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131.
132.
Linear estimation and prediction based on several samples of generalized order statistics from generalized Pareto distributions is considered. Representations of best linear unbiased estimators (BLUEs) and best linear equivariant estimators in location-scale families are derived, as well as corresponding optimal linear predictors. Moreover, we study positivity of the linear estimators of the scale parameter. An example illustrates that the BLUE may attain negative values with positive probability in certain situations.  相似文献   
133.
ABSTRACT

Pareto distributions and their close relatives and generalizations provide very flexible families of heavy-tailed distributions that may be used to model income distributions as well as a wide variety of other social and economic distributions. On the other hand, gamma distribution has a wide application in various social and economic spheres such as survival analysis, to model aggregate insurance claims, and the amount of rainfall accumulated in a reservoir etc. Combining the above two heavy-tailed distributions, using the technique by Alzaatreh et al. (2012 Alzaatreh, A., Famoye, F., Lee, C. (2012). Gamma-Pareto distribution and its applications. J. Modern Appl. Stat. Methods. 11:7894.[Crossref] [Google Scholar]), we define a new distribution, namely Gamma-Pareto (IV) distribution, hereafter called as GPD(IV) distribution. Various properties of the GPD(IV) are investigated such as limiting behavior, moments, mode, and Shannon entropy. Also some characterizations of the GPD(IV) distribution are mentioned in this paper. Maximum likelihood method is proposed for estimating the model parameters. For illustrative purposes, real data sets are considered as applications of the GPD(IV) distribution.  相似文献   
134.
ABSTRACT

The aim of this paper is obtaining the amount of information there exists in the Pareto distribution in the presence of outliers. For the sake of this purpose, Shannon entropy, ?-entropy, Fisher information, and Kullback–Leibler distance are computed. Furthermore, a section has been devoted to compare these quantities in these two cases of the Pareto distribution (with outliers and the homogenous case). At the end of this paper, two actual examples, which are related to insurance companies, are brought. A brief summary of which is done in this work is also reported.  相似文献   
135.
We develop an exact inference for the location and the scale parameters of the two-exponential distribution and the Pareto distribution based on their maximum-likelihood estimators from the doubly Type-II and the progressive Type-II censored sample. Based on some pivotal quantities, exact confidence intervals and tests of hypotheses are constructed. Exact distributions of the pivotal quantities are expressed as mixtures of linear combinations and of ratios of linear combinations of standard exponential random variables, which facilitates the computation of quantiles of these pivotal quantities. We also provide a bootstrap method for constructing a confidence interval. Some simulation studies are carried out to assess their performances. Using the exact distribution of the scale parameter, we establish an acceptance sampling procedure based on the lifetime of the unit. Some numerical results are tabulated for the illustration. One biometrical example is also given to illustrate the proposed methods.  相似文献   
136.
137.
ABSTRACT

In this article, we propose a new distribution by mixing normal and Pareto distributions, and the new distribution provides an unusual hazard function. We model the mean and the variance with covariates for heterogeneity. Estimation of the parameters is obtained by the Bayesian method using Markov Chain Monte Carlo (MCMC) algorithms. Proposal distribution in MCMC is proposed with a defined working variable related to the observations. Through the simulation, the method shows a dependable performance of the model. We demonstrate through establishing model under a real dataset that the proposed model and method can be more suitable than the previous report.  相似文献   
138.
139.
Consider two (n ? r + 1)-out-of-n systems, one with independent and non-identically distributed components and another with independent and identically distributed components. When the lifetimes of components follow the proportional hazard rates model, we establish a necessary and sufficient condition for the usual stochastic order to hold between the lifetimes of these two systems. For the special case of r = 2, some generalized forms of this result to the hazard rate, dispersive and likelihood ratio orders are also obtained. Moreover, for the case when the lifetimes of components follow the proportional reversed hazard rates model, we derive some similar results for comparing the lifetimes of two systems . Applications of the established results to different situations are finally illustrated.  相似文献   
140.
在我国医疗卫生资源并不充沛的现状下,为了解决“看病难”“看病贵”等问题,政府一直在积极探索医疗改革的方向。同时,随着人民生活水平的提高,影响病人就医选择的不仅有价格,也有医疗质量、就医体验等其他因素。此时,差异化定价——包括医事服务费的分层定价和差异化医保报销政策推动下的分级诊疗被认为是能够有效解决这些问题的渠道。通过考虑病人选择行为,研究我国分级诊疗背景下的差异化定价问题,分析分级诊疗下病人的转诊情况、病人收益、医院收益、政府支出。差异化定价可以有效影响病人到基层医院还是大医院就诊的选择,并且通过调整定价策略,政府可以探索出一条帕累托改进的路径——在各方收益都不受损的情况下,实现医疗资源的合理配置。  相似文献   
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