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231.
This paper studies the asymptotic behavior of Fisher's information for a Lévy process discretely sampled at an increasing frequency. As a result, we derive the optimal rates of convergence of efficient estimators of the different parameters of the process and show that the rates are often nonstandard and differ across parameters. We also show that it is possible to distinguish the continuous part of the process from its jumps part, and even different types of jumps from one another.  相似文献   
232.
This article describes the development of a weighted composite dose – response model for human salmonellosis. Data from previously reported human challenge studies were categorized into two different groups representing low and moderately virulent/pathogenic Salmonella strains based on a disease end point. Because epidemiological data indicate that some Salmonella strains are particularly pathogenic, and in the absence of human feeding study data for such strains, Shigella dysenteriae was used as a proxy for highly virulent strains. Three single-hit dose – response models were applied to the human feeding study data and evaluated for best fit using maximum likelihood estimation: (1) the exponential (E-1pop), (2) the two-subpopulation exponential (E-2pop), and (3) the Beta-Poisson (BP). Based on the goodness-of-fit test, the E-1pop and BP were the best-fit models for low and moderately virulent/pathogenic Salmonella strains, and the E-2pop and BP models were better for highly virulent/pathogenic strains. Epistemic analysis was conducted by determining the degree of confidence associated with the selected models, which was found to be 50%/50% (E-1pop/BP) for low and moderately pathogenic Salmonella strains, and 9.8%/90.2% (E-2pop/BP) for highly virulent strains. The degree of confidence for each component model and variations in the proportion of strains within each virulence/pathogenicity category were incorporated into the overall composite model. This study describes the influence of variation in strain virulence and host susceptibility on the shape of the population dose – response relationship.  相似文献   
233.
精确地估算软件成本是软件项目成功开发的一个重要保证,直接影响着软件的风险控制和质量保证.为了更好地解决单一估算模型的不足,提出了集成多案例推理(CBR)模型的软件成本组合估算模型.首先,采用六种距离计算公式刻画新旧项目相似度,构建了六种CBR模型,并运用粒子群算法(PSO)来优化CBR模型族中的属性权重.其次,在CBR模型族的基础上,运用支持向量回归机(SVR)模型将不同CBR模型的估算结果进行集成,提高软件成本估算结果的精度.利用Deshamais数据库对模型有效性进行检验,实证结果表明,在六种CBR模型中Euc-CBR、Min-CBR、Gau-CBR和Mah-CBR模型估算结果没有明显差异,Gre-CBR和Man-CBR模型略优;提出的SVR组合估算模型估算精度明显优于单CBR模型和其他线性组合估算模型,能有效提高软件成本的估算精度.  相似文献   
234.
In this article, a classification model based on the majority rule sorting (MR‐Sort) method is employed to evaluate the vulnerability of safety‐critical systems with respect to malevolent intentional acts. The model is built on the basis of a (limited‐size) set of data representing (a priori known) vulnerability classification examples. The empirical construction of the classification model introduces a source of uncertainty into the vulnerability analysis process: a quantitative assessment of the performance of the classification model (in terms of accuracy and confidence in the assignments) is thus in order. Three different app oaches are here considered to this aim: (i) a model–retrieval‐based approach, (ii) the bootstrap method, and (iii) the leave‐one‐out cross‐validation technique. The analyses are presented with reference to an exemplificative case study involving the vulnerability assessment of nuclear power plants.  相似文献   
235.
