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91.
介绍 Box-Jenkins 的实用预测模型,并提出用随机模拟法模型的参数进行估计。与通常使用的最小二乘法相比,模拟法无需考虑初始值的选取,就能保证迭代过程的收敛性。整个程序的编制使用模块化结构,使预测者无需了解太多的这方面知识,就能方便地使用。在案例的预测过程中,只需进行几次人工干预,就能输出多种分析结果。  相似文献   
92.
For discrete distributions, the standard method of producing a two‐sided confidence interval generates an interval that is exact but conservative. This paper proposes a new algorithm to produce a short exact geometric confidence interval with proven properties, and compares the new interval with the standard interval.  相似文献   
93.
A late‐stage clinical development program typically contains multiple trials. Conventionally, the program's success or failure may not be known until the completion of all trials. Nowadays, interim analyses are often used to allow evaluation for early success and/or futility for each individual study by calculating conditional power, predictive power and other indexes. It presents a good opportunity for us to estimate the probability of program success (POPS) for the entire clinical development earlier. The sponsor may abandon the program early if the estimated POPS is very low and therefore permit resource savings and reallocation to other products. We provide a method to calculate probability of success (POS) at an individual study level and also POPS for clinical programs with multiple trials in binary outcomes. Methods for calculating variation and confidence measures of POS and POPS and timing for interim analysis will be discussed and evaluated through simulations. We also illustrate our approaches on historical data retrospectively from a completed clinical program for depression. Copyright © 2015 John Wiley & Sons, Ltd.  相似文献   
94.
For constructing simultaneous confidence intervals for ratios of means for lognormal distributions, two approaches using a two-step method of variance estimates recovery are proposed. The first approach proposes fiducial generalized confidence intervals (FGCIs) in the first step followed by the method of variance estimates recovery (MOVER) in the second step (FGCIs–MOVER). The second approach uses MOVER in the first and second steps (MOVER–MOVER). Performance of proposed approaches is compared with simultaneous fiducial generalized confidence intervals (SFGCIs). Monte Carlo simulation is used to evaluate the performance of these approaches in terms of coverage probability, average interval width, and time consumption.  相似文献   
95.
This article suggests Monte Carlo multiple test procedures which are provably valid in finite samples. These include combination methods originally proposed for independent statistics and further improvements which formalize statistical practice. We also adopt the Monte Carlo test method to noncontinuous combined statistics. The methods suggested are applied to test serial dependence and predictability. In particular, we introduce and analyze new procedures that account for endogenous lag selection. A simulation study illustrates the properties of the proposed methods. Results show that concrete and nonspurious power gains (over standard combination methods) can be achieved through the combined Monte Carlo test approach, and confirm arguments in favor of variance-ratio type criteria.  相似文献   
96.
汤福球 《云梦学刊》2004,25(4):102-103
后进生最缺乏的是自信心,转化后进生的关键是激发他们的自信心。激发后进生的自信心,应该对他们的点滴成绩加以肯定,对他们的困难予以尽力帮助,对他们的情感要仔细体验,对他们的缺点应该明确指出,对他们的人格更应该加以尊重。  相似文献   
97.
为了增强反腐信心,必须对腐败现象的产生与存在有一个正确的理性认识:我国现阶段出现的腐败现象与资本主义国家的腐败问题在性质上是有区别的;中国共产党领导的政权最大限度地遏制了腐败;随着改革的深化和制度的完善,腐败问题肯定会得到更有效的解决。  相似文献   
98.
Abstract.  We propose an easy to implement method for making small sample parametric inference about the root of an estimating equation expressible as a quadratic form in normal random variables. It is based on saddlepoint approximations to the distribution of the estimating equation whose unique root is a parameter's maximum likelihood estimator (MLE), while substituting conditional MLEs for the remaining (nuisance) parameters. Monotoncity of the estimating equation in its parameter argument enables us to relate these approximations to those for the estimator of interest. The proposed method is equivalent to a parametric bootstrap percentile approach where Monte Carlo simulation is replaced by saddlepoint approximation. It finds applications in many areas of statistics including, nonlinear regression, time series analysis, inference on ratios of regression parameters in linear models and calibration. We demonstrate the method in the context of some classical examples from nonlinear regression models and ratios of regression parameter problems. Simulation results for these show that the proposed method, apart from being generally easier to implement, yields confidence intervals with lengths and coverage probabilities that compare favourably with those obtained from several competing methods proposed in the literature over the past half-century.  相似文献   
99.
This paper utilizes the results of Kruskal (1968), Zyskind (1967), and more recently Milliken and Albohali (1984) to derive a simple necessary and sufficient condition for 3SLS to be equivalent to 2SLS. This condition depends upon the inverse of the variance:covariance matrix of the disturbances, and the set of second stage regressors of each structural equation. More importantly, this condition should prove useful for econometric students and provides an easy method for checking sufficiency.  相似文献   
100.
独树一帜的京剧艺术根植于博大精深的中华文化,且具有浓郁的京味特色,是亟须抢救、保护、继承的国宝国粹。当前的关键在于增强民族文化的自觉意识,建立民族文化自信,开掘京剧文化的现代价值,为优化人类文明提供精神营养,使之走向世界,走向明天。  相似文献   
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