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181.
182.
Haiyong Zhang 《Journal of applied statistics》2017,44(13):2337-2353
In this study, a combined asymmetric spatial weights matrix is proposed for capturing the unequal spatial dependence of housing prices, where the advantage of this matrix was demonstrated by a non-nested hypothesis test. To explore the heterogeneous spatial impacts of urban essential characteristics on housing prices over the eastern, central, and western regions of China, after the Lagrange multiplier and likelihood ratio tests, the spatial Durbin model using the proposed weights matrix was applied to each region. The estimation results showed that the direct impacts of college and new employment were significantly negative in the eastern region, but not significant in the central and western regions. By contrast, the direct impacts of hospitals and scenic spots were significantly positive in eastern China, but not significant in central and western China. In addition, the indirect impacts of the four variables were not significant in the three regions. These results suggest that in eastern China, the government may increase the requirements for using medical resources and close tourist attractions in a single city to cool down the skyrocketing housing prices in this area. 相似文献
183.
In many applications, the clustered count data often contain excess zeros and the zero-inflated generalized Poisson mixed (ZIGPM) regression model may be suitable. However, dispersion in ZIGPM is often treated as fixed unknown parameter, and this assumption may be not appropriate in some situations. In this article, a score test for homogeneity of dispersion parameter in ZIGPM regression model is developed and corresponding test statistic is obtained. Sampling distribution and power of the score test statistic are investigated through Monte Carlo simulation. Finally, results from a biological example illustrate the usefulness of the diagnostic statistic. 相似文献
184.
We propose an algorithm of multiple comparisons in two-factor testing of psychophysical thresholds. We use logistic regression combined with guessing rate and adopt the step-down procedure with Ryan–Einot–Gabriel–Welsch (REGW) significance levels for multiple test. We test hypotheses of main effects and interaction in two-factor problem by using the delta test statistics. 相似文献
185.
186.
Šárka Hudecová Marie Hušková Simos G. Meintanis 《Scandinavian Journal of Statistics》2017,44(4):843-865
We propose methods for detecting structural changes in time series with discrete‐valued observations. The detector statistics come in familiar L2‐type formulations incorporating the empirical probability generating function. Special emphasis is given to the popular models of integer autoregression and Poisson autoregression. For both models, we study mainly structural changes due to a change in distribution, but we also comment for the classical problem of parameter change. The asymptotic properties of the proposed test statistics are studied under the null hypothesis as well as under alternatives. A Monte Carlo power study on bootstrap versions of the new methods is also included along with a real data example. 相似文献
187.
In this article, we consider inference about the correlation coefficients of several bivariate normal distributions. We first propose computational approach tests for testing the equality of the correlation coefficients. In fact, these approaches are parametric bootstrap tests, and simulation studies show that they perform very satisfactory, and the actual sizes of these tests are better than other existing approaches. We also present a computational approach test and a parametric bootstrap confidence interval for inference about the parameter of common correlation coefficient. At the end, all the approaches are illustrated using two real examples. 相似文献
188.
Here, we consider a generalized form of the alternative zero-inflated logarithmic series distribution of Kumar and Riyaz (J. Statist. Comp. Simul., 2015) and study some of its important aspects. The parameters of the distribution are estimated by the method of maximum likelihood and some test procedures are developed for testing the significance of the additional parameter of the model. All these estimation and testing procedures are illustrated with the help of certain real life datasets. A simulation study is also carried out for assessing the performance of the estimators. 相似文献
189.
Ehab F. Abd-Elfattah 《统计学通讯:模拟与计算》2017,46(6):4274-4280
Many nonparametric tests in one sample problem, matched pairs, and competingrisks under censoring have the same underlying permutation distribution. This article proposes a saddlepoint approximation to the exact p-values of these tests instead of the asymptotic approximations. The performance of the saddlepoint approximation is assessed by using simulation studies that show the superiority of the saddlepoint methods over the asymptotic approximations in several settings. The use of the saddlepoint to approximate the p-values of class of two sample tests under complete randomized design is also discussed. 相似文献
190.
In the article, properties of the Bennett test and Miller test are analyzed. Assuming that the sample size is the same for each sample and considering the null hypothesis that the coefficients of variation for k populations are equal against the hypothesis that k ? 1 coefficients of variation are the same but differ from the coefficient of variation for the kth population, the empirical significance level and the power of the test are studied. Moreover, the dependence of the test statistic and the power of the test on the ratio of coefficients of variation are considered. The analyses are performed on simulated data. 相似文献