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41.
This paper applies stratified random sampling using Neyman allocation to Mangat et al. (1992) unrelated question randomized response (RR) strategy for both completely truthful reporting and less than completely truthful reporting. It is shown that, for the prior information given, our new model is more efficient in terms of variance (in the case of completely truthful reporting) and mean square error (in terms of less than completely truthful reporting) than Kim and Elam's (2007) model. Numerical illustrations and graphs are also given in support of the present study. 相似文献
42.
In this work, we derive the copulas related to vectors obtained from the so-called chaotic stochastic processes. These are defined by the iteration of certain piecewise monotone functions of the interval [0, 1] to some initial random variable. We study some of its properties and present some examples. Since often these types of copulas do not have closed formulas, we provide a general approximation method which converges uniformly to the true copula. Our results cover a wide class of processes, including the so-called Manneville–Pomeau processes. The general theory is applied to the parametric estimation in certain chaotic processes. A Monte Carlo simulation study is also presented. 相似文献
43.
The crux of this article is to estimate the mean of the number of persons possessing a rare sensitive attribute based on the Mangat (1991) randomization device by utilizing the Poisson distribution in simple random sampling and stratified sampling. Properties of the proposed randomized response (RR) model have been studied along with recommendations. It is also shown that the proposed model is more efficient than that of Land et al. (2011) in simple random sampling and that of Lee et al. (2013) in stratified random sampling when the proportion of persons possessing a rare unrelated attribute is known. Numerical illustrations are also given in support of the present study. 相似文献
44.
Liwen Xu 《统计学通讯:理论与方法》2017,46(7):3308-3320
This paper presents parametric bootstrap (PB) approaches for hypothesis testing and interval estimation of the fixed effects and the variance component in the growth curve models with intraclass correlation structure. The PB pivot variables are proposed based on the sufficient statistics of the parameters. Some simulation results are presented to compare the performance of the proposed approaches with the generalized inferences. Our studies show that the PB approaches perform satisfactorily for various cell sizes and parameter configurations, and tends to outperform the generalized inferences with respect to the coverage probabilities and powers. The PB approaches not only have almost exact coverage probabilities and Type I error rates, but also have the shorter expected lengths and the higher powers. Furthermore, the PB procedure can be simply carried out by a few simulation steps. Finally, the proposed approaches are illustrated by using a real data example. 相似文献
45.
作为一种社会现象和社会存在,非主流文化深刻影响了大学生尤其是90后大学生日常生活的方方面面。非主流大学生在话语特征、思想观念和行为方式方面有独特的符号系统;非主流文化反映了后现代个体强烈的从众心理、逆反心理、娱乐心理、抗争心理和渴望展现自我的心理;非主流现象的盛行启示青年研究工作应转变范式,青年教育工作应更新理念,文化建设应兼容并蓄;对待非主流现象,应顺其自然,让时间和历史来检验非主流文化存在的价值与意义。 相似文献
46.
The problem of determining ridge estimates of the regression parameters in a two-input production function model,constrained to be non-negative,has been formulated as an exercise in quadratic programming. Relevant Kuhn-Tucker conditions have been derived and a small simulation studv has been carried out. 相似文献
47.
This department includes the two sections New Developments in Statistical Computing and Statistical Computing Software Reviews; suitable contents for each of these sections are described under the respective section heading. Articles submitted for the department, outside the two sections, should not be highly technical and should be relevant to the teaching or practice of statistical computing. An unbiased estimator of e is used to motivate a simple simulation exercise that requires only observations from the distribution uniform on (0, 1). Antithetic variables are introduced and applied to the simulation problem to give a second unbiased estimator of e with reduced variance. 相似文献
48.
《统计学通讯:理论与方法》2013,42(10):1969-1988
We propose an iterative method of estimation for discrete missing data problems that is conceptually different from the Expectation–Maximization (EM) algorithm and that does not in general yield the observed data maximum likelihood estimate (MLE). The proposed approach is based conceptually upon weighting the set of possible complete-data MLEs. Its implementation avoids the expectation step of EM, which can sometimes be problematic. In the simple case of Bernoulli trials missing completely at random, the iterations of the proposed algorithm are equivalent to the EM iterations. For a familiar genetics-oriented multinomial problem with missing count data and for the motivating example with epidemiologic applications that involves a mixture of a left censored normal distribution with a point mass at zero, we investigate the finite sample performance of the proposed estimator and find it to be competitive with that of the MLE. We give some intuitive justification for the method, and we explore an interesting connection between our algorithm and multiple imputation in order to suggest an approach for estimating standard errors. 相似文献
49.
One way to cope with high-dimensional data even in small samples is the use of pairwise distance measures—such as the Euclidean distance—between the sample vectors. This is usually done with permutation tests. Here we propose the application of exact parametric rotation tests which are no longer restricted by the finite number of possible permutations of a sample. The method is presented in the framework of the general linear model. 相似文献
50.