加权复合分位数回归方法在动态VaR风险度量中的应用   总被引:1,自引:0,他引:1  
风险价值(VaR)因为简单直观,成为了当今国际上最主流的风险度量方法之一,而基于时间序列自回归(AR)模型来计算无条件风险度量值在实业界有广泛应用。本文基于分位数回归理论对AR模型提出了一个估计方法--加权复合分位数回归(WCQR)估计,该方法可以充分利用多个分位数信息提高参数估计的效率,并且对于不同的分位数回归赋予不同的权重,使得估计更加有效,文中给出了该估计的渐近正态性质。有限样本的数值模拟表明,当残差服从非正态分布时,WCQR估计的的统计性质接近于极大似然估计,而该估计是不需要知道残差分布的,因此,所提出的WCQR估计更加具有竞争力。此方法在预测资产收益的VaR动态风险时有较好的应用,我们将所提出的理论分析了我国九只封闭式基金,实证分析发现,结合WCQR方法求得的VaR风险与用非参数方法求得的VaR风险非常接近,而结合WCQR方法可以计算动态的VaR风险值和预测资产收益的VaR风险值。  相似文献   
236.
This study considers a typical scheduling environment that is influenced by the behavioral phenomenon of multitasking. Under multitasking, the processing of a selected job suffers from interruption by other jobs that are available but unfinished. This situation arises in a wide variety of applications; for example, administration, manufacturing, and process and project management. Several classical solution methods for scheduling problems no longer apply in the presence of multitasking. The solvability of any scheduling problem under multitasking is no easier than that of the corresponding classical problem. We develop optimal algorithms for some fundamental and practical single machine scheduling problems with multitasking. For other problems, we show that they are computationally intractable, even though in some cases the corresponding problem in classical scheduling is efficiently solvable. We also study the cost increase and value gained due to multitasking. This analysis informs companies about how much it would be worthwhile to invest in measures to reduce or encourage multitasking.  相似文献   
237.
This paper presents a new method for the analysis of moral hazard principal–agent problems. The new approach avoids the stringent assumptions on the distribution of outcomes made by the classical first‐order approach and instead only requires the agent's expected utility to be a rational function of the action. This assumption allows for a reformulation of the agent's utility maximization problem as an equivalent system of equations and inequalities. This reformulation in turn transforms the principal's utility maximization problem into a nonlinear program. Under the additional assumptions that the principal's expected utility is a polynomial and the agent's expected utility is rational in the wage, the final nonlinear program can be solved to global optimality. The paper also shows how to first approximate expected utility functions that are not rational by polynomials, so that the polynomial optimization approach can be applied to compute an approximate solution to nonpolynomial problems. Finally, the paper demonstrates that the polynomial optimization approach extends to principal–agent models with multidimensional action sets.  相似文献   
238.
本文研究了随机回收率的分布,建立了回收率的双Beta分布密度模型,它具有双峰分布的特点,这与Moody公司的最新研究相吻合,弥补了现有回收率分布模型均为单峰的不足。利用基于数论网格的序贯优化算法对所建模型的参数做出了估计,借助于核密度估计的工具,进行了实证分析,结果表明双Beta模型的拟合误差很小,远小于Beta模型的误差,它是表示回收率理想的模型。最后给出了抽取双Beta分布随机数的方法。  相似文献   
239.
路径预测是通过构建联合置信区间来获得未来多期预测的可能范围,覆盖了中国宏观经济的可能运行路径。通过系统迭代和直接预测方法对我国宏观经济中的产出,通胀和利率进行蒙特卡洛模拟和路径预测,并在特定宏观经济情景下进行伪样本外条件路径预测。基于中国数据的蒙特卡洛模拟结果显示Scheffé方法构建的预测路径具有合理的路径覆盖范围,是判定预测不确定性的合理且有效方法,伪样本外条件路径预测显示合理的情境设计能够得出更为有效的预测路径。  相似文献   
240.
为有效管理软件项目工作量,本文研究了一个基于重大偏差标准的软件项目工作量管理模型。该模型利用过程控制的原理和数理统计的方法,提出依据重大偏差标准和风险储备时间对软件项目进行动态控制,并介绍了风险储备时间与重大偏差标准的定量设置方法。该模型涵盖了从风险储备时间的确定,到重大偏差标准的提出,再根据风险储备时间和重大偏差标准进行监控的整个过程。为提高软件项目管理精度,保证项目在可接受的偏差范围内顺利完成打下坚实的基础。  相似文献   
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