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81.
用动态规划模型求解最短路问题的研究   总被引:1,自引:0,他引:1  
动态规划法是求解具有多阶段的最短路径的算法,本文以动态规划理论为指导,研究了铺设管道最短路问题实例,采用顺序递推法和逆序递推法两种解决方法,并用LINGO软件编程得到结果.  相似文献   
82.
Estimating population sizes by the catch-effort methods is of enormous importance, in particular to harvest animal populations. A unified mixture model is introduced for different catchability functions to account for heterogeneous catchabilities among individual animals. A sequence of lower bounds to the odds that a single animal is not caught are proposed and used to define pseudo maximum likelihood estimators for the population size. The one-sided nature of confidence intervals is discussed. The proposed estimation methods are presented and illustrated by numerical studies.  相似文献   
83.
Summary.  In process characterization the quality of information that is obtained depends directly on the quality of process model. The current quality revolution is now providing a strong stimulus for rethinking and re-evaluating many statistical ideas. Among these are the role of theoretic knowledge and data in statistical inference and some issues in theoretic–empirical modelling. With this concern the paper takes a broad, pragmatic view of statistical inference to include all aspects of model formulation. The estimation of model parameters traditionally assumes that a model has a prespecified known form and takes no account of possible uncertainty regarding model structure. But in practice model structural uncertainty is a fact of life and is likely to be more serious than other sources of uncertainty which have received far more attention. This is true whether the model is specified on subject-matter grounds or when a model is formulated, fitted and checked on the same data set in an iterative interactive way. For that reason novel modelling techniques have been fashioned for reducing model uncertainty. Using available knowledge for theoretic model elaboration the techniques that have been created approximate the exact unknown process model concurrently by accessible theoretic and polynomial empirical functions. The paper examines the effects of uncertainty for hybrid theoretic–empirical models and, for reducing uncertainty, additive and multiplicative methods of model formulation are fashioned. Such modelling techniques have been successfully applied to perfect a steady flow model for an air gauge sensor. Validation of the models elaborated has revealed that the multiplicative modelling approach allows us to attain a satisfactory model with small discrepancy from empirical evidence.  相似文献   
84.
Abstract.  We consider classification of the realization of a multivariate spatial–temporal Gaussian random field into one of two populations with different regression mean models and factorized covariance matrices. Unknown means and common feature vector covariance matrix are estimated from training samples with observations correlated in space and time, assuming spatial–temporal correlations to be known. We present the first-order asymptotic expansion of the expected error rate associated with a linear plug-in discriminant function. Our results are applied to ecological data collected from the Lithuanian Economic Zone in the Baltic Sea.  相似文献   
85.
A common problem faced by many firms in their supply chains can be abstracted as follows. Periodically, or at the beginning of some selling season, the firm needs to distribute finished goods to a set of stocking locations, which, in turn, supply customer demands. Over the selling season, if and when there is a supply‐demand mismatch somewhere, a re‐distribution or transshipment will be needed. Hence, there are two decisions involved: the one‐time stocking decision at the beginning of the season and the supply/transshipment decision throughout the season. Applying a stochastic dynamic programming formulation to a two‐location model with compound Poisson demand processes, we identify the optimal supply/transshipment policy and show that the optimal initial stocking quantities can be obtained via maximizing a concave function whereas the contribution of transshipment is of order square‐root‐of T. Hence, in the context of high‐volume, fast‐moving products, the initial stocking quantity decision is a much more important contributor to the overall profit. The bounds also lead to a heuristic policy, which exhibits excellent performance in our numerical study; and we further prove both the bounds and the heuristic policy are asymptotically optimal when T approaches infinity. Extension to multiple locations is also discussed.  相似文献   
86.
Beta regression is a suitable choice for modelling continuous response variables taking values on the unit interval. Data structures such as hierarchical, repeated measures and longitudinal typically induce extra variability and/or dependence and can be accounted for by the inclusion of random effects. In this sense, Statistical inference typically requires numerical methods, possibly combined with sampling algorithms. A class of Beta mixed models is adopted for the analysis of two real problems with grouped data structures. We focus on likelihood inference and describe the implemented algorithms. The first is a study on the life quality index of industry workers with data collected according to an hierarchical sampling scheme. The second is a study assessing the impact of hydroelectric power plants upon measures of water quality indexes up, downstream and at the reservoirs of the dammed rivers, with a nested and longitudinal data structure. Results from different algorithms are reported for comparison including from data-cloning, an alternative to numerical approximations which also allows assessing identifiability. Confidence intervals based on profiled likelihoods are compared with those obtained by asymptotic quadratic approximations, showing relevant differences for parameters related to the random effects. In both cases, the scientific hypothesis of interest was investigated by comparing alternative models, leading to relevant interpretations of the results within each context.  相似文献   
87.
One of the main aims of early phase clinical trials is to identify a safe dose with an indication of therapeutic benefit to administer to subjects in further studies. Ideally therefore, dose‐limiting events (DLEs) and responses indicative of efficacy should be considered in the dose‐escalation procedure. Several methods have been suggested for incorporating both DLEs and efficacy responses in early phase dose‐escalation trials. In this paper, we describe and evaluate a Bayesian adaptive approach based on one binary response (occurrence of a DLE) and one continuous response (a measure of potential efficacy) per subject. A logistic regression and a linear log‐log relationship are used respectively to model the binary DLEs and the continuous efficacy responses. A gain function concerning both the DLEs and efficacy responses is used to determine the dose to administer to the next cohort of subjects. Stopping rules are proposed to enable efficient decision making. Simulation results shows that our approach performs better than taking account of DLE responses alone. To assess the robustness of the approach, scenarios where the efficacy responses of subjects are generated from an E max model, but modelled by the linear log–log model are also considered. This evaluation shows that the simpler log–log model leads to robust recommendations even under this model showing that it is a useful approximation to the difficulty in estimating E max model. Additionally, we find comparable performance to alternative approaches using efficacy and safety for dose‐finding. Copyright © 2015 John Wiley & Sons, Ltd.  相似文献   
88.
In recent years, there has been considerable interest in regression models based on zero-inflated distributions. These models are commonly encountered in many disciplines, such as medicine, public health, and environmental sciences, among others. The zero-inflated Poisson (ZIP) model has been typically considered for these types of problems. However, the ZIP model can fail if the non-zero counts are overdispersed in relation to the Poisson distribution, hence the zero-inflated negative binomial (ZINB) model may be more appropriate. In this paper, we present a Bayesian approach for fitting the ZINB regression model. This model considers that an observed zero may come from a point mass distribution at zero or from the negative binomial model. The likelihood function is utilized to compute not only some Bayesian model selection measures, but also to develop Bayesian case-deletion influence diagnostics based on q-divergence measures. The approach can be easily implemented using standard Bayesian software, such as WinBUGS. The performance of the proposed method is evaluated with a simulation study. Further, a real data set is analyzed, where we show that ZINB regression models seems to fit the data better than the Poisson counterpart.  相似文献   
89.
文化冲突是跨文化管理的核心问题,文化整合是解决文化冲突的有效途径,本文从文化整合的目标、文化整合的原则、文化整合的方法详细探讨了如何进行有效的文化整合。  相似文献   
90.
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