首页 | 本学科首页   官方微博 | 高级检索  
文章检索
  按 检索   检索词:      
出版年份:   被引次数:   他引次数: 提示:输入*表示无穷大
  收费全文   4038篇
  免费   125篇
  国内免费   22篇
管理学   147篇
民族学   5篇
人才学   1篇
人口学   14篇
丛书文集   100篇
理论方法论   32篇
综合类   1217篇
社会学   42篇
统计学   2627篇
  2024年   1篇
  2023年   16篇
  2022年   14篇
  2021年   25篇
  2020年   69篇
  2019年   89篇
  2018年   125篇
  2017年   196篇
  2016年   119篇
  2015年   121篇
  2014年   145篇
  2013年   1040篇
  2012年   386篇
  2011年   193篇
  2010年   172篇
  2009年   164篇
  2008年   185篇
  2007年   161篇
  2006年   123篇
  2005年   128篇
  2004年   117篇
  2003年   87篇
  2002年   61篇
  2001年   77篇
  2000年   75篇
  1999年   56篇
  1998年   33篇
  1997年   43篇
  1996年   24篇
  1995年   24篇
  1994年   14篇
  1993年   13篇
  1992年   10篇
  1991年   9篇
  1990年   12篇
  1989年   8篇
  1988年   10篇
  1987年   6篇
  1986年   3篇
  1985年   5篇
  1984年   6篇
  1983年   6篇
  1982年   4篇
  1980年   3篇
  1979年   1篇
  1978年   1篇
  1977年   2篇
  1976年   1篇
  1975年   2篇
排序方式: 共有4185条查询结果,搜索用时 62 毫秒
91.
This paper establishes a nonparametric estimator for the treatment effect on censored bivariate data under unvariate censoring. This proposed estimator is based on the one from Lin and Ying(1993)'s nonparametric bivariate survival function estimator, which is itself a generalized version of Park and Park(1995)' quantile estimator. A Bahadur type representation of quantile functions were obtained from the marginal survival distribution estimator of Lin and Ying' model. The asymptotic property of this estimator is shown below and the simulation studies are also given  相似文献   
92.
ABSTRACT

On the basis of Csiszar's φ-divergence discrimination information, we propose a measure of discrepancy between equilibriums associated with two distributions. Proving that a distribution can be characterized by associated equilibrium distribution, a Renyi distance of the equilibrium distributions is constructed that made us to propose an EDF-based goodness-of-fit test for exponential distribution. For comparing the performance of the proposed test, some well-known EDF-based tests and some entropy-based tests are considered. Based on the simulation results, the proposed test has better powers than those of competing entropy-based tests for the alternatives with decreasing hazard rate function. The use of the proposed test is evaluated in an illustrative example.  相似文献   
93.
Adaptive estimation of parameters of some failure time distributionsis considered. A new procedure named the F-procedure has beendeveloped for selecting an appropriate model out of two possible models by Pandey et.al. (1991). Applying this F-procedure adaptive estimatorsof parameters of exponential, Wei bull, inverse Gaussian (IG) and Wald failure time distributions have been proposed in this paper. Comparison of these estimators has been undertaken with MLE's of the respective parameters and with some previous adaptiveestimators by simulation of samples using the Monte Carlo method.Adaptive estimation of parameters of some failure time distributions is considered. A new procedure named the F-procedure has been developedfor selecting an appropriate model out of two possible models by Pandey et.al. (1991). Applying this F-procedure adaptive estimators of parameters of exponential, Wei bull, inverse Gaussian (IG) and Wald failure time distributions have been proposed in this paper. Comparison of these estimators has been undertaken with MLE's of the respective parameters and with some previous adaptive estimators by simulation of samples using the Monte Carlo method.  相似文献   
94.
The Anderson-Darling goodness-of-fit test has a highly skewed and non-standard limit distribution. Various attempts have been made to tabulate the associated critical points, using both theoretical approximations and simulation methods. We show that a standard saddlepoint approximation performs well in both tails of the distribution. It is markedly superior to other theoretical approximations in the lower tail of the distribution.  相似文献   
95.
It is shown that the locally best invariant test for the existence of outliers for scale parameters of the gamma distribution is given by Bartholomew's test for exponentiality which is the ratio of the sum of squares of the data to the square of the sample mean. The optimality robustness, including null and nonnull robustness of the test is shown. A small simulation study to compare the power among the other eight competitive tests for testing exponentiality is performed. It is seen that the locally best invariant test is not always best but is reasonably good. It is slightly better than Cochran's test and suffers less from the limiting masking effect.  相似文献   
96.
We propose a test for exponentiality against the class of non-exponential distributions having monotone failure rate averages. The test statistic, which is a U-statistic and hence asymptotically normally distributed, is much simpler than its competitors yet compares favorably with them in efficiency and power comparisons.  相似文献   
97.
In this paper, asymptotic relative efficiency (ARE) of Wald tests for the Tweedie class of models with log-linear mean, is considered when the aux¬iliary variable is measured with error. Wald test statistics based on the naive maximum likelihood estimator and on a consistent estimator which is obtained by using Nakarnura's (1990) corrected score function approach are defined. As shown analytically, the Wald statistics based on the naive and corrected score function estimators are asymptotically equivalents in terms of ARE. On the other hand, the asymptotic relative efficiency of the naive and corrected Wald statistic with respect to the Wald statistic based on the true covariate equals to the square of the correlation between the unobserved and the observed co-variate. A small scale numerical Monte Carlo study and an example illustrate the small sample size situation.  相似文献   
98.
Abstract

