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991.
The standard approach to construct nonparametric tolerance intervals is to use the appropriate order statistics, provided a minimum sample size requirement is met. However, it is well-known that this traditional approach is conservative with respect to the nominal level. One way to improve the coverage probabilities is to use interpolation. However, the extension to the case of two-sided tolerance intervals, as well as for the case when the minimum sample size requirement is not met, have not been studied. In this paper, an approach using linear interpolation is proposed for improving coverage probabilities for the two-sided setting. In the case when the minimum sample size requirement is not met, coverage probabilities are shown to improve by using linear extrapolation. A discussion about the effect on coverage probabilities and expected lengths when transforming the data is also presented. The applicability of this approach is demonstrated using three real data sets.  相似文献   
992.
A new procedure of shift parameter estimation in the two-sample location problem is investigated and compared with existing estimators. The proposed procedure smooths the empirical distribution functions of each random sample and replaces empirical distribution functions in the two-sample Kolmogorov–Smirnov method. The smoothed Kolmogorov–Smirnov is minimized with respect to an arbitrary shift variable in order to find an estimate of the shift parameter. The proposed procedure can be considered the smoothed version of a very little known method of shift parameter estimation from Rao-Schuster-Littell (RSL) [Rao et al., Estimation of shift and center of symmetry based on Kolmogorov–Smirnov statistics, Ann. Stat. 3(4) (1975), pp. 862–873]. Their estimator will be discussed and compared with the proposed estimator in this paper. An example and simulation studies have been performed to compare the proposed procedure with existing shift parameter estimators such as Hodges–Lehmann (H–L) and least squares in addition to RSL's estimator. The results show that the proposed estimator has lower mean-squared error as well as higher relative efficiency against RSL's estimator under normal or contaminated normal model assumptions. Moreover, the proposed estimator performs competitively against H–L and least-squares shift estimators. Smoother function and bandwidth selections are also discussed and several alternatives are proposed in the study.  相似文献   
993.
Count data with excess zeros arises in many contexts. Here our concern is to develop a Bayesian analysis for the zero-inflated generalized Poisson (ZIGP) regression model to address this problem. This model provides a useful generalization of zero-inflated Poisson model since the generalized Poisson distribution is overdispersed/underdispersed relative to Poisson. Due to the complexity of the ZIGP model, Markov chain Monte Carlo methods are used to develop a Bayesian procedure for the considered model. Additionally, some discussions on the model selection criteria are presented and a Bayesian case deletion influence diagnostics is investigated for the joint posterior distribution based on the Kullback–Leibler divergence. Finally, a simulation study and a psychological example are given to illustrate our methodology.  相似文献   
994.
We investigate marked non-homogeneous Poisson processes using finite mixtures of bivariate normal components to model the spatial intensity function. We employ a Bayesian hierarchical framework for estimation of the parameters in the model, and propose an approach for including covariate information in this context. The methodology is exemplified through an application involving modeling of and inference for tornado occurrences.  相似文献   
995.
Authentic leadership (AL) and positive organizational behavior (POB) are two important emerging approaches in the organizational sciences. To date, published work on AL and POB has been primarily leader-focused and based on individual differences. In this article, after verifying this individual-level focus via content coding of AL articles, AL and POB are explicated and integrated using a meso, multi-level perspective. Essentially, viewed in terms of multiple levels of analysis, AL promotes various multi-level “primary” criteria and outcomes of POB that, in turn, enhances various multi-level “secondary” criteria and outcomes of performance. Direct effects of AL on performance at multiple levels of analysis also are plausible. Implications for future meso perspectives on leadership theory and research in general and on AL and POB in particular are discussed.  相似文献   
996.
企业经营策划中竞争对手的识别策略分析   总被引:1,自引:0,他引:1  
竞争对手分析是企业确定竞争策略的基本前提,要分析竞争对手首先就要准确识别竞争对手.本文从确定识别竞争对手的标准入手,以品牌转换分析、产品市场矩阵图、策略团体分析和竞争层次分析等四种方法详细说明企业应如何准确辨识竞争对手.  相似文献   
997.
In this article a class of restricted minimum bias linear estimators of the vector of unknown regression coefficients when multicollinearity among the columns of the design matrix exists, is obtained. The ordinary ridge regression, principal components and shrinkage estimators are members of this class. Moreover, our ap-proach can be used to improve, in some sense, certain classes of generalized ridge and shrinkage estimators of the vector of un-known parameters in linear models.  相似文献   
998.
Fujikoshi (1982) obtained the necessary and sufficient conditions for the increased number of variables in the two sets of vectors not affecting the original nonzero canonical correlations and used these to obtain the likelihood ratio test procedure. He assumed a nonsingular covariance matrix due to random variables. Here, we study the same problem when the covariance matrix is singular and establish some further results. In this study, we note that the unit canonical correlations have to be separated in some of the situations. These results are valid for complex random vector variables and in some situations, the test for redundancy is given for complex random variables.  相似文献   
999.
Test statistics are developed for comparing vectors of proportions obtained from several independent two–stage cluster samples. It is assumed that clusters are selected with probability proportional to size for each sample. Wald's general method of constructing quadratic forms is used to obtain a large sample chi–square test. More easily evaluted chi–square tests are derived from the Dirichlet–multinnomial model. Corresponding goodness–of–fit test for the Dirichlet–multinomial model are also derived.  相似文献   
1000.
Some new algebra on pattern and transition matrices is used to determine the degrees of freedom and the parameter matrix, if the distribution of a linear sum of Wishart matrices is approximated by a single Wishart distribution. This approximation is then used to find a solution to the multivariate Behrens-Fisher problem similar to the Welch (1947) solution in the univariate case.  相似文献   
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