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181.
在反倾销诉讼中,掌握度的规则,抓住关节点,对提升会计应诉水平具有重要意义。从会计应诉的实践要求来看,着重从两个方面把握住度的要求:一是把握会计应诉决策的度,使会计应诉决策建立在科学的基础上;二是把握会计应诉各环节的度,提升会计应诉的针对性和有效性。  相似文献   
182.
Recently, many standard families of distributions have been generalized by exponentiating their cumulative distribution function (CDF). In this paper, test statistics are constructed based on CDF–transformed observations and the corresponding moments of arbitrary positive order. Simulation results for generalized exponential distributions show that the proposed test compares well with standard methods based on the empirical distribution function.  相似文献   
183.
Varying-coefficient models are very useful for longitudinal data analysis. In this paper, we focus on varying-coefficient models for longitudinal data. We develop a new estimation procedure using Cholesky decomposition and profile least squares techniques. Asymptotic normality for the proposed estimators of varying-coefficient functions has been established. Monte Carlo simulation studies show excellent finite-sample performance. We illustrate our methods with a real data example.  相似文献   
184.
The Best Worst Method (BWM) is a multi-criteria decision-making method that uses two vectors of pairwise comparisons to determine the weights of criteria. First, the best (e.g. most desirable, most important), and the worst (e.g. least desirable, least important) criteria are identified by the decision-maker, after which the best criterion is compared to the other criteria, and the other criteria to the worst criterion. A non-linear minmax model is then used to identify the weights such that the maximum absolute difference between the weight ratios and their corresponding comparisons is minimized. The minmax model may result in multiple optimal solutions. Although, in some cases, decision-makers prefer to have multiple optimal solutions, in other cases they prefer to have a unique solution. The aim of this paper is twofold: firstly, we propose using interval analysis for the case of multiple optimal solutions, in which we show how the criteria can be weighed and ranked. Secondly, we propose a linear model for BWM, which is based on the same philosophy, but yields a unique solution.  相似文献   
185.
Measuring and improving the efficiency of the Chinese commercial banking system has recently attracted increasing interest. Few studies, however, have adopted the two-stage network DEA to explore this issue in the Chinese context. Because the entire operational process of the banking system could be divided into two sub-processes (deposit producing and profit earning), the evaluation of the sub-process efficiencies could be used to assist in identifying the sources of the inefficiency of the entire banking system. In this study, we utilize the network DEA approach to disaggregate, evaluate and test the efficiencies of 16 major Chinese commercial banks during the third round of the Chinese banking reform period (2003–2011) with the variable returns to scale setting and the consideration of undesirable/bad output. The main findings of this study are as follows: (i) the two-stage DEA model is more effective than the conventional black box DEA model in identifying the inefficiency of banking system, and the inefficiency of the Chinese banking system primarily results from the inefficiency of its deposit producing sub-process; (ii) the overall efficiency of the Chinese banking system improves over the study period because of the reform; (iii) the state-owned commercial banks (SOBs) appear to be more overall efficient than the joint-stock commercial banks (JSBs) only in the pre-reform period, and the efficiency difference between the SOBs and the JSBs is reduced over the post-reform period; (iv) the disposal of non-performing loans (NPLs) from the Chinese banking system in general explains its efficiency improvement, and the joint-equity reform of the SOBs specifically increases their efficiencies.  相似文献   
186.
Pitman closeness of both the upper and lower k-record statistics to the population quantiles of a location–scale family of distributions is studied. For the population median, the Pitman-closest k-record is also determined. In the case of symmetric distributions, the Pitman closeness probabilities of k-record statistics are shown to be distribution-free, and explicit expressions are also derived for these probabilities. Exact expressions are derived for the required probabilities for uniform and exponential distributions. Numerical results are given for these families and also the Pitman-closest k-record is determined.  相似文献   
187.
The Theil, Pietra, Éltetö and Frigyes measures of income inequality associated with the Pareto distribution function are expressed in terms of parameters defining the Pareto distribution. Inference procedures based on the generalized variable method, the large sample method, and the Bayesian method for testing of, and constructing confidence interval for, these measures are discussed. The results of Monte Carlo study are used to compare the performance of the suggested inference procedures from a population characterized by a Pareto distribution.  相似文献   
188.
"资源稀释模型"认为,在家庭经济资源一定的情况下,家庭里的孩子数量越多,每个孩子分到的经济资源就会相应减少;而且家庭的经济资源对孩子是否有机会接受高等教育的影响非常重要。笔者从"资源稀释模型(Resource Dilution Model)"这一视角来分析和探讨,上世纪末我国"高等教育规模扩张"政策何以得以顺利实施。  相似文献   
189.
This paper presents a method for using end-to-end available bandwidth measurements in order to estimate available bandwidth on individual internal links. The basic approach is to use a power transform on the observed end-to-end measurements, model the result as a mixture of spatially correlated exponential random variables, carryout estimation by moment methods, then transform back to the original variables to get estimates and confidence intervals for the expected available bandwidth on each link. Because spatial dependence leads to certain parameter confounding, only upper bounds can be found reliably. Simulations with ns2 show that the method can work well and that the assumptions are approximately valid in the examples.  相似文献   
190.
Interval-valued variables have become very common in data analysis. Up until now, symbolic regression mostly approaches this type of data from an optimization point of view, considering neither the probabilistic aspects of the models nor the nonlinear relationships between the interval response and the interval predictors. In this article, we formulate interval-valued variables as bivariate random vectors and introduce the bivariate symbolic regression model based on the generalized linear models theory which provides much-needed exibility in practice. Important inferential aspects are investigated. Applications to synthetic and real data illustrate the usefulness of the proposed approach.  相似文献   
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