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61.
In this paper, the maximum likelihood (ML) and Bayes, by using Markov chain Monte Carlo (MCMC), methods are considered to estimate the parameters of three-parameter modified Weibull distribution (MWD(β, τ, λ)) based on a right censored sample of generalized order statistics (gos). Simulation experiments are conducted to demonstrate the efficiency of the proposed methods. Some comparisons are carried out between the ML and Bayes methods by computing the mean squared errors (MSEs), Akaike's information criteria (AIC) and Bayesian information criteria (BIC) of the estimates to illustrate the paper. Three real data sets from Weibull(α, β) distribution are introduced and analyzed using the MWD(β, τ, λ) and also using the Weibull(α, β) distribution. A comparison is carried out between the mentioned models based on the corresponding Kolmogorov–Smirnov (KS) test statistic, {AIC and BIC} to emphasize that the MWD(β, τ, λ) fits the data better than the other distribution. All parameters are estimated based on type-II censored sample, censored upper record values and progressively type-II censored sample which are generated from the real data sets.  相似文献   
62.
In a missing data setting, we have a sample in which a vector of explanatory variables ${\bf x}_i$ is observed for every subject i, while scalar responses $y_i$ are missing by happenstance on some individuals. In this work we propose robust estimators of the distribution of the responses assuming missing at random (MAR) data, under a semiparametric regression model. Our approach allows the consistent estimation of any weakly continuous functional of the response's distribution. In particular, strongly consistent estimators of any continuous location functional, such as the median, L‐functionals and M‐functionals, are proposed. A robust fit for the regression model combined with the robust properties of the location functional gives rise to a robust recipe for estimating the location parameter. Robustness is quantified through the breakdown point of the proposed procedure. The asymptotic distribution of the location estimators is also derived. The proofs of the theorems are presented in Supplementary Material available online. The Canadian Journal of Statistics 41: 111–132; 2013 © 2012 Statistical Society of Canada  相似文献   
63.
The semi‐Markov process often provides a better framework than the classical Markov process for the analysis of events with multiple states. The purpose of this paper is twofold. First, we show that in the presence of right censoring, when the right end‐point of the support of the censoring time is strictly less than the right end‐point of the support of the semi‐Markov kernel, the transition probability of the semi‐Markov process is nonidentifiable, and the estimators proposed in the literature are inconsistent in general. We derive the set of all attainable values for the transition probability based on the censored data, and we propose a nonparametric inference procedure for the transition probability using this set. Second, the conventional approach to constructing confidence bands is not applicable for the semi‐Markov kernel and the sojourn time distribution. We propose new perturbation resampling methods to construct these confidence bands. Different weights and transformations are explored in the construction. We use simulation to examine our proposals and illustrate them with hospitalization data from a recent cancer survivor study. The Canadian Journal of Statistics 41: 237–256; 2013 © 2013 Statistical Society of Canada  相似文献   
64.
This paper considers five test statistics for comparing the recovery of a rapid growth‐based enumeration test with respect to the compendial microbiological method using a specific nonserial dilution experiment. The finite sample distributions of these test statistics are unknown, because they are functions of correlated count data. A simulation study is conducted to investigate the type I and type II error rates. For a balanced experimental design, the likelihood ratio test and the main effects analysis of variance (ANOVA) test for microbiological methods demonstrated nominal values for the type I error rate and provided the highest power compared with a test on weighted averages and two other ANOVA tests. The likelihood ratio test is preferred because it can also be used for unbalanced designs. It is demonstrated that an increase in power can only be achieved by an increase in the spiked number of organisms used in the experiment. The power is surprisingly not affected by the number of dilutions or the number of test samples. A real case study is provided to illustrate the theory. Copyright © 2013 John Wiley & Sons, Ltd.  相似文献   
65.
Abstract. This article presents a framework for comparing bivariate distributions according to their degree of regression dependence. We introduce the general concept of a regression dependence order (RDO). In addition, we define a new non‐parametric measure of regression dependence and study its properties. Besides being monotone in the new RDOs, the measure takes on its extreme values precisely at independence and almost sure functional dependence, respectively. A consistent non‐parametric estimator of the new measure is constructed and its asymptotic properties are investigated. Finally, the finite sample properties of the estimate are studied by means of a small simulation study.  相似文献   
66.
In addition to his contributions to biostatistics and clinical trials, Paul Meier had a long-term interest in the legal applications of statistics. As part of this, he had extensive experience as a statistical consultant. Legal consulting can be a minefield, but as a result of his background, Paul had excellent advice to give to those starting out on how to function successfully in this environment.  相似文献   
67.
The most popular approach in extreme value statistics is the modelling of threshold exceedances using the asymptotically motivated generalised Pareto distribution. This approach involves the selection of a high threshold above which the model fits the data well. Sometimes, few observations of a measurement process might be recorded in applications and so selecting a high quantile of the sample as the threshold leads to almost no exceedances. In this paper we propose extensions of the generalised Pareto distribution that incorporate an additional shape parameter while keeping the tail behaviour unaffected. The inclusion of this parameter offers additional structure for the main body of the distribution, improves the stability of the modified scale, tail index and return level estimates to threshold choice and allows a lower threshold to be selected. We illustrate the benefits of the proposed models with a simulation study and two case studies.  相似文献   
68.
基于核密度估计方法,给出居民收入分布变迁测度及其影响因素分解的相对收入分布方法。使用中国健康和营养调查的微观居民收入数据,实证分析中国居民收入分布及其变迁的特征、过程及其影响因素。实证结果显示:中国居民收入分布变迁的速度与经济体制改革进程相对应;经济增长因素是引起居民收入分布变迁的主要因素,在提高总体居民收入水平的同时加剧了居民收入分布的极化程度;收入分配因素对居民收入分布变迁的作用相对较弱,但有一定的减贫或缩小居民收入差距作用。  相似文献   
69.
居民收入水平不同,恩格尔系数也不同,因此收入分配对社会总体恩格尔系数的影响是不确定的。基于马斯洛层次需求理论证明边际食品消费倾向递减,并且当消费函数为线性或近似线性时,收入差距扩大会降低恩格尔系数。基于省际面板数据的实证分析表明,中国居民边际食品消费倾向递减且消费函数为(近似)线性,居民收入差距扩大降低了居民恩格尔系数(基尼系数升高对恩格尔系数下降的贡献率为22%),从而出现"分配越不平等,居民总体生活水平越高"的矛盾现象。因此在使用总体指标评价居民生活水平时,收入分配指标必须得到同等的重视;在经济发展中,公平和效率必须兼顾才能实现居民福利最大化。  相似文献   
70.
指数族分布是一类应用广泛的分布类,包括了泊松分布、Gamma分布、Beta分布、二项分布等常见分布.在非寿险中,索赔额或索赔次数过程常常被假定服从指数族分布,由于风险的非齐次性,指数族分布中的参数θ也为随机变量,假定服从指数族共轭先验分布.此时风险参数的估计落入了Bayes框架,风险参数θ的Bayes估计被表达“信度”形式.然而,在实际运用中,由于先验分布与样本分布中仍然含有结构参数,根据样本的边际分布的似然函数估计结构参数,从而获得风险参数的经验Bayes估计,最后证明了该经验Bayes估计是渐近最优的.  相似文献   
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