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151.
供应链合作伙伴的分类及评价研究 总被引:1,自引:0,他引:1
文章在提出供应链合作伙伴二阶段模型的基础上,将多元统计方法中的聚类分析和系统工程中的密切值法综合应用于供应链合作伙伴第一阶段选择中:通过聚类方法将潜在的合作伙伴划分群体,再应用密切值法对聚类分析所得到的群体进行优先次序的排序和等级的划分,得出优先群体,供核心企业参考,以提高企业选择合作伙伴的效率并减少其选择成本。 相似文献
152.
Although Hartigan (1975) had already put forward the idea of connecting identification of subpopulations with regions with
high density of the underlying probability distribution, the actual development of methods for cluster analysis has largely
shifted towards other directions, for computational convenience. Current computational resources allow us to reconsider this
formulation and to develop clustering techniques directly in order to identify local modes of the density. Given a set of
observations, a nonparametric estimate of the underlying density function is constructed, and subsets of points with high
density are formed through suitable manipulation of the associated Delaunay triangulation. The method is illustrated with
some numerical examples. 相似文献
153.
《统计学通讯:理论与方法》2013,42(4):955-985
ABSTRACT We consider the problem of analyzing multi-center clinical trials when the number of patients at each center and on each treatment arm is random and follows the Poisson distribution. Theoretical approximations are made for the first two moments of the mean square errors (MSE's) for three different estimators of treatment effect difference that are commonly used in multi-center clinical trials. To construct these approximations, approximations are needed for the harmonic mean and negative moments of the Poisson distribution. This is achieved through the use of recurrence relations. The accuracy of the approximations for the moments of the MSE's were then validated through comparing the theoretical values to those obtained from a simulation study under two different enrollment environments. 相似文献
154.
In randomized complete block design, we face the problem of selecting the best population. If some partial information about the unknown parameters is available, then we wish to delermine the optimal decisin rule to select the best population. In this paper, in the class of natural selection rules, we employ the Γ-optimal criterion to determine optimal decision rules that will minimize the maximum expected risk over the class of some partial information. Furthermore, the traditional hypothesis testing is briefly discussed from the view point of ranking and selecting. 相似文献
155.
政府支出结构的国际比较 总被引:2,自引:0,他引:2
政府支出影响着一国社会的发展路径 ,因此探求一国政府支出的决定因素或规律有助于科学地确定政府支出结构 ,从而从政府支出角度给社会有序地推动。文章在占有大量数据及进行深入分析基础上 ,对此作了系统的探讨。 相似文献
156.
《统计学通讯:理论与方法》2013,42(12):2477-2512
Abstract To improve the empirical performance of the Black-Scholes model, many alternative models have been proposed to address leptokurtic feature, volatility smile, and volatility clustering effects of the asset return distributions. However, analytical tractability remains a problem for most alternative models. In this article, we study a class of hidden Markov models including Markov switching models and stochastic volatility models, that can incorporate leptokurtic feature, volatility clustering effects, as well as provide analytical solutions to option pricing. We show that these models can generate long memory phenomena when the transition probabilities depend on the time scale. We also provide an explicit analytic formula for the arbitrage-free price of the European options under these models. The issues of statistical estimation and errors in option pricing are also discussed in the Markov switching models. 相似文献
157.
Rodney Strachan Maxwell King & Sarjinder Singh 《Australian & New Zealand Journal of Statistics》1998,40(3):279-290
A significant problem in the collection of responses to potentially sensitive questions, such as relating to illegal, immoral or embarrassing activities, is non-sampling error due to refusal to respond or false responses. Eichhorn & Hayre (1983) suggested the use of scrambled responses to reduce this form of bias. This paper considers a linear regression model in which the dependent variable is unobserved but for which the sum or product with a scrambling random variable of known distribution, is known. The performance of two likelihood-based estimators is investigated, namely of a Bayesian estimator achieved through a Markov chain Monte Carlo (MCMC) sampling scheme, and a classical maximum-likelihood estimator. These two estimators and an estimator suggested by Singh, Joarder & King (1996) are compared. Monte Carlo results show that the Bayesian estimator out-performs the classical estimators in all cases, and the relative performance of the Bayesian estimator improves as the responses become more scrambled. 相似文献
158.
In 1965, Stanley Warner (Warner, 1965) introduced a model for contaminating discrete type random variables. He presented this scheme as being potentially useful in survevs where sensitive in-formation is being gathered. Since that time much research has been conducted and many papers written on the development of these discrete type randomized response models. More recently, atten-tion has been focused on the application of randomized response type models for preservation of confidentiality in existing data files (Boruch 1971 and 1972, Ranney 1975, Felligi 1974, and Inge-marsson 1975). In 1974, Poole (Poole, 1974) introduced a randomized response model for a positive continuous type random variable which was basically a continuous variable analog of the discrete variable Warner model. In this paper the results of the 1974 paper are extended to a lt-dimensional continuous type random variable in k-dimensional Euclidean space. 相似文献
159.
Subir Ghosh 《统计学通讯:理论与方法》2013,42(10):1173-1184
We consider the Information contained 1n each observation in a given design robust with respect to the estlmability of parameters and against the unavailability of observations. We compare the observations in various 1-, 2- and 3- dimensional designs on the basis of their informations. 相似文献
160.
Estimating confidence intervals for the interaction between treatments and environmental conditions in binomial experiments is analyzed. Testing the interaction is studied also. The problem is reduced to that of estimating or testing the interaction parameter in 2 × 2 × 2 contingency tables with given marginals. Programs for determining the exact conditional tests and their power functions are provided for sample of size not exceeding 100. Large sample approximations based on maximum likelihood (ML) and on the arcsin transformation for proportions are studied. 相似文献