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101.
A large-scale study, in which two million random Voronoi polygons (with respect to a homogeneous Poisson point process) were generated and mensurated, is described. The polygon characteristics recorded are number of sides (or vertices), perimeter, area and interior angles. A feature is the efficient “quantile” method of replicating Poisson-type random structures, which it is hoped may find useful application elsewhere.  相似文献   
102.
In this article, new pseudo-Bayes and pseudo-empirical Bayes estimators for estimating the proportion of a potentially sensitive attribute in a survey sampling have been introduced. The proposed estimators are compared with the recent estimator proposed by Odumade and Singh [Efficient use of two decks of cards in randomized response sampling, Comm. Statist. Theory Methods 38 (2009), pp. 439–446] and Warner [Randomized response: A survey technique for eliminating evasive answer bias, J. Amer. Statist. Assoc. 60 (1965), pp. 63–69].  相似文献   
103.
孔子的思想体系建立在他对个人与自然、个人与社会、个人与个人三种关系的理解之上。"远"作为这三种关系的一种描述方式,在孔子思想中发挥着不可忽视的作用。学界对《论语》中"远"关注较少,因而以"远"为线索梳理孔子思想不仅饶有趣味而且具有相当的理论意义。  相似文献   
104.
Logistic regression using conditional maximum likelihood estimation has recently gained widespread use. Many of the applications of logistic regression have been in situations in which the independent variables are collinear. It is shown that collinearity among the independent variables seriously effects the conditional maximum likelihood estimator in that the variance of this estimator is inflated in much the same way that collinearity inflates the variance of the least squares estimator in multiple regression. Drawing on the similarities between multiple and logistic regression several alternative estimators, which reduce the effect of the collinearity and are easy to obtain in practice, are suggested and compared in a simulation study.  相似文献   
105.
For many applications involving compositional data, it is necessary to establish a valid measure of distance, yet when essential zeros are present traditional distance measures are problematic. In quantitative fatty acid signature analysis (QFASA), compositional diet estimates are produced that often contain many zeros. In order to test for a difference in diet between two populations of predators using the QFASA diet estimates, a legitimate measure of distance for use in the test statistic is necessary. Since ecologists using QFASA must first select the potential species of prey in the predator's diet, the chosen measure of distance should be such that the distance between samples does not decrease as the number of species considered increases, a property known in general as subcompositional coherence. In this paper we compare three measures of distance for compositional data capable of handling zeros, but not satisfying some of the well-accepted principles of compositional data analysis. For compositional diet estimates, the most relevant of these is the property of subcompositionally coherence and we show that this property may be approximately satisfied. Based on the results of a simulation study and an application to real-life QFASA diet estimates of grey seals, we recommend the chi-square measure of distance.  相似文献   
106.
In this article, we present a test for testing uniformity. Based on the test, we provide a test for testing exponentiality. Empirical critical values for both the tests are computed. Both the tests are compared with the tests proposed by Noughabi and Arghami [H. Alizadeh Noughabi, and N.R. Arghami, Testing exponentiality using transformed data, J. Statist. Comput. Simul. 81 (4) (2011), pp. 511–516] using simulation experiments for a wide class of alternatives. The tests possess attractive power properties.  相似文献   
107.
In adaptive estimation, it is often considered that an estimator has made a mistake if the component estimator chosen for use is not the most efficient for the distribution sampled. Theoretical and simulation results point to a fallacy in this line of thought. The Monte Carlo study involves extension of the Princeton Swindle to distributions conditional on a location and scale-free statistic, and to the uniform. The results give a partial explanation for the sometimes surprising robustness of adaptive L-estimators.  相似文献   
108.
A hierarchical Bayesian approach to ranking and selection as well as estimation of related means in two—way models is considered. Using the method of Monte Carlo simulation with importance sampling, we are able to carry out efficiently the three or four dimensional integrations as needed. An example is included to illustrate the methodology.  相似文献   
109.
For any continuous baseline G distribution [G.M. Cordeiro and M. de Castro, A new family of generalized distributions, J. Statist. Comput. Simul. 81 (2011), pp. 883–898], proposed a new generalized distribution (denoted here with the prefix ‘Kw-G’ (Kumaraswamy-G)) with two extra positive parameters. They studied some of its mathematical properties and presented special sub-models. We derive a simple representation for the Kw-G density function as a linear combination of exponentiated-G distributions. Some new distributions are proposed as sub-models of this family, for example, the Kw-Chen [Z.A. Chen, A new two-parameter lifetime distribution with bathtub shape or increasing failure rate function, Statist. Probab. Lett. 49 (2000), pp. 155–161], Kw-XTG [M. Xie, Y. Tang, and T.N. Goh, A modified Weibull extension with bathtub failure rate function, Reliab. Eng. System Safety 76 (2002), pp. 279–285] and Kw-Flexible Weibull [M. Bebbington, C.D. Lai, and R. Zitikis, A flexible Weibull extension, Reliab. Eng. System Safety 92 (2007), pp. 719–726]. New properties of the Kw-G distribution are derived which include asymptotes, shapes, moments, moment generating function, mean deviations, Bonferroni and Lorenz curves, reliability, Rényi entropy and Shannon entropy. New properties of the order statistics are investigated. We discuss the estimation of the parameters by maximum likelihood. We provide two applications to real data sets and discuss a bivariate extension of the Kw-G distribution.  相似文献   
110.
An outlier is defined as an observation that is significantly different from the others in its dataset. In high-dimensional regression analysis, datasets often contain a portion of outliers. It is important to identify and eliminate the outliers for fitting a model to a dataset. In this paper, a novel outlier detection method is proposed for high-dimensional regression problems. The leave-one-out idea is utilized to construct a novel outlier detection measure based on distance correlation, and then an outlier detection procedure is proposed. The proposed method enjoys several advantages. First, the outlier detection measure can be simply calculated, and the detection procedure works efficiently even for high-dimensional regression data. Moreover, it can deal with a general regression, which does not require specification of a linear regression model. Finally, simulation studies show that the proposed method behaves well for detecting outliers in high-dimensional regression model and performs better than some other competing methods.  相似文献   
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