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11.
Göran Kauermann Renate Ortlieb 《Journal of the Royal Statistical Society. Series C, Applied statistics》2004,53(2):355-367
Summary. The pattern of absenteeism in the downsizing process of companies is a topic in focus in economics and social science. A general question is whether employees who are frequently absent are more likely to be selected to be laid off or in contrast whether employees to be dismissed are more likely to be absent for the remaining time of their working contract. We pursue an empirical and microeconomic investigation of these theses. We analyse longitudinal data that were collected in a German company over several years. We fit a semiparametric transition model based on a mixture Poisson distribution for the days of absenteeism per month. Prediction intervals are considered and the primary focus is on the period of downsizing. The data reveal clear evidence for the hypothesis that employees who are to be laid off are more frequently absent before leaving the company. Interestingly, though, no clear evidence is seen that employees being selected to leave the company are those with a bad absenteeism profile. 相似文献
12.
教育对经济增长的抑制效应是教育对经济增长双重效应的一个重要方面。本文从确认教育对经济增长的抑制效应的存在出发,分析了教育对经济增长抑制效应的具体情形,探讨了教育对经济增长抑制效应的存在机制。 相似文献
13.
刘雯霞 《武汉理工大学学报(社会科学版)》2003,16(2):140-144
犯罪概念 ,大致上可以分为形式概念、实质概念及混合概念。我国刑法第十三条规定的是犯罪的混合概念 ,这一混合概念存在着逻辑上的缺陷 ,欠缺明确性和可操作性。文章就如何更为科学地定义犯罪 ,完善我国刑法第十三条作了初步探讨 相似文献
14.
Statistik für bivariate gemischte Poisson–Prozesse am Beispiel der Kraftfahrthaftpflichtversicherung
Mathias Zocher 《Allgemeines Statistisches Archiv》2005,89(4):383-402
Zusammenfassung: In diesem Artikel wird der Weg von einem univariaten gemischten Poisson–Prozess, der in vielen Bereichen zum Z?hlen von Ereignissen
benutzt wird, zu einem bivariaten gemischten Poisson–Prozess aufgezeigt. Dazu werden einige Eigenschaften des bivariaten Prozesses
angegeben. Im zweiten Teil der Arbeit wird gezeigt, wie mit Hilfe dieses Prozesses der übergang von einem herk?mmlichen Bonus–Malus–System
in der Kraftfahrthaftpflichtversicherung zu einem Bonus–Malus–System mit Berücksichtigung der Schadenart beschritten werden
kann. Dazu wird zuerst eine Modellprüfung der gegebenen Daten vorgenommen und sodann werden für verschiedene mischende Verteilungen
die Verteilungsparameter gesch?tzt und Nettopr?mien angegeben sowie die Prognosegenauigkeit getestet.
Summary: In this paper we show that the model of the bivariate mixed Poisson process arises in a natural way from the univariate mixed Poisson process, which is used in several areas for counting certain events. Furthermore we state some properties of the bivariate process. In the second part of the paper we illustrate how by means of the bivariate mixed Poisson process a bonus–malus system handling different types of accidents can be derived from the classical bonus–malus system in third–party liability insurance. To this end we first check the model on the given data and then estimate distribution parameters and compute net premiums for different mixing distributions as well as test the prediction probabilities.
* Vortrag am Dresdner Forum zur Versicherungsmathematik: Tarifierung in Erst- und Rückversicherung am 25. Juni 2004. Für die Unterstützung zu dieser Arbeit m?chte der Autor Lothar Partzsch, Klaus D. Schmidt (beide Dresden) und Friedemann Spies (München) recht herzlich danken. 相似文献
15.
Kepher Henry Makambi 《Statistical Methods and Applications》2002,11(1):127-138
The standard hypothesis testing procedure in meta-analysis (or multi-center clinical trials) in the absence of treatment-by-center
interaction relies on approximating the null distribution of the standard test statistic by a standard normal distribution.
