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   16096篇
  免费   559篇
  国内免费   212篇
管理学   1877篇
劳动科学   2篇
民族学   62篇
人才学   3篇
人口学   316篇
丛书文集   777篇
理论方法论   356篇
综合类   7477篇
社会学   528篇
统计学   5469篇
  2024年   20篇
  2023年   127篇
  2022年   220篇
  2021年   245篇
  2020年   364篇
  2019年   468篇
  2018年   534篇
  2017年   671篇
  2016年   549篇
  2015年   560篇
  2014年   895篇
  2013年   2179篇
  2012年   1176篇
  2011年   1027篇
  2010年   845篇
  2009年   836篇
  2008年   916篇
  2007年   882篇
  2006年   811篇
  2005年   686篇
  2004年   565篇
  2003年   482篇
  2002年   419篇
  2001年   363篇
  2000年   231篇
  1999年   177篇
  1998年   98篇
  1997年   99篇
  1996年   73篇
  1995年   63篇
  1994年   45篇
  1993年   39篇
  1992年   38篇
  1991年   41篇
  1990年   24篇
  1989年   18篇
  1988年   16篇
  1987年   10篇
  1986年   8篇
  1985年   14篇
  1984年   9篇
  1983年   9篇
  1982年   5篇
  1981年   1篇
  1980年   1篇
  1979年   4篇
  1978年   2篇
  1977年   1篇
  1975年   1篇
排序方式: 共有10000条查询结果,搜索用时 0 毫秒
981.
The close relationship between quality and maintenance of manufacturing systems has contributed to the development of integrated models which use the concept of statistical process control (SPC) and maintenance. This article demonstrates the integration of the Shewhart individual-residual (ZX ? Ze) joint control chart and maintenance for two-stage dependent processes by jointly optimizing their policies to minimize the expected total costs associated with quality, maintenance and inspection. To evaluate the effectiveness of the proposed model, two stand-alone models—a maintenance model and an SPC model—are proposed. Then a numerical example is given to illustrate the application of the proposed integrated model. The results show that the integrated model outperforms the two stand-alone models with regard to the expected cost per unit time. Finally, a sensitivity analysis is conducted to develop insights into time parameters and cost parameters that influence the integration efforts.  相似文献   
982.
In modeling disease transmission, contacts are assumed to have different infection rates. A proper simulation must model the heterogeneity in the transmission rates. In this article, we present a computationally efficient algorithm that can be applied to a population with heterogeneous transmission rates. We conducted a simulation study to show that the algorithm is more efficient than other algorithms for sampling the disease transmission in a subset of the heterogeneous population. We use a valid stochastic model of pandemic influenza to illustrate the algorithm and to estimate the overall infection attack rates of influenza A (H1N1) in a Canadian city.  相似文献   
983.
This paper evaluates the ability of a Markov regime-switching log-normal (RSLN) model to capture the time-varying features of stock return and volatility. The model displays a better ability to depict a fat tail distribution as compared with using a log-normal model, which means that the RSLN model can describe observed market behavior better. Our major objective is to explore the capability of the model to capture stock market behavior over time. By analyzing the behavior of calibrated regime-switching parameters over different lengths of time intervals, the change-point concept is introduced and an algorithm is proposed for identifying the change-points in the series corresponding to the times when there are changes in parameter estimates. This algorithm for identifying change-points is tested on the Standard and Poor's 500 monthly index data from 1971 to 2008, and the Nikkei 225 monthly index data from 1984 to 2008. It is evident that the change-points we identify match the big events observed in the US stock market and the Japan stock market (e.g., the October 1987 stock market crash), and that the segmentations of stock index series, which are defined as the periods between change-points, match the observed bear–bull market phases.  相似文献   
984.
Recent analyses seeking to explain variation in area health outcomes often consider the impact on them of latent measures (i.e. unobserved constructs) of population health risk. The latter are typically obtained by forms of multivariate analysis, with a small set of latent constructs derived from a collection of observed indicators, and a few recent area studies take such constructs to be spatially structured rather than independent over areas. A confirmatory approach is often applicable to the model linking indicators to constructs, based on substantive knowledge of relevant risks for particular diseases or outcomes. In this paper, population constructs relevant to a particular set of health outcomes are derived using an integrated model containing all the manifest variables, namely health outcome variables, as well as indicator variables underlying the latent constructs. A further feature of the approach is the use of variable selection techniques to select significant loadings and factors (especially in terms of effects of constructs on health outcomes), so ensuring parsimonious models are selected. A case study considers suicide mortality and self-harm contrasts in the East of England in relation to three latent constructs: deprivation, fragmentation and urbanicity.  相似文献   
985.
We analyze the probability of a random distribution of n balls into m urns of size b resulting in no overflows. This solves the computational problem associated with a classical combinatorial extreme-value distribution. The problem arose during the analysis of a technique, called perfect hashing, for organizing data in computer files. The results and techniques presented can be used to solve several problems in the analysis of hashing techniques  相似文献   
986.
987.
In comparison of treatments using homogeneous experimental units, it is shown that a design is Schur optimal when treatment replications are as equal as possible.  相似文献   
988.
The problem of testing suspected outliers from a linear model with constant intraclass correlation is considered from a Bayesian viewpoint. The main objective of this paper is to develop an outlier test procedure based on the predictive distribution of suspected outlier observations given a set of existing inlier observations. The test procedure is easily performed with the usual F and t distributions.  相似文献   
989.
In the real world situations, many time series are aggregates of two or more time series. An aggregation may take place due to an addition or the product or both of two or more time series. We are often interested in the study of the properties of aggregates which are, in turn, dependent on the properties of the constituent series. Motivated by this problem, the authors study in this paper the properties of models generated by the operator (Σ+II) on autoregressive-moving-average (ARMA) processes of orders (pi,qi), i = l→n . A few practical examples where such models have been used are given in the introduction and an illustrative numerical example is discussed at the end of the paper.  相似文献   
990.
This paper gives necessary and sufficient conditions for a mixed regression estimator to be superior to another mixed estimator. The comparisons are based on the mean square error matrices of the estimators. Both estimators are allowed to be biased.  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