This paper is concerned with independence test in high-dimension. A new test statistic is proposed with two terms: one is based on the modified distance correlation statistic, the other is constructed to enhance the power under sparse alternatives. Asymptotic properties of the test statistic are discussed under some regular conditions. The finite-sample simulations exhibit its superiority over some existing procedures. Finally, a real data example illustrates the proposed test.  相似文献   
99.
我国的粮食单产存在显著的地区差异,不同地区粮食单产的收敛分析有助于预测粮食生产潜能。对1980年至2012年全国30个省区市稻谷、玉米、小麦三种主粮单产数据的收敛分析发现,传统收敛β收敛与σ收敛的分析结果相互冲突,并且与现实不符。而俱乐部收敛分析发现,稻谷单产全国范围内趋于收敛;玉米单产同样在全国范围内收敛;但小麦单产则不存在总体收敛趋势,而是收敛于三个不同的俱乐部。进一步以“俱乐部”内最高单产为参照测算三种主粮历年的生产潜能,预测结果显示,实际产量与潜在产量的差距在不断缩小;三种主粮在2012年的潜在总产量为6.6万亿吨,仍比实际产量高26%;初步估计,未来10—20年之内,三种主粮的增产潜能会保持在10%以上。  相似文献   
100.
Clinical trials are often designed to compare continuous non‐normal outcomes. The conventional statistical method for such a comparison is a non‐parametric Mann–Whitney test, which provides a P‐value for testing the hypothesis that the distributions of both treatment groups are identical, but does not provide a simple and straightforward estimate of treatment effect. For that, Hodges and Lehmann proposed estimating the shift parameter between two populations and its confidence interval (CI). However, such a shift parameter does not have a straightforward interpretation, and its CI contains zero in some cases when Mann–Whitney test produces a significant result. To overcome the aforementioned problems, we introduce the use of the win ratio for analysing such data. Patients in the new and control treatment are formed into all possible pairs. For each pair, the new treatment patient is labelled a ‘winner’ or a ‘loser’ if it is known who had the more favourable outcome. The win ratio is the total number of winners divided by the total numbers of losers. A 95% CI for the win ratio can be obtained using the bootstrap method. Statistical properties of the win ratio statistic are investigated using two real trial data sets and six simulation studies. Results show that the win ratio method has about the same power as the Mann–Whitney method. We recommend the use of the win ratio method for estimating the treatment effect (and CI) and the Mann–Whitney method for calculating the P‐value for comparing continuous non‐Normal outcomes when the amount of tied pairs is small. Copyright © 2016 John Wiley & Sons, Ltd.  相似文献   
设为首页 | 免责声明 | 关于勤云 | 加入收藏

Copyright©北京勤云科技发展有限公司  京ICP备09084417号