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991.
Copula-based regression models: A survey 总被引:1,自引:0,他引:1
In this review paper we collect several results about copula-based models, especially concerning regression models, by focusing on some insurance applications. 相似文献
992.
Robust tests for the common principal components model 总被引:1,自引:0,他引:1
Graciela Boente Ana M. Pires Isabel M. Rodrigues 《Journal of statistical planning and inference》2009
When dealing with several populations, the common principal components (CPC) model assumes equal principal axes but different variances along them. In this paper, a robust log-likelihood ratio statistic allowing to test the null hypothesis of a CPC model versus no restrictions on the scatter matrices is introduced. The proposal plugs into the classical log-likelihood ratio statistic robust scatter estimators. Using the same idea, a robust log-likelihood ratio and a robust Wald-type statistic for testing proportionality against a CPC model are considered. Their asymptotic distributions under the null hypothesis and their partial influence functions are derived. A small simulation study allows to compare the behavior of the classical and robust tests, under normal and contaminated data. 相似文献
993.
In response surface methodology, one is usually interested in estimating the optimal conditions based on a small number of experimental runs which are designed to optimally sample the experimental space. Typically, regression models are constructed from the experimental data and interrogated in order to provide a point estimate of the independent variable settings predicted to optimize the response. Unfortunately, these point estimates are rarely accompanied with uncertainty intervals. Though classical frequentist confidence intervals can be constructed for unconstrained quadratic models, higher order, constrained or nonlinear models are often encountered in practice. Existing techniques for constructing uncertainty estimates in such situations have not been implemented widely, due in part to the need to set adjustable parameters or because of limited or difficult applicability to constrained or nonlinear problems. To address these limitations a Bayesian method of determining credible intervals for response surface optima was developed. The approach shows good coverage probabilities on two test problems, is straightforward to implement and is readily applicable to the kind of constrained and/or nonlinear problems that frequently appear in practice. 相似文献
994.
D. James Greiner Kevin M. Quinn 《Journal of the Royal Statistical Society. Series A, (Statistics in Society)》2009,172(1):67-81
Summary. Despite its potential pitfalls, ecological inference is an unavoidable part of some quantitative settings, including US voting rights litigation. In such applications, the analyst will typically encounter two-way tables with more than two rows and columns. Although several ecological inference methods are currently available for 2×2 tables, there are fewer options for analysing general R × C tables, and virtually none that model counts as opposed to fractions. We propose a count R × C method that respects the bounds deterministically, that allows for complex relationships between internal cell quantities, that is easily extensible and that results from transparent assumptions. We study the method via simulation, and then apply it to an example that is drawn from the state of Texas relevant to recent redistricting litigation there. 相似文献
995.
Terence C. Mills 《Journal of the Royal Statistical Society. Series A, (Statistics in Society)》2009,172(1):107-117
Summary. Forecasts of trends in obesity in England for 2010 are produced by treating the available data, which contain the proportions of the population, categorized by age and sex, falling into different body mass index ranges, as compositional data sets, so that the implicit simplex restrictions are automatically satisfied. Forecasts are calculated by using linear trend models for the log-ratio transformations and are accompanied by prediction regions. The advantages of treating data on proportions compositionally are emphasized and compared with forecasts that have been obtained by ignoring this restriction. 相似文献
996.
Using relative utility curves to evaluate risk prediction 总被引:2,自引:0,他引:2
Stuart G. Baker Nancy R. Cook rew Vickers Barnett S. Kramer 《Journal of the Royal Statistical Society. Series A, (Statistics in Society)》2009,172(4):729-748
Summary. Because many medical decisions are based on risk prediction models that are constructed from medical history and results of tests, the evaluation of these prediction models is important. This paper makes five contributions to this evaluation: the relative utility curve which gauges the potential for better prediction in terms of utilities, without the need for a reference level for one utility, while providing a sensitivity analysis for misspecification of utilities, the relevant region, which is the set of values of prediction performance that are consistent with the recommended treatment status in the absence of prediction, the test threshold, which is the minimum number of tests that would be traded for a true positive prediction in order for the expected utility to be non-negative, the evaluation of two-stage predictions that reduce test costs and connections between various measures of performance of prediction. An application involving the risk of cardiovascular disease is discussed. 相似文献
997.
Nuoo-Ting Molitor Nicky Best Chris Jackson Sylvia Richardson 《Journal of the Royal Statistical Society. Series A, (Statistics in Society)》2009,172(3):615-637
Summary. Data in the social, behavioural and health sciences frequently come from observational studies instead of controlled experiments. In addition to random errors, observational data typically contain additional sources of uncertainty such as missing values, unmeasured confounders and selection biases. Also, the research question is often different from that which a particular source of data was designed to answer, and so not all relevant variables are measured. As a result, multiple sources of data are often necessary to identify the biases and to inform about different aspects of the research question. Bayesian graphical models provide a coherent way to connect a series of local submodels, based on different data sets, into a global unified analysis. We present a unified modelling framework that will account for multiple biases simultaneously and give more accurate parameter estimates than standard approaches. We illustrate our approach by analysing data from a study of water disinfection by-products and adverse birth outcomes in the UK. 相似文献
998.
本文运用多变量动态模型系统下的Beveridge-Nelson分解方法和贝叶斯Gibbs抽样估计,估算了1985年1季度至2008年2季度期间中国的产出缺口,并且与传统的单变量估计方法测算的结果在统计属性和对货币政策调节的预测效果方面进行了比较。实证结果表明,不同产出缺口的统计属性存在差别,并且只有基于多变量系统测算的产出缺口对货币政策具有显著预测效果。这说明多变量模型估计出的产出缺口更全面地考虑了经济产出与其他相关变量的互动效应,含有的信息更为丰富,从而对宏观政策调整具有更重要的参考价值。 相似文献
999.
青岛地区农民生活消费特征及影响因素分析 总被引:1,自引:0,他引:1
修彩波 《青岛农业大学学报(社会科学版)》2008,20(4):37-42
改革开放以来,青岛地区农民的物质和精神文化消费观念变化显著,交通信息费增长迅速,医疗保健支出增加及突出性消费显著。农民收入增长缓慢,消费环境不健全,社会保障体系不完善是影响农民生活消费特征变化的主要因素,要进一步引导农民科学消费可从切实增加农民收入,完善社会保障体系,加强农村文化建设等几个方面着手。 相似文献
1000.