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181.
Ravindra Khattree 《统计学通讯:理论与方法》2013,42(1):263-274
In this paper, estimates QP dispersion matrix and its functions are compared based on generalized Pitman nearness criterion, Various Iosa functions are considered for the purpose. Locally superior estimates are defined and obtained. Comparison of these estimates are made with other standard ones. It is snown that within certain classes, defined in the paper, these are the best estimatcrs ia the generalized Fitman nearness sense 相似文献
182.
Didier Blanchet 《Mathematical Population Studies》2013,20(1):79-99
A stochastic version of the Malthusian trap model relating the growth rate of income per capita to the population growth rate of a given country is described. This model is applied to the a priori evaluation of the cross‐sectional correlation between these two growth rates under two additional assumptions: i) the relations in the model at national levels include country‐specific and time‐invariant random components, and ii) these growth rates are measured with a certain degree of temporal aggregation. It is shown that these two assumptions can explain near‐zero correlations between the two growth rates even if there exist a strongly negative effect of population growth on economic growth. However it is not clear whether these assumptions fully explain such insignificant correlations. Indeed, the implementation of the model is complicated by the structural shifts which are likely to occur in the equations over the course of the demographic transition. 相似文献
183.
基于区间数大小不能直接判定的灰矩阵博弈的策略优超及其最优解研究 总被引:4,自引:0,他引:4
对于区间灰数大小不能直接判定的灰矩阵博弈G(⊗)={S1,S2,A(⊗)}问题,其策略优超和纯策略求解问题的关键在于A(⊗)中区间灰数大小判定准则的设定与判定方法的设计。本文运用灰色系统思想和系统工程的理论,揭示了人们在灰信息条件下的博弈心理与博弈决策规则,根据区间灰数势关系的判定规则,提出了灰数势意义下的策略优超法则,定义了纯策略解。最后,以商业银行贷款动态损失准备金计提为案例,对其灰势意义下的策略优超和纯策略解问题进行了研究。 相似文献
184.
We investigate the computational complexity of two special cases of the Steiner tree problem where the distance matrix is a Kalmanson matrix or a circulant matrix, respectively. For Kalmanson matrices we develop an efficient polynomial time algorithm that is based on dynamic programming. For circulant matrices we give an
-hardness proof and thus establish computational intractability. 相似文献
185.
卢婉红 《广州大学学报(社会科学版)》2002,1(9):77-81
本文通过对实验素材和结果的定量分析 ,探讨了可读性、题材、测试题型 (自变量 )与测试结果 (因变量 )之间的相关关系。证明了 :1.不同的题材具有不同的区分能力 ;2 .不同的题型是造成分数差异的主要因素。指出 :在被试的能力范围内 ,可读性对测试结果的影响 ,并不如国外 36项研究所表明的那么明显。含多种题材和题型的阅读理解测试 ,更能有效地反映被试在阅读理解过程中各个层次的能力。 相似文献
186.
Marilena Furno 《Statistical Methods and Applications》1996,5(3):369-385
Summary The paper shows that the informaton matrix test presented by White (1982) decomposes into the sum of quadratic forms in the
case of a linear model with ARMA errors. By extending previous results, which analysed the information matrix test in the
presence of serial correlation, the test allows detection of additional sources of misspecification. 相似文献
187.
体育产业化发展已成为当今体育发展的一个必然趋势.我国体育产业伴随着经济的持续增长以及居民消费水平的提高和消费结构的变化,已进入快速发展的阶段,这是产业演进规律的必然结果.体育作为一个产业正在成为我国新的经济增长点.通过对体育产业关联效应的分析,对于促进体育产业及其相关产业的快速、健康发展,推动经济增长具有重要的理论和现实意义. 相似文献
188.
Mario Romanazzi 《Allgemeines Statistisches Archiv》2004,88(2):191-214
Summary: We describe depth–based graphical displays that show the interdependence
of multivariate distributions. The plots involve one–dimensional curves or bivariate scatterplots, so they are easier to interpret than correlation matrices. The correlation curve,
modelled on the scale curve of Liu et al. (1999), compares the volume of the observed
central regions with the volume under independence. The correlation DD–plot is the
scatterplot of depth values under a reference distribution against depth values under independence. The area of the plot gives a measure of distance from independence. Correlation curve and DD-plot require an independence model as a baseline: Besides classical
parametric specifications, a nonparametric estimator, derived from the randomization
principle, is used. Combining data depth and the notion of quadrant dependence, quadrant correlation
trajectories are obtained which allow simultaneous representation of
subsets of variables. The properties of the plots for the multivariate normal distribution
are investigated. Some real data examples are illustrated.
*This work was completed with the support of Ca Foscari University. 相似文献
189.
Maria?Rosaria?FerranteEmail author Silvia?Pacei 《Statistical Methods and Applications》2004,13(3):327-340
Over the last few years many studies have been carried out in Italy to identify reliable small area labour force indicators. Considering the rotated sample design of the Italian Labour Force Survey, the aim of this work is to derive a small area estimator which borrows strength from individual temporal correlation, as well as from related areas. Two small area estimators are derived as extensions of an estimation strategies proposed by Fuller (1990) for partial overlap samples. A simulation study is carried out to evaluate the gain in efficiency provided by our solutions. Results obtained for different levels of autocorrelation between repeated measurements on the same outcome and different population settings show that these estimators are always more reliable than the traditional composite one, and in some circumstances they are extremely advantageous.The present paper is financially supported by Murst-Cofin (2001) Lutilizzo di informazioni di tipo amministrativo nella stima per piccole aree e per sottoinsiemi della popolazione (National Coordinator Prof. Carlo Filippucci). 相似文献
190.
阮忠勇 《浙江海洋学院学报(人文科学版)》2003,20(4):47-52
中国文化的核心是"儒道"互补.儒家推崇"中和"之美,道家向往"自然"之趣.王羲之的书法美学思想是儒道并蓄,因而使他的书法艺术兼具中和、自然之美. 相似文献