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11.
司马谈是西汉时期的史学家、思想家和大学者.他对先秦诸子百家的学说作过深入研究,其成果集中体现在《论六家要指》一文之中.司马谈从"务为治"即把六家学说定性为治理国家的政治学说发论,把道家的政治思想与阴阳、儒、名、墨、法等五家的政治思想作了区分和比较.他认为,道家吸收了其他五家的长处,又没有五家的短处,比较明确地把道家无为政治思想概括为简易政治思想,形成了道家独特的简易政治思想风格.司马谈虽然论的是道家,但主要讲的是老子.  相似文献   
12.
This paper deals with techniques for obtaining random point samples from spatial databases. We seek random points from a continuous domain (usually 2) which satisfy a spatial predicate that is represented in the database as a collection of polygons. Several applications of spatial sampling (e.g. environmental monitoring, agronomy, forestry, etc) are described. Sampling problems are characterized in terms of two key parameters: coverage (selectivity), and expected stabbing number (overlap). We discuss two fundamental approaches to sampling with spatial predicates, depending on whether we sample first or evaluate the predicate first. The approaches are described in the context of both quadtrees and R-trees, detailing the sample first, acceptance/rejection tree, and partial area tree algorithms. A sequential algorithm, the one-pass spatial reservoir algorithm is also described. The relative performance of the various sampling algorithms is compared and choice of preferred algorithms is suggested. We conclude with a short discussion of possible extensions.  相似文献   
13.
Mosler  Karl 《Theory and Decision》1997,42(3):215-233
Indices and orderings are developed for evaluating alternative strategies in the management of risk. They reflect the goals of reducing individual and collective risks, of increasing equity, and of assigning priority to the reduction and to the equity of high risks. Individual risk is defined as the (random or non-random) level of exposure to a danger. In particular the role of a lower negligibility level is investigated. A class of indices is proposed which involves two parameters, a negligibility level and a parameter of inequality aversion, and several interpretations of the indices are discussed. We provide a set of eight axioms which are necessary and sufficient for this class of indices, and we present an approach to deal with partial information on the parameters.  相似文献   
14.
In this article, a system that consists of n independent components each having two dependent subcomponents (Ai, Bi), i = 1, …, n is considered. The system is assumed to compose of components that have two correlated subcomponents (Ai, Bi), and functions iff both systems of subcomponents A1, A2, …, An and B1, B2, …, Bn work under certain structural rules. The expressions for reliability and mean time to failure of such systems are obtained. A sufficient condition to compare two systems of bivariate components in terms of stochastic ordering is also presented.  相似文献   
15.
Xiong Cai  Yiying Zhang 《Statistics》2017,51(3):615-626
In this paper, we compare the hazard rate functions of the second-order statistics arising from two sets of independent multiple-outlier proportional hazard rates (PHR) samples. It is proved that the submajorization order between the sample size vectors together with the supermajorization order between the hazard rate vectors imply the hazard rate ordering between the corresponding second-order statistics from multiple-outlier PHR random variables. The results established here provide theoretical guidance both for the winner's price for the bid in the second-price reverse auction in auction theory and fail-safe system design in reliability. Some numerical examples are also provided for illustration.  相似文献   
16.
In this paper, we investigate the effect of a cold standby component on the mean residual life (MRL) of a system. When the system fails, a cold standby component is immediately put in operation. We particularly focus on the coherent systems in which, after putting the standby component into operation, the failure of the system is due to the next component failure. For these systems, we define MRL functions and obtain their explicit expressions. Also some stochastic ordering results are provided. Such systems include k-out-of-n systems. Hence, our results extend some results in literature.  相似文献   
17.
Measures of statistical divergence are used to assess mutual similarities between distributions of multiple variables through a variety of methodologies including Shannon entropy and Csiszar divergence. Modified measures of statistical divergence are introduced throughout the present article. Those modified measures are related to the Lin–Wong (LW) divergence applied on the past lifetime data. Accordingly, the relationship between Fisher information and the LW divergence measure was explored when applied on the past lifetime data. Throughout this study, a number of relations are proposed between various assessment methods which implement the Jensen–Shannon, Jeffreys, and Hellinger divergence measures. Also, relations between the LW measure and the Kullback–Leibler (KL) measures for past lifetime data were examined. Furthermore, the present study discusses the relationship between the proposed ordering scheme and the distance interval between LW and KL measures under certain conditions.  相似文献   
18.
In this paper, a new generalization of the Kumaraswamy distribution namely, the Kumaraswamy Marshall-Olkin Exponential distribution (KwMOE) is introduced and studied. Various properties are explored. The structural analysis includes various aspects such as limiting behaviour, shape properties, moments, quantiles, mean deviation, Renyi entropy, order statistics and stochastic ordering. Some useful characterizations of the family are also obtained. The method of maximum likelihood is used to estimate the model parameters. Monte Carlo simulation study is being conducted. An application to a real data set is presented for illustrative purposes.  相似文献   
19.
Nuria Torrado 《Statistics》2017,51(6):1359-1376
Stochastic ordering relations between extreme order statistics from exponential, Weibull and gamma distributions have been studied extensively by many researchers in recent years. In this work, we obtain various ordering results for the comparisons of two extreme order statistics from scale models when one set of scale parameters majorizes the other. The new results obtained here are applied when the baseline distributions are exponentiated Weibull or generalized gamma distributions. In this way, we generalize and extend some results established recently in the literature.  相似文献   
20.
A number of efficient computer codes are available for the simple linear L 1 regression problem. However, a number of these codes can be made more efficient by utilizing the least squares solution. In fact, a couple of available computer programs already do so.

We report the results of a computational study comparing several openly available computer programs for solving the simple linear L 1 regression problem with and without computing and utilizing a least squares solution.  相似文献   
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