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   1679篇
  免费   94篇
管理学   79篇
民族学   5篇
人口学   39篇
丛书文集   30篇
理论方法论   102篇
综合类   172篇
社会学   91篇
统计学   1255篇
  2024年   1篇
  2023年   4篇
  2022年   4篇
  2021年   20篇
  2020年   16篇
  2019年   59篇
  2018年   66篇
  2017年   43篇
  2016年   54篇
  2015年   56篇
  2014年   76篇
  2013年   242篇
  2012年   74篇
  2011年   86篇
  2010年   63篇
  2009年   141篇
  2008年   113篇
  2007年   135篇
  2006年   21篇
  2005年   14篇
  2004年   17篇
  2003年   22篇
  2002年   9篇
  2001年   16篇
  2000年   18篇
  1999年   6篇
  1998年   9篇
  1997年   8篇
  1996年   14篇
  1995年   31篇
  1994年   21篇
  1993年   1篇
  1992年   1篇
  1988年   2篇
  1986年   2篇
  1985年   39篇
  1984年   54篇
  1983年   45篇
  1982年   46篇
  1981年   34篇
  1980年   26篇
  1979年   21篇
  1978年   38篇
  1977年   4篇
  1976年   1篇
排序方式: 共有1773条查询结果,搜索用时 15 毫秒
41.
For the model considered by Chaturvedi, Pandey and Gupta (1991), two classes of sequential procedures are developed to construct confidence regions (which may be interval, ellipsoidal or spherical) of ‘pre-assigned width and coverage probability’ for the parameters of interest and for the minimum risk point estimation (taking loss to be quadratic plus linear cost of sampling) of the nuisance parameter. Second-Order approximations are derived for the expected sample size, coverage probability and ‘regret’ associated with the two classes of sequential procedures. A simple and direct method of obtaining the asymptotic distribution of the stopping time is provided. By means of examples, it is illustrated that several estimation problems can be tackled with the help of proposed classes of sequential procedures.  相似文献   
42.
R. Van de Ven  N. C. Weber 《Statistics》2013,47(3-4):345-352
Upper and lower bounds are obtained for the mean of the negative binomial distribution. These bounds are simple functions of a percentile determined by the shape parameter. The result is then used to obtain a robust estimate of the mean when the shape parameter is known.  相似文献   
43.
44.
45.
In this paper, three competing survival function estimators are compared under the assumptions of the so-called Koziol– Green model, which is a simple model of informative random censoring. It is shown that the model specific estimators of Ebrahimi and Abdushukurov, Cheng, and Lin are asymptotically equivalent. Further, exact expressions for the (noncentral) moments of these estimators are given, and their biases are analytically compared with the bias of the familiar Kaplan–Meier estimator. Finally, MSE comparisons of the three estimators are given for some selected rates of censoring.  相似文献   
46.
The paper investigates random processes of geometrical objects in Euclidean spaces. General properties of the measure of total projections are derived by means of Palm distribution. Explicit formulas for variances of the projection measure are obtained for Poisson point processes of compact sets.

Intensity estimators of fibre (surface) processes are then studied by means of projection measures. Classification of direct and indirect probes is introduced. The indirect sampling design of vertical sections and projections is generalized and its statistical properties derived.  相似文献   
47.
The Cornish-Fisher expansion of the Pearson type VI distribution is known to be reasonably accurate when both degrees of freedom are relatively large (say greater than or equal to 5). However, when either or both degrees of freedom are less than 5, the accuracy of the computed percentage point begins to suffer; in some cases severely. To correct for this, the error surface in the degrees of freedom plane is modeled by least squares curve fitting for selected levels of tail probability (.025, .05, and .10) which can be used to adjust the percentage point obtained from the usual Cornish-Fisher expansion. This adjustment procedure produces a computing algorithm that computes percentage points of the Pearson type VI distribution at the above probability levels, accurate to at least + 1 in 3 digits in approximately 11 milliseconds per subroutine call on an IBM 370/145. This adjusted routine is valid for both degrees of freedom greater than or equal to 1.  相似文献   
48.
49.
This short article shows an unified approach to representing and computing the cumulative distribution function for noncentral t, F, and χ2. Unlike the existing algorithms, which involve different expansion and/or recurrence, the new approach consistently represents all the three noncentral cumulative distribution functions as the integral of the normal cumulative distribution function and χ2 density function.  相似文献   
50.
A three-parameter F approximation to the distribution of a positive linear combination of central chi-squared variables is described. It is about as easy to implement as the Satterthwaite-Welsh and Hall-Buckley-Eagleson approximations. Some reassuring properties of the F approximation are derived, and numerical results are presented. The numerical results indicate that the new approximation is superior to the Satterthwaite approximation and, for some purposes, better than the Hall-Buckley-Eagleson approximation. It is not quite as good as the Gamma-Weibull approximation due to Solomon and Stephens, but is easier to implement because iterative methods are not required.  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