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71.
G. Pulcini 《统计学通讯:理论与方法》2013,42(11):2107-2126
This article presents a bivariate distribution for analyzing the failure data of mechanical and electrical components in presence of a forewarning or primer event whose occurrence denotes the inception of the failure mechanism that will cause the component failure after an additional random time. The characteristics of the proposed distribution are discussed and several point estimators of parameters are illustrated and compared, in case of complete sampling, via a large Monte Carlo simulation study. Confidence intervals based on asymptotic results are derived, as well as procedures are given for testing the independence between the occurrence time of the forewarning event and the additional time to failure. Numerical applications based on failure data of cable insulation specimens and of two-component parallel systems are illustrated. 相似文献
72.
Nicholas Evangelopoulos Anna Sidorova Stergios Fotopoulos Indushobha Chengalur-Smith 《统计学通讯:模拟与计算》2013,42(8):1647-1662
This article addresses the problem of estimating the time of apparent death in a binary stochastic process. We show that, when only censored data are available, a fitted logistic regression model may estimate the time of death incorrectly. We improve this estimation by utilizing discrete-event simulation to produce simulated complete time series data. The proposed methodology may be applied to situations where time of death cannot be formally determined and has to be estimated based on prolonged inactivity. As an illustration, we use observed monthly activity patterns from 300 real Open Source Software development projects sampled from Sourceforge.net. 相似文献
73.
AbstractThe gap time between recurrent events is often of primary interest in many fields such as medical studies, and in this article, we discuss regression analysis of the gap times arising from a general class of additive transformation models. For the problem, we propose two estimation procedures, the modified within-cluster resampling (MWCR) method and the weighted risk-set (WRS) method, and the proposed estimators are shown to be consistent and asymptotically follow the normal distribution. In particular, the estimators have closed forms and can be easily determined, and the methods have the advantage of leaving the correlation among gap times arbitrary. A simulation study is conducted for assessing the finite sample performance of the presented methods and suggests that they work well in practical situations. Also the methods are applied to a set of real data from a chronic granulomatous disease (CGD) clinical trial. 相似文献
74.
For many environmental processes, recent studies have shown that the dependence strength is decreasing when quantile levels increase. This implies that the popular max‐stable models are inadequate to capture the rate of joint tail decay, and to estimate joint extremal probabilities beyond observed levels. We here develop a more flexible modeling framework based on the class of max‐infinitely divisible processes, which extend max‐stable processes while retaining dependence properties that are natural for maxima. We propose two parametric constructions for max‐infinitely divisible models, which relax the max‐stability property but remain close to some popular max‐stable models obtained as special cases. The first model considers maxima over a finite, random number of independent observations, while the second model generalizes the spectral representation of max‐stable processes. Inference is performed using a pairwise likelihood. We illustrate the benefits of our new modeling framework on Dutch wind gust maxima calculated over different time units. Results strongly suggest that our proposed models outperform other natural models, such as the Student‐t copula process and its max‐stable limit, even for large block sizes. 相似文献
75.
Dimitris N. Trakas Mathaios Panteli Nikos D. Hatziargyriou Pierluigi Mancarella 《Risk analysis》2019,39(1):195-211
The increased frequency of extreme events in recent years highlights the emerging need for the development of methods that could contribute to the mitigation of the impact of such events on critical infrastructures, as well as boost their resilience against them. This article proposes an online spatial risk analysis capable of providing an indication of the evolving risk of power systems regions subject to extreme events. A Severity Risk Index (SRI) with the support of real‐time monitoring assesses the impact of the extreme events on the power system resilience, with application to the effect of windstorms on transmission networks. The index considers the spatial and temporal evolution of the extreme event, system operating conditions, and the degraded system performance during the event. SRI is based on probabilistic risk by condensing the probability and impact of possible failure scenarios while the event is spatially moving across a power system. Due to the large number of possible failures during an extreme event, a scenario generation and reduction algorithm is applied in order to reduce the computation time. SRI provides the operator with a probabilistic assessment that could lead to effective resilience‐based decisions for risk mitigation. The IEEE 24‐bus Reliability Test System has been used to demonstrate the effectiveness of the proposed online risk analysis, which was embedded in a sequential Monte Carlo simulation for capturing the spatiotemporal effects of extreme events and evaluating the effectiveness of the proposed method. 相似文献
76.
