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161.
Thomas Nittner 《Statistical Methods and Applications》2003,12(2):195-210
The additive model
is considered when some observations on x are missing at random but corresponding observations on y are available. Especially for this model, missing at random is an interesting case because the complete case analysis is expected to be no more suitable. A simulation experiment is reported and the different methods are compared based on their superiority with respect to the sample mean squared error. Some focus is also given on the sample variance and the estimated bias. In detail, the complete case analysis, a kind of stochastic mean imputation, a single imputation and the nearest neighbor imputation are discussed. 相似文献
162.
传统计划体制下的管理目标谬误与企业改革 总被引:1,自引:0,他引:1
曹桂全 《天津大学学报(社会科学版)》2000,2(1):69-72
运用系统分析法、功能分析法和案例分析法,研究我国传统计划体制如何通过影响经济系统的管理目标定位从而影响经济运行效率的问题.提出传统计划体制下"管理目标谬误"的概念,分析了管理目标谬误产生的原因和经济运行后果,从而揭示了经济体制通过管理系统的目标定位影响经济效率的内在本质,也揭示了科学管理与体制改革的辩证关系.文章最后指出,要提高企业效率,必须进行经济体制改革. 相似文献
163.
D. B. Holiday 《统计学通讯:理论与方法》2013,42(6):2107-2124
A kernel estimator of a derivative of arbitrary order of a nonparametric average population curve is considered for a correlated-errors model with balanced replicate measurements at each design point. Asymptotic expansions of the mean squared error are derived for two classes of correlation functions in the model. Consistency, choice of smoothing parameter, and rates of convergence are examined for the important special cases of estimating the first and second derivatives. 相似文献
164.
This paper is heavily leaned on the author's recent investigations concerning SCHUR analysis of non-negative Hermitian block matrices. The parameters of the matrix balls and the triangular choice scheme which describe a non-negative Hermitian block matrix will be interpreted in the framework of correlation theory 相似文献
165.
Housila P. Singh 《统计学通讯:理论与方法》2013,42(5):734-741
This article addresses the problem of estimating the population variance using auxiliary information in the presence of measurement errors. When the measurement error variance associated with study variable is known, a class of estimators of the population variance using auxiliary information has been proposed. We obtain the bias and mean squared errors of the suggested class of estimators upto the terms of order n ?1, and also optimum estimators in asymptotic sense of the class with approximate mean squared error formula. 相似文献
166.
Donal P. Krouse 《统计学通讯:理论与方法》2013,42(8):1937-1949
The minimum bias estimator was introduced as an alternative to the least squares estimator for approximating response functions by low-order polynomials. Here we show how to obtain an admissible estimator with smaller squared bias. 相似文献
167.
Lijian Yang 《统计学通讯:理论与方法》2013,42(5-6):1347-1365
GARCH model has been commonly used to describe the volatility of foreign exchange returns, which typically depends on returns many lags before, While the GARCH model provides a simple geometric decaying structure for persistence in time, it restricts tiie impact of variables to Quadratic functions. A finite nonparametric GARCH model is proposed that allows the variables' impact to be a smooth function of any form. A direct local polynomial estimation method for this finite GARCH model is proposed based on results on proportional additive model, and is applied to the German Mark (DEM)/US Dollar (USD) daily returns data. Estimators uf both the decaying rate and the impact function are obtained. Diagnostics show satisfactory out-of-sampie prediction based on the proposed model, which helps to better understand the dynamics of foreign exchange volatility. 相似文献
168.
Hill Peter D. 《统计学通讯:理论与方法》2013,42(3):605-620
A distribution function is estimated by a kernel method with a poinrwise mean squared error criterion at a point x. Relation- ships between the mean squared error, the point x, the sample size and the required kernel smoothing parazeter are investigated for several distributions treated by Azzaiini (1981). In particular it is noted that at a centre of symmetry or near a mode of the distribution the kernei method breaks down. Point- wise estimation of a distribution function is motivated as a more useful technique than a reference range for preliminary medical diagnosis. 相似文献
169.
Lonnie Magee 《统计学通讯:理论与方法》2013,42(2):545-558
Conditions for choosing between restricted and unrestrieted maximum likelihood estimators based on various asymptotic risk oriteria are derived. These conditions involve the non-centrality parameters of classical and specification test statistics, and are generlizations of well known results for the linear regression model. 相似文献
170.
ABSTRACTConsider a two-sampling scheme in which an initial sample is first taken from the underlying population and then by assuming a suitable restriction on this sample, some more data points are observed as a new restricted sample. This sampling scheme is used to do inference about the lower quantiles of the underlying distribution. The results are compared with those of simple random sampling in view of mean squared error and Pitman’s measure of closeness criteria for exponential and uniform distributions. It will be shown that the proposed sampling scheme would improve the performance of the point estimators of the lower quantiles of the population. 相似文献