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   642篇
  免费   11篇
  国内免费   1篇
管理学   7篇
人口学   2篇
丛书文集   4篇
综合类   81篇
社会学   2篇
统计学   558篇
  2023年   3篇
  2022年   3篇
  2021年   1篇
  2020年   6篇
  2019年   18篇
  2018年   22篇
  2017年   40篇
  2016年   10篇
  2015年   15篇
  2014年   20篇
  2013年   222篇
  2012年   50篇
  2011年   11篇
  2010年   12篇
  2009年   20篇
  2008年   22篇
  2007年   22篇
  2006年   18篇
  2005年   13篇
  2004年   19篇
  2003年   9篇
  2002年   11篇
  2001年   16篇
  2000年   8篇
  1999年   4篇
  1998年   6篇
  1997年   7篇
  1996年   3篇
  1995年   5篇
  1994年   2篇
  1993年   2篇
  1992年   3篇
  1991年   2篇
  1990年   1篇
  1989年   2篇
  1988年   2篇
  1987年   3篇
  1986年   5篇
  1985年   1篇
  1984年   3篇
  1983年   4篇
  1982年   1篇
  1980年   1篇
  1979年   2篇
  1978年   1篇
  1976年   2篇
  1975年   1篇
排序方式: 共有654条查询结果,搜索用时 46 毫秒
161.
A general computer program which generates either the Wilcoxon, Kruskal-Wallis, Friedman, or extended Friedman statistic (where the numbers of cell observations nij may be any positive integer or zero) can be formulated simply by using the computational algorithm for the Benard-Van Elteren statistic. It is shown that the Benard-Van Elteren statistic can be computed using matrix algebra subroutines including multiplication and inverse or g-inverse computational algorithms in the case where the rank of the matrix V of the variances and covariances of the column totals is k-1. For the case where the rank of V is less than k-1 the use of the g-inverse is shown to greatly reduce the labors of calculation. In addition, the use of the Benard-Van Elteren statistic in testing against ordered alternatives is indicated.  相似文献   
162.
Let (Xi, Yi), i = 1, 2,…, n, be n independent observations from a bivariate population and let X(n) = max Xi and Y(n) = max Yi. This article gives a necessary and sufficient condition for the weak convergence of the distribution function of (X(n), Y(n)) to a nondegenerate distribution.  相似文献   
163.
企业在贯彻ISO9000系列标准中应注意的问题   总被引:1,自引:0,他引:1  
针对我国企业在贯彻 ISO90 0 0系列国际标准时容易走入的误区 ,文章提出了几个应引起重视的问题 :一是全面质量管理 (TQM)的宗旨是持续不断的质量改进 ,而不是固守标准 ,维持现状。二是在向外提供质量保证的同时要兼顾内部质量保证。三是要注意贯标中统计技术的正确使用  相似文献   
164.
Built on Skaug and Tjøstheim's approach, this paper proposes a new test for serial independence by comparing the pairwise empirical distribution functions of a time series with the products of its marginals for various lags, where the number of lags increases with the sample size and different lags are assigned different weights. Typically, the more recent information receives a larger weight. The test has some appealing attributes. It is consistent against all pairwise dependences and is powerful against alternatives whose dependence decays to zero as the lag increases. Although the test statistic is a weighted sum of degenerate Cramér–von Mises statistics, it has a null asymptotic N (0, 1) distribution. The test statistic and its limit distribution are invariant to any order preserving transformation. The test applies to time series whose distributions can be discrete or continuous, with possibly infinite moments. Finally, the test statistic only involves ranking the observations and is computationally simple. It has the advantage of avoiding smoothed nonparametric estimation. A simulation experiment is conducted to study the finite sample performance of the proposed test in comparison with some related tests.  相似文献   
165.
We consider a fixed number of arbitrarily dependent random variables with a common symmetric marginal distribution. For each order statistic based on the variables, we determine a common optimal bound, dependent in a simple way on the sample size and number of order statistics, for various measures of dispersion of the order statistics, expressed in terms of the same dispersion measure of the single original variable. The dispersion measures are connected with the notion of M-functional of a random variable location with respect to a symmetric and convex loss function. The measure is defined as the expected loss paid for the discrepancy between the M-functional and the variable. The most popular examples are the median absolute deviation and variance.  相似文献   
166.
Inverse sampling is widely applied in studies with dichotomous outcomes, especially when the subjects arrive sequentially or the response of interest is difficult to obtain. In this paper, we investigate the rate ratio test problem under inverse sampling based on gradient statistic with the asymptotic method and parametric bootstrap technique. The gradient statistic has many advantages, for example, it is simple to calculate and competitive with Wald-type, score and likelihood ratio tests in terms of local power. Numerical studies are carried out to evaluate the performance of our gradient test and the existing tests, namely Wald-type, score and likelihood ratio tests. The simulation results suggest that the gradient test based on the parametric bootstrap method has excellent type I error control and large powers even in small sample design. Two real examples, from a heart disease study and a drug comparison study, are applied to illustrate our methods.  相似文献   
167.
以安徽大学为例,通过问卷调查的形式对大学生党员的思想和心理状况进行调查和分析,采用描述性统计和百分比同质性检验方法,得出大学生党员思想观念、思想政治教育、价值取向、入党动机等方面的表现情况。该调查分析有助于针对性地提高学校党建工作的质量和水平,也有助于加强对大学生党员的先进性教育和管理。  相似文献   
168.
Partitioning objects into closely related groups that have different states allows to understand the underlying structure in the data set treated. Different kinds of similarity measure with clustering algorithms are commonly used to find an optimal clustering or closely akin to original clustering. Using shrinkage-based and rank-based correlation coefficients, which are known to be robust, the recovery level of six chosen clustering algorithms is evaluated using Rand’s C values. The recovery levels using weighted likelihood estimate of correlation coefficient are obtained and compared to the results from using those correlation coefficients in applying agglomerative clustering algorithms. This work was supported by RIC(R) grants from Traditional and Bio-Medical Research Center, Daejeon University (RRC04713, 2005) by ITEP in Republic of Korea.  相似文献   
169.
Ghoudi, Khoudraji & Rivest [The Canadian Journal of Statistics 1998;26:187–197] showed how to test whether the dependence structure of a pair of continuous random variables is characterized by an extreme‐value copula. The test is based on a U‐statistic whose finite‐ and large‐sample variance are determined by the present authors. They propose estimates of this variance which they compare to the jackknife estimate of Ghoudi, Khoudraji & Rivest ( 1998 ) through simulations. They study the finite‐sample and asymptotic power of the test under various alternatives. They illustrate their approach using financial and geological data. The Canadian Journal of Statistics © 2009 Statistical Society of Canada  相似文献   
170.
A family of incomplete sufficient unbiased esti¬mators is constructed for an arbitrary power of the parameter in the problem of the Nile. The variance is derived in a closed form and compared numerically with the mean square error of the maximum likelihood es t ima tor  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