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排序方式: 共有218条查询结果,搜索用时 15 毫秒
211.
Sample coordination maximizes or minimizes the overlap of two or more samples selected from overlapping populations. It can be applied to designs with simultaneous or sequential selection of samples. We propose a method for sample coordination in the former case. We consider the case where units are to be selected with maximum overlap using two designs with given unit inclusion probabilities. The degree of coordination is measured by the expected sample overlap, which is bounded above by a theoretical bound, called the absolute upper bound, and which depends on the unit inclusion probabilities. If the expected overlap equals the absolute upper bound, the sample coordination is maximal. Most of the methods given in the literature consider fixed marginal sampling designs, but in many cases, the absolute upper bound is not achieved. We propose to construct optimal sampling designs for given unit inclusion probabilities in order to realize maximal coordination. Our method is based on some theoretical conditions on joint selection probability of two samples and on the controlled selection method with linear programming implementation. The method can also be applied to minimize the sample overlap.  相似文献   
212.
We consider Bayesian testing for independence of two categorical variables with covariates for a two-stage cluster sample. This is a difficult problem because we have a complex sample (i.e. cluster sample), not a simple random sample. Our approach is to convert the cluster sample with covariates into an equivalent simple random sample without covariates, which provides a surrogate of the original sample. Then, this surrogate sample is used to compute the Bayes factor to make an inference about independence. We apply our methodology to the data from the Trend in International Mathematics and Science Study [30] for fourth grade US students to assess the association between the mathematics and science scores represented as categorical variables. We show that if there is strong association between two categorical variables, there is no significant difference between the tests with and without the covariates. We also performed a simulation study to further understand the effect of covariates in various situations. We found that for borderline cases (moderate association between the two categorical variables), there are noticeable differences in the test with and without covariates.  相似文献   
213.
Multi-stage time evolving models are common statistical models for biological systems, especially insect populations. In stage-duration distribution models, parameter estimation for the models use the Laplace transform method. This method involves assumptions such as known constant shapes, known constant rates or the same overall hazard rate for all stages. These assumptions are strong and restrictive. The main aim of this paper is to weaken these assumptions by using a Bayesian approach. In particular, a Metropolis-Hastings algorithm based on deterministic transformations is used to estimate parameters. We will use two models, one which has no hazard rates, and the other has stage-wise constant hazard rates. These methods are validated in simulation studies followed by a case study of cattle parasites. The results show that the proposed methods are able to estimate the parameters comparably well, as opposed to using the Laplace transform methods.  相似文献   
214.
We propose the total bootstrap median (TBM) as a robust and efficient estimator of location and scale for small samples. We demonstrate its performance by estimating the mean and variance of a variety of distributions. We also show that, if the underlying distribution is unknown and there is either no contamination or low to moderate contamination, the TBM provides a better estimate of the mean, in mean square terms, than the sample mean or the sample median. In addition, the TBM is a better estimator of the variance of the underlying distribution than the sample variance or the square of the bias-corrected median absolute deviation from the median estimator. We also show that the TBM is an explicit L-estimator, which allows a direct study of its properties.  相似文献   
215.
In this paper, we focus on stochastic comparisons of extreme order statistics from heterogeneous independent/interdependent Weibull samples. Specifically, we study extreme order statistics from Weibull distributions with (i) common shape parameter but different scale parameters, and (ii) common scale parameter but different shape parameters. Several new comparison results in terms of the likelihood ratio order, reversed hazard rate order and usual stochastic order are studied in those scenarios. The results established here strengthen and generalize some of the results known in the literature including Khaledi and Kochar [Weibull distribution: some stochastic comparisons. J Statist Plann Inference. 2006;136:3121–3129], Fang and Zhang [Stochastic comparisons of series systems with heterogeneous Weibull components. Statist Probab Lett. 2013;83:1649–1653], Torrado [Comparisons of smallest order statistics from Weibull distributions with different scale and shape parameters. J Korean Statist Soc. 2015;44:68–76] and Torrado and Kochar [Stochastic order relations among parallel systems from Weibull distributions. J Appl Probab. 2015;52:102–116]. Some numerical examples are also provided for illustration.  相似文献   
216.
A common strategy for avoiding information overload in multi-factor paired comparison experiments is to employ pairs of options which have different levels for only some of the factors in a study. For the practically important case where the factors fall into three groups such that all factors within a group have the same number of levels and where one is only interested in estimating the main effects, a comprehensive catalogue of D-optimal approximate designs is presented. These optimal designs use at most three different types of pairs and have a block diagonal information matrix.  相似文献   
217.
Let Yr+1:n ≤ Y:r+2:n ≤≤… <Yn?6:n-<: TYPE-II censored sample from an extreme value population with µ and α as the location and scale parameters, respectively. Tables of coefficients for the best linear unbiased estimators (BLUEs) of µ and α are presented for various choices of censoring and sample sizes n = 2(1)15(5)30; variances and covariance of these estimators are also presented. The computational formulae and procedure used and some checks employed are explained. We finally illustrate some uses of the tables by taking examples.  相似文献   
218.
生物识别信息是对自然人的生物特征进行特定技术处理所形成的信息。个人生物特征具有不变性和唯一性的特点,这使生物识别能够一劳永逸地实现对个人身份的鉴别。经过特定技术处理所形成的生物识别信息也具有这些特点,因此任何对于生物识别信息的攻击都可能对个人产生不可逆转的影响。现实生活中,商业化收集的泛滥、限制行动自由、售卖和窃取、深度伪造以及诈骗已经成为侵害生物识别信息的重要表现。保护个人生物识别信息安全迫在眉睫,而准确界定生物识别信息是首要前提。综观国外立法经验,生物识别信息的构成应当聚焦三个要素:个人生物特征之反映、特定技术处理之环节、唯一性识别之功能。此三项要素也是认定生物识别信息的关键。生物识别信息可以通过含有个人生物特征的图像来采集,但是该图像仅仅是个人生物特征的反映。在没有进行特定技术处理之前,图像本身并不构成生物识别信息,无论该图像是电子图像抑或纸质照片。生物识别信息的本质是对个人生物特征进行的测量,即所谓的“特定技术处理”,至于测量的方式则在所不问。无论进行面对面的真人测量抑或从含有个人生物特征的图像中测量,所得的信息都是生物识别信息。单纯对于个人生物特征的描述不构成生物识别信息,个...  相似文献   
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