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141.
Poduri S.R.S. Rao 《统计学通讯:理论与方法》2013,42(15):1659-1669
The MINQUE and its modifications are considered for estimating the variances of the balanced one-way random effects model. The effects of the a priori values on the estimators of the variances are examined in detail. The Mean Square Errors of the estimators are compared for variations in the prior values of the unknown variances. 相似文献
142.
《Mobilities》2013,8(1):23-38
Over the past three decades, critical assessment of the automobile has evolved from a focus on the technical inadequacies of the internal combustion engine to a more comprehensive appraisal of the sociotechnical system for providing mobility. The following study charts the evolution of this discourse by focusing in particular on the way in which the Worldwatch Institute has interpreted the various problems of the motorcar during this timeframe. There are now indications that a more thoroughgoing systems view of automobile dependency is developing predicated upon three problem dimensions: fuel use, urban congestion and sedentary lifestyles. The analysis presents a social‐problems framework for beginning to conceptualize more sustainable modes of mobility in the post‐automobile era. 相似文献
143.
李渔剧论的观众立场及其贡献 总被引:1,自引:0,他引:1
唐德胜 《广州大学学报(社会科学版)》2002,1(9):23-27
本文以为李渔戏剧理论的中心是观众 ,围绕观众来探讨剧本的创作、演出、戏剧的功能及其发展等是李渔剧论的最大特色。文章指出 :李渔从观众立场出发提出了“机趣”的戏剧功能观 ,并揭示了观众对戏剧艺术发展负有不可推卸的责任。 相似文献
144.
Walter Block 《International Journal of Value-Based Management》1996,9(2):195-207
Road socialists maintain that government is the best manager for the nation's vehicular transportation arteries. Contrary to their views, the present author maintains that the managerial role can best be fulfilled by private entrepreneurs. Under highway privatization, he claims, traffic fatalities and automobile congestion will be sharply reduced.The author wishes to thank the North American Editor of Transport Policy, and an anonymous referee from the present journal, for helpful suggestions and commentary on an earlier draft of this paper. 相似文献
145.
Covariates and Random Effects in a Gamma Process Model with Application to Degradation and Failure 总被引:7,自引:0,他引:7
The gamma process is a natural model for degradation processes in which deterioration is supposed to take place gradually over time in a sequence of tiny increments. When units or individuals are observed over time it is often apparent that they degrade at different rates, even though no differences in treatment or environment are present. Thus, in applying gamma-process models to such data, it is necessary to allow for such unexplained differences. In the present paper this is accomplished by constructing a tractable gamma-process model incorporating a random effect. The model is fitted to some data on crack growth and corresponding goodness-of-fit tests are carried out. Prediction calculations for failure times defined in terms of degradation level passages are developed and illustrated. 相似文献
146.
Double sampling scheme is used when cheap auxiliary variables may be measured to improve the estimation of a finite population parameter. Several estimators for population mean, ratio of means and variance are available, when two dependent samples are drawn. However, there are few proposals for the case of independent samples. In this paper both cases of dependent and independent samples are dealt with. A general approach for estimating a finite population parameter is given, showing that all the proposed estimators are particular cases of the same general class. The minimum variance bound for any estimator in this class is provided (at the first order of approximation). Furthermore, an optimal estimator which reaches this minimum is found. 相似文献
147.
A. K. Basu 《Revue canadienne de statistique》1980,8(2):235-247
Large O and small o approximations of the expected value of a class of functions (modified K-functional and Lipschitz class) of the normalized partial sums of dependent random variables by the expectation of the corresponding functions of infinitely divisible random variables have been established. As a special case, we have obtained rates of convergence to the Stable Limit Laws and to the Weak Laws of Large Numbers. The technique used is the conditional version of the operator method of Trotter and the Taylor expansion. 相似文献
148.
In this paper we present a perfect simulation method for obtaining perfect samples from collections of correlated Poisson random variables conditioned to be positive. We show how to use this method to produce a perfect sample from a Boolean model conditioned to cover a set of points: in W.S. Kendall and E. Thönnes (Pattern Recognition 32(9): 1569–1586, 1999), this special case was treated in a more complicated way. The method is applied to several simple examples where exact calculations can be made, so as to check correctness of the program using 2-tests, and some small-scale experiments are carried out to explore the behaviour of the conditioned Boolean model. 相似文献
149.
The hazard function plays an important role in reliability or survival studies since it describes the instantaneous risk of failure of items at a time point, given that they have not failed before. In some real life applications, abrupt changes in the hazard function are observed due to overhauls, major operations or specific maintenance activities. In such situations it is of interest to detect the location where such a change occurs and estimate the size of the change. In this paper we consider the problem of estimating a single change point in a piecewise constant hazard function when the observed variables are subject to random censoring. We suggest an estimation procedure that is based on certain structural properties and on least squares ideas. A simulation study is carried out to compare the performance of this estimator with two estimators available in the literature: an estimator based on a functional of the Nelson-Aalen estimator and a maximum likelihood estimator. The proposed least squares estimator tums out to be less biased than the other two estimators, but has a larger variance. We illustrate the estimation method on some real data sets. 相似文献
150.
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