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   1537篇
  免费   39篇
  国内免费   5篇
管理学   109篇
人口学   27篇
丛书文集   18篇
理论方法论   12篇
综合类   156篇
社会学   71篇
统计学   1188篇
  2024年   2篇
  2023年   14篇
  2022年   13篇
  2021年   17篇
  2020年   35篇
  2019年   73篇
  2018年   69篇
  2017年   113篇
  2016年   59篇
  2015年   40篇
  2014年   64篇
  2013年   366篇
  2012年   114篇
  2011年   41篇
  2010年   55篇
  2009年   42篇
  2008年   33篇
  2007年   42篇
  2006年   42篇
  2005年   36篇
  2004年   27篇
  2003年   32篇
  2002年   39篇
  2001年   32篇
  2000年   20篇
  1999年   21篇
  1998年   17篇
  1997年   19篇
  1996年   17篇
  1995年   10篇
  1994年   9篇
  1993年   8篇
  1992年   15篇
  1991年   4篇
  1990年   8篇
  1989年   6篇
  1988年   3篇
  1987年   3篇
  1986年   3篇
  1985年   2篇
  1984年   1篇
  1983年   6篇
  1982年   1篇
  1981年   1篇
  1980年   2篇
  1979年   1篇
  1978年   2篇
  1977年   2篇
排序方式: 共有1581条查询结果,搜索用时 434 毫秒
11.
测试实数编码遗传算法的困难度   总被引:3,自引:0,他引:3  
分析了遗传算法困难度测试在遗传算法研究中的重要意义. 鉴于当前这方面的研究集 中于二进制编码遗传算法,对实数编码遗传算法的困难度测试进行了分析. 探讨了实数编码遗 传算法困难度分析的适应值与距离相关系数测试法与基于随机游走模型的相关函数测试法, 提出了最佳一阶函数逼近测试法,做了大量实验,并根据实证分析结果对三种方法进行了比较 与评价.  相似文献   
12.
We consider a class of dependent Bernoulli variables where the conditional success probability is a linear combination of the last few trials and the original success probability. We obtain its limit theorems including the strong law of large numbers, weak invariance principle, and law of the iterated logarithm. We also derive some statistical inference results which make the model applicable. Simulation results are exhibited as well to show that with small sample size the convergence rate is satisfying and the proposed estimators behave well.  相似文献   
13.
This paper develops a test for comparing treatment effects when observations are missing at random for repeated measures data on independent subjects. It is assumed that missingness at any occasion follows a Bernoulli distribution. It is shown that the distribution of the vector of linear rank statistics depends on the unknown parameters of the probability law that governs missingness, which is absent in the existing conditional methods employing rank statistics. This dependence is through the variance–covariance matrix of the vector of linear ranks. The test statistic is a quadratic form in the linear rank statistics when the variance–covariance matrix is estimated. The limiting distribution of the test statistic is derived under the null hypothesis. Several methods of estimating the unknown components of the variance–covariance matrix are considered. The estimate that produces stable empirical Type I error rate while maintaining the highest power among the competing tests is recommended for implementation in practice. Simulation studies are also presented to show the advantage of the proposed test over other rank-based tests that do not account for the randomness in the missing data pattern. Our method is shown to have the highest power while also maintaining near-nominal Type I error rates. Our results clearly illustrate that even for an ignorable missingness mechanism, the randomness in the pattern of missingness cannot be ignored. A real data example is presented to highlight the effectiveness of the proposed method.  相似文献   
14.
This paper explores how bilateral and multilateral clustering are embedded in a multilevel system of interdependent networks. We argue that in complex systems in which bilateral and multilateral relations are themselves interrelated, such as global fisheries governance, embeddedness cannot be reduced to unipartite or bipartite clustering but implicates multilevel closure. We elaborate expectations for ties’ multilevel embeddedness based on network theory and substantive considerations and explore them using a multilevel ERGM. We find states’ bilateral ties are embedded in their shared membership in multilateral fisheries agreements, which is itself clustered around foci represented by similar content and treaty secretariats.  相似文献   
15.
A random effects model for analyzing mixed longitudinal count and ordinal data is presented where the count response is inflated in two points (k and l) and an (k,l)-Inflated Power series distribution is used as its distribution. A full likelihood-based approach is used to obtain maximum likelihood estimates of parameters of the model. For data with non-ignorable missing values models with probit model for missing mechanism are used.The dependence between longitudinal sequences of responses and inflation parameters are investigated using a random effects approach. Also, to investigate the correlation between mixed ordinal and count responses of each individuals at each time, a shared random effect is used. In order to assess the performance of the model, a simulation study is performed for a case that the count response has (k,l)-Inflated Binomial distribution. Performance comparisons of count-ordinal random effect model, Zero-Inflated ordinal random effects model and (k,l)-Inflated ordinal random effects model are also given. The model is applied to a real social data set from the first two waves of the national longitudinal study of adolescent to adult health (Add Health study). In this data set, the joint responses are the number of days in a month that each individual smoked as the count response and the general health condition of each individual as the ordinal response. For the count response there is incidence of excess values of 0 and 30.  相似文献   
16.
This contribution deals with the Monte Carlo simulation of generalized Gaussian random variables. Such a parametric family of distributions has been proposed in many applications in science to describe physical phenomena and in engineering, and it seems to be also useful in modelling economic and financial data. For values of the shape parameter α within a certain range, the distribution presents heavy tails. In particular, the cases α=1/3 and α=1/2 are considered. For such values of the shape parameter, different simulation methods are assessed.  相似文献   
17.
In this paper, we investigate the complete moment convergence and Lr convergence for maximal partial sums of asymptotically almost negatively associated random variables under some general conditions. The results obtained in the paper generalize some corresponding ones for negatively associated random variables.  相似文献   
18.
A large-scale study, in which two million random Voronoi polygons (with respect to a homogeneous Poisson point process) were generated and mensurated, is described. The polygon characteristics recorded are number of sides (or vertices), perimeter, area and interior angles. A feature is the efficient “quantile” method of replicating Poisson-type random structures, which it is hoped may find useful application elsewhere.  相似文献   
19.
20.
A simulation study of the binomial-logit model with correlated random effects is carried out based on the generalized linear mixed model (GLMM) methodology. Simulated data with various numbers of regression parameters and different values of the variance component are considered. The performance of approximate maximum likelihood (ML) and residual maximum likelihood (REML) estimators is evaluated. For a range of true parameter values, we report the average biases of estimators, the standard error of the average bias and the standard error of estimates over the simulations. In general, in terms of bias, the two methods do not show significant differences in estimating regression parameters. The REML estimation method is slightly better in reducing the bias of variance component estimates.  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