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111.
This article proposes a simulation-based density estimation technique for time series that exploits information found in covariate data. The method can be paired with a large range of parametric models used in time series estimation. We derive asymptotic properties of the estimator and illustrate attractive finite sample properties for a range of well-known econometric and financial applications. 相似文献
112.
Although people normally prefer a more certain option over a riskier option of equal expected value, sometimes they are tempted to choose the riskier, but more rewarding one. Such temptation is even stronger when people decide for the distant future as compared with the near future. In Experiments 1 and 2 we showed that increasing temporal distance makes people more likely to choose a high risk $-bet (€400, 0.02;0) over a low risk p-bet (€14, 0.60;0). Furthermore, the risk aversion shift increased proportionally to the time delay and persisted even for long delays (6 months). In Experiment 3, we showed that this temporal effect is associated with a decrease in positive feelings towards the p-bet, and with a decrease in the positive evaluation of the high-probability (60%) of the p-bet, but not with an increase of the positive evaluation of the high-payoff (400 euro) of the p-bet. In Experiment 4, we showed that increasing the salience of the probability feature tended to decrease the temporal effect, while increasing the salience of the prize did not vary the strength of the effect. Results are in line with an affect-based explanation of the temporal effect. 相似文献
113.
The generalized Pareto distribution (GPD) has been widely used in the extreme value framework. The success of the GPD when applied to real data sets depends substantially on the parameter estimation process. Several methods exist in the literature for estimating the GPD parameters. Mostly, the estimation is performed by maximum likelihood (ML). Alternatively, the probability weighted moments (PWM) and the method of moments (MOM) are often used, especially when the sample sizes are small. Although these three approaches are the most common and quite useful in many situations, their extensive use is also due to the lack of knowledge about other estimation methods. Actually, many other methods, besides the ones mentioned above, exist in the extreme value and hydrological literatures and as such are not widely known to practitioners in other areas. This paper is the first one of two papers that aim to fill in this gap. We shall extensively review some of the methods used for estimating the GPD parameters, focusing on those that can be applied in practical situations in a quite simple and straightforward manner. 相似文献
114.
Estimation of the basic reproduction number for infectious diseases from age-stratified serological survey data 总被引:1,自引:0,他引:1
C. P. Farrington M. N. Kanaan & N. J. Gay 《Journal of the Royal Statistical Society. Series C, Applied statistics》2001,50(3):251-292
The basic reproduction number of an infection, R 0 , is the average number of secondary infections generated by a single typical infective individual in a totally susceptible population. It is directly related to the effort required to eliminate infection. We consider statistical methods for estimating R 0 from age-stratified serological survey data. The main difficulty is indeterminacy, since the contacts between individuals of different ages are not observed. We show that, given an estimate of the average age-specific hazard of infection, a particular leading left eigenfunction is required to specify R 0 . We review existing methods of estimation in the light of this indeterminacy. We suggest using data from several infections transmitted via the same route, and we propose that the choice of model be guided by a criterion based on similarity of their contact functions. This approach also allows model uncertainty to be taken into account. If one infection induces no lasting immunity, we show that the only additional assumption required to estimate R 0 is that the contact function is symmetric. When matched data on two or more infections transmitted by the same route are available, the methods may be extended to incorporate the effect of individual heterogeneity. The approach can also be applied in partially vaccinated populations and to populations comprising loosely linked communities. The methods are illustrated with data on hepatitis A, mumps, rubella, parvovirus, Haemophilus influenzae type b and measles infection. 相似文献
115.
We compare the selection procedure of Levin and Robbins [1981. Selecting the highest probability in binomial or multinomial trials. Proc. Nat. Acad. Sci. USA 78, 4663–4666.] with the procedure of Paulson [1994. Sequential procedures for selecting the best one of k Koopman–Darmois populations. Sequential Analysis 13, 207–220.] to identify the best of several binomial populations with sequential elimination of unlikely candidates. We point out situations in which the Levin–Robbins procedure dominates the Paulson procedure in terms of the duration of the experiment, the expected total number of observations, and the expected number of failures. Because the Levin–Robbins procedure is also easier to implement than Paulson's procedure and gives a tighter guarantee for the probability of correct selection, we conclude that it holds a competitive edge over Paulson's procedure. 相似文献
116.
本文以残疾人福利实践逻辑为视角,试图通过探究社会支持与权能感之间的关系,达致透视福利行为效能之目标。实证分析的结果表明,虽然以公民权利为核心理念的残疾人福利制度体系基本建构起来,但残联福利实践的传统色彩还比较浓厚,残疾人福利的制度逻辑与实践逻辑之间的裂痕有待弥合。 相似文献
117.
文章研究了半参数变系数EV模型在线性约束条件下的估计和检验问题,当响应变量缺失、非参数部分协变量带有测量误差时,利用局部纠偏的Profile最小二乘估计、Lagrange乘子方法和借补技术构造了回归模型参数分量两类纠偏约束估计量。此外,为了检验线性约束条件,构造了借补的Profile Lagrange乘子检验统计量,并通过蒙特卡洛数值模拟验证估计量和检验统计量的有效性。 相似文献
118.
Rishideep Roy 《统计学通讯:理论与方法》2014,43(14):2859-2869
The lack of memory property is a characterizing property of the exponential distribution in the continuous domain. In the bivariate setup different generalizations of the same are available in terms of survival function. We extend this lack of memory property in terms of bivariate probability density function and examine its characterization properties. In this process the density version of the lack of memory property can be interlinked with conditionally specified exponential distribution, bivariate reciprocal coordinate subtangent of the density curve and a few other derived measures. 相似文献
119.
This paper is concerned with model selection and model averaging procedures for partially linear single-index models. The profile least squares procedure is employed to estimate regression coefficients for the full model and submodels. We show that the estimators for submodels are asymptotically normal. Based on the asymptotic distribution of the estimators, we derive the focused information criterion (FIC), formulate the frequentist model average (FMA) estimators and construct proper confidence intervals for FMA estimators and FIC estimator, a special case of FMA estimators. Monte Carlo studies are performed to demonstrate the superiority of the proposed method over the full model, and over models chosen by AIC or BIC in terms of coverage probability and mean squared error. Our approach is further applied to real data from a male fertility study to explore potential factors related to sperm concentration and estimate the relationship between sperm concentration and monobutyl phthalate. 相似文献
120.
The most popular multivariate control chart for monitoring the mean of a distribution is probably the Hotelling T2 rule. Unfortunately, this rule relies on the assumption that the distribution under control is Gaussian, which is rarely true in practice. The objective of this paper is to propose a new approach for the non-normal multivariate case. It consists in the construction of a tolerance region obtained from a density level set estimation. The method follows a “plug-in” approach in which the density of the observations is previously estimated. This estimation is conducted using copulas modeling, an increasingly popular tool in multivariate modeling. 相似文献