For relatively small sample sizes, the standard procedure has been shown by various authors to have poor control of the type
I error probability, leading to too many liberal decisions. In this article, two test procedures are proposed, which rely
on thet—distribution as the reference distribution. A simulation study indicates that the proposed procedures attain significance
levels closer to the nominal level compared with the standard procedure. 相似文献
16.
王金玲 《盐城师范学院学报》2002,22(4):76-78
英语“临时语”是一种偏离语言常规的“变异”(deviation)现象 ,往往产生独特的修辞效果。“临时语”的构成方法有词缀法、转化法、合成法、拼缀法、缩略法、类推法和新选七种 ,“临时语”具有简洁明快 ,加强语气 ,鲜明生动、诙谐戏谑的修辞效果 相似文献
17.
The far-reaching effects of the social systemic division of labor on the organization and contents of primary ties make the Community Question an important issue for many sociologists. This paper looks at the personal embeddedness of families in three German cities (Berlin, Hamburg, and Stuttgart) and examines the Community Question with data collected at the end of 2003. It is based on the theoretical views of Wellman [Wellman, B., 1979. The community question. The intimate networks of East Yorkers. American Journal of Sociology 84, 1201–1231], who used a network analysis perspective to conceptualize “the Community Question”. The results of this German study generally support the results of Wellman's second East York Study. However, the network structures analyzed in my study vary from the three ideal-type models. Cluster analysis shows that Wellman's typology can be replicated relatively well in Germany. In contrast to traditional discourse related to the Community Question, particular network types are not associated with low levels of social relations. Moreover, structural factors do not explain the existence of different network types. Thus, the networks are not a product of only one community model. They suggest that it is less helpful to talk about “Saved”, “Lost”, or “Liberated” communities than it is to regard communities as a mixture of strongly-knit nuclear clusters and of broader, sparsely-knit relations that provide access to different groups and their resources. 相似文献
18.
Denis Larocque 《Revue canadienne de statistique》2003,31(4):437-455
The author presents a multivariate location model for cluster correlated observations. He proposes an affine‐invariant multivariate sign statistic for testing the value of the location parameter. His statistic is an adaptation of that proposed by Randles (2000). The author shows, under very mild conditions, that his test statistic is asymptotically distributed as a chi‐squared random variable under the null hypothesis. In particular, the test can be used for skewed populations. In the context of a general multivariate normal model, the author obtains values of his test's Pitman asymptotic efficiency relative to another test based on the overall average. He shows that there is an improvement in the relative performance of the new test as soon as intra‐cluster correlation is present Even in the univariate case, the new test can be very competitive for Gaussian data. Furthermore, the statistic is easy to compute, even for large dimensional data. The author shows through simulations that his test performs well compared to the average‐based test. He illustrates its use with real data. 相似文献
19.
THOMAS RICHARDSON 《Scandinavian Journal of Statistics》2003,30(1):145-157
We consider acyclic directed mixed graphs, in which directed edges ( x → y ) and bi-directed edges ( x ↔ y ) may occur. A simple extension of Pearl's d -separation criterion, called m -separation, is applied to these graphs. We introduce a local Markov property which is equivalent to the global property resulting from the m -separation criterion for arbitrary distributions. 相似文献
20.
A Sparse Implementation of the Average Information Algorithm for Factor Analytic and Reduced Rank Variance Models 总被引:1,自引:0,他引:1
Robin Thompson Brian Cullis Alison Smith Arthur Gilmour 《Australian & New Zealand Journal of Statistics》2003,45(4):445-459
Factor analytic variance models have been widely considered for the analysis of multivariate data particularly in the psychometrics area. Recently Smith, Cullis & Thompson (2001) have considered their use in the analysis of multi‐environment data arising from plant improvement programs. For these data, the size of the problem and the complexity of the variance models chosen to account for spatial heterogeneity within trials implies that standard algorithms for fitting factor analytic models can be computationally expensive. This paper presents a sparse implementation of the average information algorithm (Gilmour, Thompson & Cullis, 1995) for fitting factor analytic and reduced rank variance models. 相似文献