殷学明 《河北大学学报(哲学社会科学版)》2020,45(6):30-35
事境是中国诗学独创的一个概念,但一直被抒情传统的意境说所遮蔽。事境说是宋代以来世俗化生活在诗学领域的一种反映。与“想味不尽”的意境不同,事境尚实宜近,是时间(事)空间化(境)审美范畴。从诗性生存的角度看,诗人创设事境就是为了使人摆脱日常之事的纷扰,在事的诗性世界里去感受和体验应然的生活,从而使人心灵得以净化,生活得以提升。深入发掘和研究事境,既有助于全面理解中国诗学的历史传统,也有助于当下诗歌与诗学多元鉴赏与建设。 相似文献
77.
A seasonal mixed-POT model to estimate high flood quantiles from different event types and seasons 总被引:1,自引:0,他引:1
Svenja Fischer 《Journal of applied statistics》2018,45(15):2831-2847
Flood events can be caused by several different meteorological circumstances. For example, heavy rain events often lead to short flood events with high peaks, whereas snowmelt normally results in events of very long duration with a high volume. Both event types have to be considered in the design of flood protection systems. Unfortunately, all these different event types are often included in annual maximum series (AMS) leading to inhomogeneous samples. Moreover, certain event types are underrepresented in the AMS. This is especially unsatisfactory if the most extreme events result from such an event type. Therefore, monthly maximum data are used to enlarge the information spectrum on the different event types. Of course, not all events can be included in the flood statistics because not every monthly maximum can be declared as a flood. To take this into account, a mixture Peak-over-threshold model is applied, with thresholds specifying flood events of several types that occur in a season of the year. This model is then extended to cover the seasonal type of the data. The applicability is shown in a German case study, where the impact of the single event types in different parts of a year is evaluated. 相似文献
78.
The product limit or Kaplan‐Meier (KM) estimator is commonly used to estimate the survival function in the presence of incomplete time to event. Application of this method assumes inherently that the occurrence of an event is known with certainty. However, the clinical diagnosis of an event is often subject to misclassification due to assay error or adjudication error, by which the event is assessed with some uncertainty. In the presence of such errors, the true distribution of the time to first event would not be estimated accurately using the KM method. We develop a method to estimate the true survival distribution by incorporating negative predictive values and positive predictive values, into a KM‐like method of estimation. This allows us to quantify the bias in the KM survival estimates due to the presence of misclassified events in the observed data. We present an unbiased estimator of the true survival function and its variance. Asymptotic properties of the proposed estimators are provided, and these properties are examined through simulations. We demonstrate our methods using data from the Viral Resistance to Antiviral Therapy of Hepatitis C study. 相似文献
79.
Björn Bornkamp Kaspar Rufibach Jianchang Lin Yi Liu Devan V. Mehrotra Satrajit Roychoudhury Heinz Schmidli Yue Shentu Marcel Wolbers 《Pharmaceutical statistics》2021,20(4):737-751
A randomized trial allows estimation of the causal effect of an intervention compared to a control in the overall population and in subpopulations defined by baseline characteristics. Often, however, clinical questions also arise regarding the treatment effect in subpopulations of patients, which would experience clinical or disease related events post-randomization. Events that occur after treatment initiation and potentially affect the interpretation or the existence of the measurements are called intercurrent events in the ICH E9(R1) guideline. If the intercurrent event is a consequence of treatment, randomization alone is no longer sufficient to meaningfully estimate the treatment effect. Analyses comparing the subgroups of patients without the intercurrent events for intervention and control will not estimate a causal effect. This is well known, but post-hoc analyses of this kind are commonly performed in drug development. An alternative approach is the principal stratum strategy, which classifies subjects according to their potential occurrence of an intercurrent event on both study arms. We illustrate with examples that questions formulated through principal strata occur naturally in drug development and argue that approaching these questions with the ICH E9(R1) estimand framework has the potential to lead to more transparent assumptions as well as more adequate analyses and conclusions. In addition, we provide an overview of assumptions required for estimation of effects in principal strata. Most of these assumptions are unverifiable and should hence be based on solid scientific understanding. Sensitivity analyses are needed to assess robustness of conclusions. 相似文献
80.
"网络暴民"是近几年网络媒体中的一个重要现象,在网络秩序并未得到有效控制的情况下,"网络暴民"现象一直受到极大的关注,从虚拟空间的攻击谩骂延伸到现实中的暴力行动,与"网络暴民"相关的负面舆论激起了人们关于虚拟社会、个人隐私以及网络媒体的理论反思。尽管它的出现有着自身的背景和原因,但这直接反映出当前网络媒体存在的问题,并在一定程度上影响着人们对网络新兴媒介的认识。"网络暴民"现象的特征包括伴随有个人隐私的公开、表现出言语侵扰和攻击、背后有经济利益的驱使、导致了现实影响的危害。 相似文献