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61.
In this paper, the problem of constant partially accelerated life tests when the lifetime follows the generalized exponential distribution is considered. Based on progressive type-II censoring scheme, the maximum likelihood and Bayes methods of estimation are used for estimating the distribution parameters and acceleration factor. A Monte Carlo simulation study is carried out to examine the performance of the obtained estimates. 相似文献
62.
K. Muralidharan 《统计学通讯:模拟与计算》2013,42(2):603-619
We study the reliability estimates of the non-standard mixture of degenerate (degenerated at zero) and exponential distributions. The Uniformly Minimum Variance Unbiased Estimator (UMVUE) and Bayes estimator of the reliability for some selective prior when the mixing proportion is known and unknown are derived. The Bayes risk is computed for each Bayes estimator of the reliability. A simulated study is carried out to assess the performance of the estimators alongwith the true and Maximum Likelihood Estimate (MLE) of the reliability. An example from Vannman (1991) is also discussed at the end of the paper. 相似文献
63.
In this paper further asymptotic expansions of the non-null distribution of the likelihood ratio criterion for testing the equality of several one parameter exponential distributions are obtained when the alternatives are close to the hypothesis. These expansions are obtained for the first time in terms of beta distributions. 相似文献
64.
Chris J. Lloyd 《统计学通讯:理论与方法》2013,42(5):1115-1132
A simple random sample on a random variable A allows its density to be consistently estimated, by a histogram or preferably a kernel density estimate. When the sampling is biased towards certain x-values these methods instead estimate a weighted version of the density function. This article proposes a method for estimating both the density and the sampling bias simultaneously. The technique requires two independent samples and utilises ideas from mark-recapture experiments. An estimator of the size of the sampled population also follows simply from this density estimate. 相似文献
65.
66.
In this paper, we consider the simple step-stress model for a two-parameter exponential distribution, when both the parameters are unknown and the data are Type-II censored. It is assumed that under two different stress levels, the scale parameter only changes but the location parameter remains unchanged. It is observed that the maximum likelihood estimators do not always exist. We obtain the maximum likelihood estimates of the unknown parameters whenever they exist. We provide the exact conditional distributions of the maximum likelihood estimators of the scale parameters. Since the construction of the exact confidence intervals is very difficult from the conditional distributions, we propose to use the observed Fisher Information matrix for this purpose. We have suggested to use the bootstrap method for constructing confidence intervals. Bayes estimates and associated credible intervals are obtained using the importance sampling technique. Extensive simulations are performed to compare the performances of the different confidence and credible intervals in terms of their coverage percentages and average lengths. The performances of the bootstrap confidence intervals are quite satisfactory even for small sample sizes. 相似文献
67.
Detlef Plachky 《统计学通讯:理论与方法》2013,42(13):1305-1309
With the help of the result that exponential-type families are determined by their mean value functions it is shown that stochastic independence of the random variables SN and N-SN characterizes the Poisson and Bernoulli distributions simultaneously. 相似文献
68.
《Journal of Statistical Computation and Simulation》2012,82(12):2003-2019
There are a number of situations in which the experimental data observed are record statistics. In this paper, optimal confidence intervals as well as uniformly most powerful (MP) tests for one-sided alternatives are developed. Since a uniformly MP test for a two-sided alternative does not exist, generalized likelihood ratio and uniformly unbiased and invariant tests are derived for the two parameters of the exponential distribution based on record data. For illustrative purposes, a data set on the times between consecutive telephone calls to a company's switchboard is analysed using the proposed procedures. Finally, some open problems in this direction are pointed out. 相似文献
69.
We develop exact inference for the location and scale parameters of the Laplace (double exponential) distribution based on their maximum likelihood estimators from a Type-II censored sample. Based on some pivotal quantities, exact confidence intervals and tests of hypotheses are constructed. Upon conditioning first on the number of observations that are below the population median, exact distributions of the pivotal quantities are expressed as mixtures of linear combinations and of ratios of linear combinations of standard exponential random variables, which facilitates the computation of quantiles of these pivotal quantities. Tables of quantiles are presented for the complete sample case. 相似文献
70.
《统计学通讯:理论与方法》2013,42(12):2349-2360
ABSTRACT In this paper we study the classification of the generalized mixtures of two or three exponential distributions, in the ILR and DLR classes, and consequently in the IFR and DFR classes. We apply these results to classify the aging of the series and parallel systems, in accord with some common bivariate exponential models of their components. 相似文献