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61.
This article discusses regression analysis of current status data, which occur in many fields including cross-sectional studies, demographical investigations, and tumorigenicity experiments (Keiding, 1991; Sun 2006). For the problem, we focus on the situation where the survival time of interest can be described by the additive hazards model and a multiple imputation approach is presented for inference. A major advantage of the approach is its simplicity and it can be easily implemented by using the existing software packages for right-censored failure time data. Extensive simulation studies are conducted and indicate that the approach performs well for practical situations and is comparable to the existing methods. The methodology is applied to a set of current status data arising from a tumorigenicity experiment and the model checking is discussed. 相似文献
62.
Dhafer Malouche 《统计学通讯:理论与方法》2013,42(9):1453-1464
The problem of selecting a graphical model is considered as a performing simultaneously multiple tests. The control of the overall Type I error on the selected graph is done using the so famous Holm's procedure. We prove that when we use a consistent edge exclusion test the selected graph is asymptotically equal to the true graph with probability at least equal to a fixed level 1 ? α. This method is then used for the selection of mixed concentration graph models by performing the χ2-edge exclusion test. We also apply the method to two classical examples and to simulated data. We compare the overall error of the selected model with the one obtained using the stepwise method. We establish that the control is better when we use the Holm's procedure. 相似文献
63.
This article develops a functional form of the generalized Poisson regression model that parametrically nests the Poisson and the two well known generalized Poisson regression models (GP-1 and GP-2). The proposed model is applied on the Malaysian motor insurance claim count data. 相似文献
64.
Sang-Ho Lee 《统计学通讯:理论与方法》2013,42(19):3492-3503
A new control scheme is proposed by borrowing the idea of the Benjamini–Hochberg procedure for controlling the false discovery rate in multiple testing. It is shown theoretically that the proposed 2-span control scheme outperforms the Shewhart X-bar chart in terms of the average run length under any size of mean shifts. Some simulations are carried out to demonstrate that the proposed scheme having various span sizes always outperforms the X-bar chart in terms of the average run lengths. 相似文献
65.
F. P. A. Coolen P. Coolen-Schrijner T. Coolen-Maturi F. F. Elkhafifi 《统计学通讯:理论与方法》2013,42(19):3478-3496
Nonparametric predictive inference (NPI) is a powerful frequentist statistical framework based only on an exchangeability assumption for future and past observations, made possible by the use of lower and upper probabilities. In this article, NPI is presented for ordinal data, which are categorical data with an ordering of the categories. The method uses a latent variable representation of the observations and categories on the real line. Lower and upper probabilities for events involving the next observation are presented, and briefly compared to NPI for non ordered categorical data. As application, the comparison of multiple groups of ordinal data is presented. 相似文献
66.
Li Wang 《统计学通讯:理论与方法》2013,42(14):3042-3055
Consider the multiple hypotheses testing problem controlling the generalized familywise error rate k-FWER, the probability of at least k false rejections. We propose a plug-in procedure based on the estimation of the number of true null hypotheses. Under the independence assumption of the p-values corresponding to the true null hypotheses, we first introduce the least favorable configuration (LFC) of k-FWER for Bonferroni-type plug-in procedure, then we construct a plug-in k-FWER-controlled procedure based on LFC. For dependent p-values, we establish the asymptotic k-FWER control under some mild conditions. Simulation studies suggest great improvement over generalized Bonferroni test and generalized Holm test. 相似文献
67.
S. Sengupta 《统计学通讯:理论与方法》2013,42(19):5745-5750
ABSTRACTLet P be the proportion of individuals in a finite population possessing a sensitive attribute. We consider the problem of unbiased estimation of (i) the variance of a linear unbiased estimator of P and (ii) the population variance P (1—P) for a given probability sampling design under Warner's (1965) randomized response (RR) plan when independent responses are obtained from each sampled individual as many times as he/she is selected in the sample and prove the admissibility of a quadratic unbiased estimator for each. 相似文献
68.
AbstractDominance analysis is a procedure for measuring the importance of predictors in multiple regression analysis. We show that dominance analysis can be enhanced using a dynamic programing approach for the rank-ordering of predictors. Using customer satisfaction data from a call center operation, we demonstrate how the integration of dominance analysis with dynamic programing can provide a better understanding of predictor importance. As a cautionary note, we recommend careful reflection on the relationship between predictor importance and variable subset selection. We observed that slight changes in the selected predictor subset can have an impact on the importance rankings produced by a dominance analysis. 相似文献
69.
《统计学通讯:理论与方法》2013,42(8):1665-1684
Abstract It is common to monitor several correlated quality characteristics using the Hotelling's T 2 statistic. However, T 2 confounds the location shift with scale shift and consequently it is often difficult to determine the factors responsible for out of control signal in terms of the process mean vector and/or process covariance matrix. In this paper, we propose a diagnostic procedure called ‘D-technique’ to detect the nature of shift. For this purpose, two sets of regression equations, each consisting of regression of a variable on the remaining variables, are used to characterize the ‘structure’ of the ‘in control’ process and that of ‘current’ process. To determine the sources responsible for an out of control state, it is shown that it is enough to compare these two structures using the dummy variable multiple regression equation. The proposed method is operationally simpler and computationally advantageous over existing diagnostic tools. The technique is illustrated with various examples. 相似文献
70.
《统计学通讯:理论与方法》2013,42(4):847-856
ABSTRACT The randomized response technique is an effective survey method designed to elicit sensitive information while ensuring the privacy of the respondents. In this article, we present some new results on the randomization response model in situations wherein one or two response variables are assumed to follow a multinomial distribution. For a single sensitive question, we use the well-known Hopkins randomization device to derive estimates, both under the assumption of truthful and untruthful responses, and present a technique for making pairwise comparisons. When there are two sensitive questions of interest, we derive a Pearson product moment correlation estimator based on the multinomial model assumption. This estimator may be used to quantify the linear relationship between two variables when multinomial response data are observed according to a randomized-response protocol. 相似文献