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排序方式: 共有451条查询结果,搜索用时 562 毫秒
41.
C. Ming Wang 《统计学通讯:理论与方法》2013,42(14):1647-1659
The relationship between the mixed-model analysis and multivariate approach to a repeated measures design with multiple responses is presented. It is shown that by taking the trace of the appropriate submatrix of the hypothesis (error) sums of squares and crossproducts (SSCP) matrix obtained from the multivariate approach, one can get the hypothesis (error) SSCP matrix for the mixed-model analysis. Thus, when analyzing data from a multivariate repeated measures design, it is advantageous to use the multivariate approach because the result of the mixed-model analysis can also be obtained without additional computation. 相似文献
42.
This article studies robustification strategies for the linear model in the presence of outliers. The advantages of an internal analysis of the robustness of least squares for a given sample are pointed out. The application of this methodology is illustrated by building an explicit model of the determinants of rental housing values in the Madrid Metropolitan Area. 相似文献
43.
We study the effects of the inclusion of pairs of correlated observations in a sample on likelihood ratio tests for the difference in two means. In particular, we assess how the inclusion of correlated data pairs (e.g., such as data inadvertently collected from sib-pairs) affects the sample size requirements necessary for the implementation of a Likelihood Ratio (LR) test for the difference between two means. Our results suggest that correlated data pairs beneficially or adversely effect sample size requirements for an LR test to a degree functionally related to the mixture parameters dictating their relative frequencies in the larger sample on which the test will be performed, the strength of the correlation between the observations, and the size of imbalances in the sample with respect to the number of observations in each group. The relevance and implications of the results for genetic and epidemiologic research are discussed. 相似文献
44.
This paper deals with the existence and nonexistence of BIB designs with repeated blocks. The approach is an algebraic one. The concept of a support matrix is introduced and some of its basic properties are noted. Some basic examples of support matrices are given when the block size is 3. The connection between full column rank proper support matrices and irreducible designs is explored and some examples of such matrices are given. 相似文献
45.
When we want to compare two designs we usually assume the standard linear model with uncorrelated observations. In this paper we use the comparison method proposed by Ghosh & Shen (2006) to compare three level orthogonal arrays with 18, 27 and 36 runs under a possible presence of correlation in observations. 相似文献
46.
We consider statistical inference on parameters of a distribution when only pooled data are observed. A moment-based estimating equation approach is proposed to deal with situations where likelihood functions based on pooled data are difficult to work with. We outline the method to obtain estimates and test statistics of the parameters of interest in the general setting. We demonstrate the approach on the family of distributions generated by the Box-Cox transformation model, and, in the process, construct tests for goodness of fit based on the pooled data. 相似文献
47.
To adjust or not to adjust for baseline when analyzing repeated binary responses? The case of complete data when treatment comparison at study end is of interest
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Honghua Jiang Pandurang M. Kulkarni Craig H. Mallinckrodt Linda Shurzinske Geert Molenberghs Ilya Lipkovich 《Pharmaceutical statistics》2015,14(3):262-271
The benefits of adjusting for baseline covariates are not as straightforward with repeated binary responses as with continuous response variables. Therefore, in this study, we compared different methods for analyzing repeated binary data through simulations when the outcome at the study endpoint is of interest. Methods compared included chi‐square, Fisher's exact test, covariate adjusted/unadjusted logistic regression (Adj.logit/Unadj.logit), covariate adjusted/unadjusted generalized estimating equations (Adj.GEE/Unadj.GEE), covariate adjusted/unadjusted generalized linear mixed model (Adj.GLMM/Unadj.GLMM). All these methods preserved the type I error close to the nominal level. Covariate adjusted methods improved power compared with the unadjusted methods because of the increased treatment effect estimates, especially when the correlation between the baseline and outcome was strong, even though there was an apparent increase in standard errors. Results of the Chi‐squared test were identical to those for the unadjusted logistic regression. Fisher's exact test was the most conservative test regarding the type I error rate and also with the lowest power. Without missing data, there was no gain in using a repeated measures approach over a simple logistic regression at the final time point. Analysis of results from five phase III diabetes trials of the same compound was consistent with the simulation findings. Therefore, covariate adjusted analysis is recommended for repeated binary data when the study endpoint is of interest. Copyright © 2015 John Wiley & Sons, Ltd. 相似文献
48.
In this paper, we introduce a multilevel model specification with time-series components for the analysis of prices of artworks sold at auctions. Since auction data do not constitute a panel or a time series but are composed of repeated cross-sections, they require a specification with items at the first level nested in time-points. Our approach combines the flexibility of mixed effect models together with the predicting performance of time series as it allows to model the time dynamics directly. Model estimation is obtained by means of maximum likelihood through the expectation–maximization algorithm. The model is motivated by the analysis of the first database ethnic artworks sold in the most important auctions worldwide. The results show that the proposed specification improves considerably over classical proposals both in terms of fit and prediction. 相似文献
49.
崔保菊 《西南科技大学学报(哲学社会科学版)》2014,(4):48-49
目的:基层社区中心更应重视老年患者的用药安全。方法对某社区中心2013年全年60岁及以上患者的处方进行统计分析。结果合格率87.5%,不合格12.5%,其中联合用药不合理者占8.9%,因联合致不良反应增加者占0.6%,配伍禁忌者0.4%,用法用量不合理者1.2%。结论老年患者用药现状不乐观,呼吁全社会医务人员及家属都来重视老年患者的用药安全问题。 相似文献
50.
Hideyuki Douke 《统计学通讯:理论与方法》2013,42(12):3015-3029
In this study we discuss the group sequential procedures for comparing two treatments based on multivariate observations in clinical trials. Also we suppose that a response vector on each of two treatments has a multivariate normal distribution with unknown covariance matrix. Then we propose a group sequential x2 statistic in order to carry out repeated significance test for hypothesis of no difference between two population mean vectors. In order to realize the group sequential test where average sample number is reduced, we propose another modified group sequential x2 statistic by extension of Jennison and Turnbull ( 1991 ). After construction of repeated confidence boundaries for making the repeated significance test, we compare two group sequential procedures based on two statistics regarding the average sample number and the power of the test in the simulations. 相似文献