. The geometric construction shown that such intervals are conservative. Bioassay examples are used to demonstrate the technique.  相似文献   
447.
448.
This paper considers the finite integral moments for the ratio, R = X/Y, where X and Y re correlated gamma distributed variables. An analytical and numerical comparison is given for two classes of underlying bivariate gamma distributions. It is shown that the two bivariate gamma structures provide indentical experessions for the mth unadjussted moment, E(Rm), if and only if either of the following conditions hold : 1) X and Y are uncorrelated of 2) m=1. A numerical evaluation is performed to determine the extent that the two methods differ whenever the variables are correlated  相似文献   
449.
Bayesian acceptance sampling plans, which utilize prior information on the process variation, can be employed as an alternative to conventional types of plans for taking decisions on the disposition of submitted lots. A special type of double sampling inspection plans by attributes with small acceptance numbers using Bayesian methodology is presented in this paper emphasizing its significance over small acceptance number single sampling plans. The procedures for designing such sampling plans for specified degree of discrimination which would ensure protection to the producer and consumer are discussed with illustrations under the conditions for the application of gamma-Poisson distribution.  相似文献   
450.
We jointly model longitudinal values of a psychometric test and diagnosis of dementia. The model is based on a continuous-time latent process representing cognitive ability. The link between the latent process and the observations is modeled in two phases. Intermediate variables are noisy observations of the latent process; scores of the psychometric test and diagnosis of dementia are obtained by categorizing these intermediate variables. We propose maximum likelihood inference for this model and we propose algorithms for performing this task. We estimated the parameters of such a model using the data of the 5 year follow-up of the PAQUID study. In particular this analysis yielded interesting results about the effect of educational level on both latent cognitive ability and specific performance in the mini mental test examination. The predictive ability of the model is illustrated by predicting diagnosis of dementia at the 8 year follow-up of the PAQUID study based on the information from the first 5 years.  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