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11.
金融风险度量VaR与CVaR方法的比较研究及应用   总被引:1,自引:0,他引:1  
风险价值(VaR)是近年来受到国际金融界的广泛支持和认可的一种度量金融风险的工具。文章指出了风险价值(VaR)模型两个重大的缺陷,并对它和条件风险价值(CVaR)金融风险度量模型进行了详细的介绍和对比分析,给出了它们的共同点和CVaR在投资组合应用中的优势,结合中国金融市场的实际情况,指出CvaR在中国金融市场中应用应注意的问题,对其应用前景提出了新的思路。  相似文献   
12.
In 1997 intense media coverage raised public concerns about germ warfare simulation experiments conducted by the Ministry of Defence during the 1960s, which included the release of bacteria over Dorset. Families in East Lulworth, Dorset, have linked this with allegedly high rates of miscarriages, still-births, congenital malformations, learning and other neurodevelopmental disabilities in their village. The response of the Dorset Health Authority (DHA) included the examination of background information from the Ministry of Defence, national data on congenital malformations in Dorset, health information collected by campaigners and a systematic health survey conducted by the DHA among former and current residents of East Lulworth. The investigation did not confirm the presence of a cluster. It is debatable whether the DHA should have proceeded with their survey when none of the other more immediately available results indicated the presence of a cluster.  相似文献   
13.
Two independent random samples are drawn from two multivariate normal populations with mean vectors μ1 and μ2 and a common variance-covariance matrix Σ. Ahmed and Saleh (1990) considered preliminary test maximum likelihood estimator (PMLTE) for estimating μ1 based on the Hotelling's T N 2, when it is suspected that μ1=μ2. In this paper, the PTMLE based on the Wald (W), Likelihood Ratio (LR) and Lagrangian Multiplier (LM) tests are considered. Using the quadratic risk function, the conditions of superiority of the proposed estimator for departure parameter are derived. A max-min rule for the size of the preliminary test of significance is presented. It is demonstrated that the PTMLE based on W test produces the highest minimum guaranteed efficiencies compared to UMLE among the three test procedures.  相似文献   
14.
本文首先介绍了项目信息管理软件在国内外的开发及应用情况。在分析国情的基础上提出了综合性项目信息系统的构成。讨论了一个在AM1092超级微机上完成的项目信息管理软件包PMIS2的构成和功能。对支持PMIS2的小型关系数据库REDBALex进行了分析。最后提供了几点在微机系统上开发信息系统软件的经验。  相似文献   
15.
Summary. We measure trust and trustworthiness in British society with a newly designed experiment using real monetary rewards and a sample of the British population. The study also asks the typical survey question that aims to measure trust, showing that it does not predict 'trust' as measured in the experiment. Overall, about 40% of people were willing to trust a stranger in our experiment, and their trust was rewarded half of the time. Analysis of variation in the trust behaviour in our survey suggests that trusting is more likely if people are older, their financial situation is either 'comfortable' or 'difficult' compared with 'doing alright' or 'just getting by', they are a homeowner or they are divorced, separated or never married compared with those who are married or cohabiting. Trustworthiness also is more likely among subjects who are divorced or separated relative to those who are married or cohabiting, and less likely among subjects who perceive their financial situation as 'just getting by' or 'difficult'. We also analyse the effect of attitudes towards risks on trust.  相似文献   
16.
We consider in this paper the regularization by projection of a linear inverse problem Y=Af+εξY=Af+εξ where ξξ denotes a Gaussian white noise, A   a compact operator and ε>0ε>0 a noise level. Compared to the standard unbiased risk estimation (URE) method, the risk hull minimization (RHM) procedure presents a very interesting numerical behavior. However, the regularization in the singular value decomposition setting requires the knowledge of the eigenvalues of AA. Here, we deal with noisy eigenvalues: only observations on this sequence are available. We study the efficiency of the RHM method in this situation. More generally, we shed light on some properties usually related to the regularization with a noisy operator.  相似文献   
17.
The most popular approach in extreme value statistics is the modelling of threshold exceedances using the asymptotically motivated generalised Pareto distribution. This approach involves the selection of a high threshold above which the model fits the data well. Sometimes, few observations of a measurement process might be recorded in applications and so selecting a high quantile of the sample as the threshold leads to almost no exceedances. In this paper we propose extensions of the generalised Pareto distribution that incorporate an additional shape parameter while keeping the tail behaviour unaffected. The inclusion of this parameter offers additional structure for the main body of the distribution, improves the stability of the modified scale, tail index and return level estimates to threshold choice and allows a lower threshold to be selected. We illustrate the benefits of the proposed models with a simulation study and two case studies.  相似文献   
18.
The partial attributable risk (PAR) has been introduced as a tool for partitioning the responsibility for causing an adverse event between various risk factors. It has arisen from epidemiology, but it is also a valid general risk allocation concept, which can, for example, be applied to data from customer satisfaction surveys. So far, a variance formula for the PAR has been missing so that the confidence intervals were not directly available. This paper provides the asymptotic normal distribution for the PAR determined from a cross-sectional study.  相似文献   
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20.
This article develops a new cumulative sum statistic to identify aberrant behavior in a sequentially administered multiple-choice standardized examination. The examination responses can be described as finite Poisson trials, and the statistic can be used for other applications which fit this framework. The standardized examination setting uses a maximum likelihood estimate of examinee ability and an item response theory model. Aberrant and non aberrant probabilities are computed by an odds ratio analogous to risk adjusted CUSUM schemes. The significance level of a hypothesis test, where the null hypothesis is non-aberrant examinee behavior, is computed with Markov chains. A smoothing process is used to spread probabilities across the Markov states. The practicality of the approach to detect aberrant examinee behavior is demonstrated with results from both simulated and empirical data.  相似文献   
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