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261.
从一般条款的争论着手,对比中德侵权法一般条款的立法模式、所保护权益范围、侵权责任的过错和违法性要件,可知中国侵权法所设立的大小搭配的一般条款模式所保护的民事权益过于宽泛,限制了人们的自由发展,故在法律使用上应借鉴德国的模式作目的性限缩。在侵权责任的构成要件上也可借鉴德国的规定。 相似文献
262.
What motivates the geographic footprint of the supply chains that multinational firms (MNFs) deploy? Traditional research in the operations and supply chain management literature tends to recommend locations primarily based on differentials in production costs and the ramifications of physical distance ignoring the role of taxation. MNFs that strategically position parts of their supply chains in low‐tax locations can allocate the profits across the divisions to improve post‐tax profits. For the profit allocation to be defensible to tax authorities, the divisional operations must possess real decision authority and bear meaningful risks. Generally speaking, the greater the transfer of risk and control, the larger the allowable allocation of profit. These transfers may also create inefficiencies due to misalignment of business goals and attitudes toward risk. We model these trade‐offs in the context of placing in a low‐tax region a subsidiary that oversees product distribution (as a limited risk distributor commissionnaire, limited risk distributor, or fully fledged distributor). Our analysis demonstrates that the MNF's preferences regarding the operating structures are not necessarily an obvious ordering based on the amount of risk and decision authority transferred to the division in the low‐tax jurisdiction. We derive and analyze threshold values of the performance parameters that describe the main trade‐offs involved in selecting an operating structure. We find some of the optimal decisions to exhibit interesting non‐monotone behavior. For instance, profits can increase when the tax rate in the low‐tax jurisdiction increases. Numerical analysis shows that the Limited‐Risk Distributor structure is rarely optimal and quantifies when each alternative dominates it. 相似文献
263.
Minjung Kwak 《Journal of nonparametric statistics》2017,29(3):491-514
In this paper we study estimating the joint conditional distributions of multivariate longitudinal outcomes using regression models and copulas. For the estimation of marginal models, we consider a class of time-varying transformation models and combine the two marginal models using nonparametric empirical copulas. Our models and estimation method can be applied in many situations where the conditional mean-based models are not good enough. Empirical copulas combined with time-varying transformation models may allow quite flexible modelling for the joint conditional distributions for multivariate longitudinal data. We derive the asymptotic properties for the copula-based estimators of the joint conditional distribution functions. For illustration we apply our estimation method to an epidemiological study of childhood growth and blood pressure. 相似文献
264.
The paper investigates various nonparametric models including regression, conditional distribution, conditional density and conditional hazard function, when the covariates are infinite dimensional. The main contribution is to prove uniform in bandwidth asymptotic results for kernel estimators of these functional operators. Then, the application issues, involving data-driven bandwidth selection, are discussed. 相似文献
265.
农户信贷约束研究进展述评 总被引:4,自引:0,他引:4
近年,随着我国农村金融改革的不断深入,农户信贷约束问题受到了学界关注,但该领域的研究还存在相当广泛的分歧.本文从农户信贷约束的内涵、原因、影响、类别等方面系统梳理了国内外的理论与实证文献,试图全面概括其研究进展,并在文末对既有的研究进行简要的评述,同时指出未来可能的研究方向. 相似文献
266.
Abstract. One of the main research areas in Bayesian Nonparametrics is the proposal and study of priors which generalize the Dirichlet process. In this paper, we provide a comprehensive Bayesian non-parametric analysis of random probabilities which are obtained by normalizing random measures with independent increments (NRMI). Special cases of these priors have already shown to be useful for statistical applications such as mixture models and species sampling problems. However, in order to fully exploit these priors, the derivation of the posterior distribution of NRMIs is crucial: here we achieve this goal and, indeed, provide explicit and tractable expressions suitable for practical implementation. The posterior distribution of an NRMI turns out to be a mixture with respect to the distribution of a specific latent variable. The analysis is completed by the derivation of the corresponding predictive distributions and by a thorough investigation of the marginal structure. These results allow to derive a generalized Blackwell–MacQueen sampling scheme, which is then adapted to cover also mixture models driven by general NRMIs. 相似文献
267.
B. J. Gajewski R. Lee M. Bott U. Piamjariyakul R. L. Taunton 《Journal of applied statistics》2009,36(9):933-944
Data envelopment analysis (DEA) is a deterministic econometric model for calculating efficiency by using data from an observed set of decision-making units (DMUs). We propose a method for calculating the distribution of efficiency scores. Our framework relies on estimating data from an unobserved set of DMUs. The model provides posterior predictive data for the unobserved DMUs to augment the frontier in the DEA that provides a posterior predictive distribution for the efficiency scores. We explore the method on a multiple-input and multiple-output DEA model. The data for the example are from a comprehensive examination of how nursing homes complete a standardized mandatory assessment of residents. 相似文献
268.
1994年推行的分税制是不彻底的,财权配置缺乏协调性和统一性,致使各级政府在公共产品和服务提供中责权利不对称。因此,需要调整财权配置,以保证事权和财权的统一。 相似文献
269.
In this article, we extended the empirical distribution function based test statistic Ik of Skaug and Tjostheim [1993. Nonparametric test of serial independence based on the empirical distribution function. Biometrika 80, 591–602] in the time series setting to Dn for spatial lattice data and derived the asymptotic distribution of the proposed test statistic Dn under the null hypothesis of spatial independence. The size and power of the proposed test statistic under conditional autoregressive model (CAR) were simulated. We applied Dn, Moran's I and Geary's c to the transformed and well-studied sudden infant death syndrome data from North Carolina and found that Dn produced a much smaller p-value in testing spatial independence. 相似文献
270.
This paper is mainly concerned with minimax estimation in the general linear regression model y=Xβ+ε under ellipsoidal restrictions on the parameter space and quadratic loss function. We confine ourselves to estimators that are linear in the response vector y . The minimax estimators of the regression coefficient β are derived under homogeneous condition and heterogeneous condition, respectively. Furthermore, these obtained estimators are the ridge-type estimators and mean dispersion error (MDE) superior to the best linear unbiased estimator b=(X′W-1X)-1X′W-1y under some conditions. 相似文献