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111.
We reconsider the derivation of Blest’s (2003) skewness adjusted version of the classical moment-based coefficient of kurtosis and propose an adaptation of it which generally eliminates the effects of asymmetry a little more successfully. Lower bounds are provided for the two skewness adjusted kurtosis moment measures as functions of the classical coefficient of skewness. The results from a Monte Carlo experiment designed to investigate the sampling properties of numerous moment-based estimators of the two skewness adjusted kurtosis measures are used to identify those estimators with lowest mean squared error for small to medium sized samples drawn from distributions with varying levels of asymmetry and tailweight. 相似文献
112.
A number of goodness-of-fit and model selection procedures related to the Weibull distribution are reviewed. These procedures include probability plotting, correlation type goodness-of-fit tests, and chi-square goodness-of-fit tests. Also the Kolmogorow-Smirniv, Kuiper, and Cramer-Von Mises test statistics for completely specified hypothesis based on censored data are reviewed, and these test statistics based on complete samples for the unspecified parameters case are considered. Goodness-of-fit tests based on sample spacings, and a goodness-of-fit test for the Weibull process, is also discussed. Model selection procedures for selecting between a Weibull and gamma model, a Weibull and lognormal model, and for selecting from among all three models are considered. Also tests of exponential versus Weibull and Weibull versus generalized gamma are mentioned. 相似文献
113.
Andrew P. Soms 《统计学通讯:理论与方法》2013,42(7):887-891
The bounds of Soms (1980a) for the tail area of the t-distribution with integral degrees of freedom are extended to arbitrary positive degrees of freedom, Comparisons are made with the bounds of Shenton and Carpenter (1965) and some numerical examples are provided. 相似文献
114.
Suppose that the length of time in years for which a business operates until failure has a Pareto distribution. Let x1 ≤ x2 x3 ≤…≤zk denote the survival lifetimes of the first k of a random sample of n businesses. Bayesian predictions are to be made on the ordered failure times of t h e remaining (n-k) businesses, using the conditional probability density function. Examples are given to illustrate our results. 相似文献
115.
M. S. Aminzadeh 《统计学通讯:理论与方法》2013,42(5):923-935
Variable sampling plans to control fraction defective are obtained using the Inverse-Gaussian (IG) distribution. OC curves are obtained and impact of sample size and specification limits on these curves are discussed. Simulation studies are used to investigate sensitivity of the sampling plans under the more commonly used normal distribution. 相似文献
116.
117.
在当前的研究文献中,我国学者在对中国劳动收入份额进行国际比较时,通常在两个方面产生混乱:一是我国收入法GDP中的劳动者报酬指标包含了非公司业主的混合收入,采用的是宽口径的概念,而SNA1993中的雇员报酬概念却并不包括混合收入,是窄口径的概念。因此,根据我国收入法GDP数据直接计算出的劳动收入份额并不具有国际可比性;二是2004年我国收入法GDP的统计口径本身发生了变动,使得我国2004年前后的劳动收入份额也不具有可比性。本文首先以2004年的经济普查数据为基础,对自我雇佣者的混合收入按照宽、中、窄三种口径进行调整,基本消除了上述的两个不可比因素;其次,以调整后的可比数据为基础,本文对我国宽、中、窄口径的劳动收入份额进行了全面的国际比较,得到的结论更为稳健可靠。结果发现:如果采用窄口径的劳动报酬概念,我国的劳动收入份额不仅低于发达国家的平均水平15~20个百分点,也低于发展中国家的平均水平超过4个百分点。 相似文献
118.
Efficient industrial experiments for reliability analysis of manufactured goods may consist in subjecting the units to higher stress levels than those of the usual working conditions. This results in the so called "accelerated life tests" where, for each pre-fixed stress level, the experiment ends after the failure of a certain pre-fixed proportion of units or a certain test time is reached. The aim of this paper is to determine estimates of the mean lifetime of the units under usual working conditions from censored failure data obtained under stress conditions. This problem is approached through generalized linear modelling and related inferential techniques, considering a Weibull failure distribution and a log-linear stress-response relationship. The general framework considered has as particular cases, the Inverse Power Law model, the Eyring model, the Arrhenius model and the generalized Eyring model. In order to illustrate the proposed methodology, a numerical example is provided. 相似文献
119.
Mohammad Z. Raqab 《统计学通讯:理论与方法》2013,42(7):1367-1380
In this article, we obtain sharp distribution-free bounds for the expected value of the gap between the current records and record values as well as upper sharp bounds for the spacings between any two upper current records. We also present two-sided bounds on the errors in approximating the means of current records by inverse hazard functions. 相似文献
120.
《随机性模型》2013,29(2):193-227
The Double Chain Markov Model is a fully Markovian model for the representation of time-series in random environments. In this article, we show that it can handle transitions of high-order between both a set of observations and a set of hidden states. In order to reduce the number of parameters, each transition matrix can be replaced by a Mixture Transition Distribution model. We provide a complete derivation of the algorithms needed to compute the model. Three applications, the analysis of a sequence of DNA, the song of the wood pewee, and the behavior of young monkeys show that this model is of great interest for the representation of data that can be decomposed into a finite set of patterns. 相似文献