首页 | 本学科首页   官方微博 | 高级检索  
文章检索
  按 检索   检索词:      
出版年份:   被引次数:   他引次数: 提示:输入*表示无穷大
  收费全文   1782篇
  免费   11篇
  国内免费   1篇
管理学   82篇
民族学   18篇
人口学   42篇
丛书文集   24篇
理论方法论   69篇
综合类   126篇
社会学   326篇
统计学   1107篇
  2024年   5篇
  2023年   45篇
  2022年   11篇
  2021年   26篇
  2020年   46篇
  2019年   65篇
  2018年   150篇
  2017年   242篇
  2016年   94篇
  2015年   81篇
  2014年   71篇
  2013年   553篇
  2012年   186篇
  2011年   36篇
  2010年   27篇
  2009年   18篇
  2008年   26篇
  2007年   24篇
  2006年   16篇
  2005年   16篇
  2004年   17篇
  2003年   10篇
  2002年   8篇
  2001年   6篇
  2000年   5篇
  1998年   2篇
  1995年   2篇
  1988年   1篇
  1983年   1篇
  1982年   1篇
  1981年   1篇
  1980年   1篇
  1978年   1篇
排序方式: 共有1794条查询结果,搜索用时 625 毫秒
181.
ABSTRACT

Coefficient of tail dependence measures the strength of dependence in the tail of a bivariate distribution and it has been found useful in the risk management. In this paper, we derive the upper tail dependence coefficient for a random vector following the skew Laplace distribution and the skew Cauchy distribution, respectively. The result shows that skew Laplace distribution is asymptotically independent in upper tail, however, skew Cauchy distribution has asymptotic upper tail dependence.  相似文献   
182.
On a multiple choice test in which each item has r alternative options, a given number c of which are correct, various scoring models have been proposed. In one case the test-taker is allowed to choose any size solution subset and he/she is graded according to whether the subset is small and according to how many correct answers the subset contains. In a second case the test-taker is allowed to select only solution subsets of a prespecified maximum size and is graded as above. The first case is analogous to the situation where the test-taker is given a set of r options with each question; each question calls for a solution which consists of selecting that subset of the r responses which he/she believes to be correct. In the second case, when the prespecified solution subset is restricted to be of size at most one, the resulting scoring model corresponds to the usual model, referred to below as standard. The number c of correct options per item is usually known to the test-taker in this case.

Scoring models are evaluated according to how well they correctly identify the total scores of the individuals in the class of test-takers. Loss functions are constructed which penalize scoring models resulting in student scores which are not associated with the students true (or average) total score on the exam. Scoring models are compared on the basis of cross-validated assessments of the loss incurred by using each of the given models. It is shown that in many cases the assessment of the loss for scoring models which allow students the opportunity to choose more than one option for each question are smaller than the assessment of the loss for the standard scoring model.  相似文献   
183.
Several models are proposed in the literature for modeling fatigue data resulting from materials subject to cyclic stress and strain. Accelerated Weibull and accelerated Birnbaum–Saunders distributions are most commonly used models. Whereas the accelerated Weibull model is easier compared to accelerated Birnbaum–Saunders, it fails to represent the situation equally well. The present article focuses on Bayes analysis of the two models and provides a comparison based on some important Bayesian tools. Model compatibility study using predictive simulation ideas is preceded by the said comparison. Throughout, the posterior simulations are carried out by Markov chain Monte Carlo procedure.  相似文献   
184.
We consider the problem of estimating a trend with different amounts of smoothness for segments of a time series subjected to different variability regimes. We propose using an unobserved components model to consider the existence of at least two data segments. We first fix some desired percentages of smoothness for the trend segments and deduce the corresponding smoothing parameters involved. Once the size of each segment is chosen, the smoothing formulas here derived produce trend estimates for all segments with the desired smoothness as well as their corresponding estimated variances. Empirical examples from demography and economics illustrate our proposal.  相似文献   
185.
G.J.S. Ross 《Statistics》2013,47(3):445-453
This is the first application of a new method for testing stationary random point processes. Consider the class of all stationary ergodic point processes on the real line with arbitrary dependences among the inter–point distances (spacing).The hypothesis is :The observed process φ is a homogeneous Poisson process or more (resp.less) regular than a Poisson process.The sample is the vector of the first n points t1, …,tn.There is a close relation between our method for testing and queueing theory: For finding an appropriate test statistic, we observe the behaviour of a single server queue with the input φ.A table of critical values is given.  相似文献   
186.
We consider nonlinear and heteroscedastic autoregressive models whose residuals are martingale increments with conditional distributions that fulfil certain constraints. We treat two classes of constraints: residuals depending on the past through some function of the past observations only, and residuals that are invariant under some finite group of transformations. We determine the efficient influence function for estimators of the autoregressive parameter in such models, calculate variance bounds, discuss information gains, and suggest how to construct efficient estimators. Without constraints, efficient estimators can be given by weighted least squares estimators. With the constraints considered here, efficient estimators are obtained differently, as one-step improvements of some initial estimator, similarly as in autoregressive models with independent increments.  相似文献   
187.
Four generic means of conducting randomization tests in the context of multiple regression are analysed. Based on their performance in traditional repeated samples, three of these are shown to be inappropriate or applicable only in special circumstances; their shortcomings are illustrated via Monte Carlo studies  相似文献   
188.
《随机性模型》2013,29(4):493-512
Abstract

We introduce max-multiscaling distributions as solutions to a functional equation which, in a natural way, extends the one fulfilled by max-semistable distributions. We establish that strictly max-multiscaling distributions are products of at most two max-semistable distributions. Next, we show how to obtain these solutions as limit laws of normalized maximum of suitable independent sequences of random variables when sample size has geometric growth.  相似文献   
189.
In this paper, we study the class of inflated modified power series distributions (IMPSD) where inflation occurs at any of the support points. This class include among other the generalized Poisson, the generalized negative binomial, the generalized logarithmic series and the lost games distributions. We give expressions for the moments, factorial moments and central moments of the IMPSD. The maximum likelihood estimation of the parameters of the IMPSD and the variance – covariance matrix of the estimators is obtained. We derive these estimators and their information matrices for mentioned above particular members of IMPSD class. The second part of this paper deals with the distribution of sum of independent and identically distributed random variables taking values s, s+1. s + 2, …, s ≥ 0, with modified power series distributions inflated at the point s.  相似文献   
190.
This article presents data from a project exploring women's experiences of work and care. It focuses primarily on work–life balance as a problematic concept. Social and economic transformations across advanced post-industrial economies have resulted in concerns about how individuals manage their lives across the two spheres of work and family and achieve a work–life balance. Governments across the European Union have introduced various measures to address how families effectively combine care with paid work. Research within this area has tended to focus on work–life balance as an objective concept, which implies a static and fixed state fulfilled by particular criteria and measured quantitatively. Qualitative research on women's experiences reveals work–life balance as a fluctuating and intangible process. This article highlights the subjective and variable nature of work–life balance and questions taken-for-granted assumptions, exploring problems of definition and the differential coping strategies which women employ when negotiating the boundaries between work and family.  相似文献   
设为首页 | 免责声明 | 关于勤云 | 加入收藏

Copyright©北京勤云科技发展有限公司  京ICP备09084417号