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1.
Natural disasters can lead to significant changes in health, economic, and demographic outcomes. However, the demographic effects of earthquakes have been studied only to a limited degree. This paper examines the effect of the 2001 Gujarat earthquake on reproductive outcomes. This earthquake killed more than 20,000 people; injured 167,000; and caused massive losses to property and civic assets. Using data from two large-scale District-Level Household Surveys (2002–2004 and 2007–2008), we employ difference-in-difference and fixed-effect regression models to compare the outcomes across earthquake-affected districts and their neighboring districts during 5 years before and after the earthquake. We find that the earthquake led to significant rises in childbirth rates. It also reduced birth spacing among uneducated, tribal, and Muslim women, and the incidence of male births among rural women. We find considerable variation in the demographic effects of the earthquake across location, household socioeconomic status, and parental age and education.  相似文献   
2.
Whether a country should try to improve human well-being of the masses or should concentrate solely on economic upliftment of the country is an alarming question in development economics. Survey of literature evidences a number of views in this respect. Present study uses the lagged dependent variable model to address the question. It attempts to find causal priority between human well-being and per capita gross real product (an indicator of economic achievement of a country). In this context it uses three core indicators of human well-being life expectancy at birth, infant survival rate and adult as well as three broad income groups: high, middle and low.  相似文献   
3.
In this paper, we empirically assess the role of individual social capital on personal bankruptcy and default outcomes in the consumer credit market. After controlling for a borrower’s risk score, debt, income, wealth, and legal and economic environments, we find that default/bankruptcy risk rises and then falls over the lifecycle, while a borrower who owns a home or is married has a lower risk of default/bankruptcy. Moreover, a borrower who migrates 190 miles from his “state of birth” is 17% more likely to default and 15% more likely to file for bankruptcy, while a borrower who continues to live in his state of birth is 14% and 10% less likely to default and file for bankruptcy, respectively. A borrower who moves to a rural area is 9% and 7% less likely to default and declare bankruptcy, respectively. We also find that measures of social networks, norms, and cooperation and trust (i.e., aggregate social capital) are inversely related to consumer bankruptcy.  相似文献   
4.
The paradigm of development in the recent days has been shifted from Per Capita Gross National Product (PCGNP) to Human Well-being. It has also been admitted broadly that PCGNP does not automatically transformed into human well-being. It has thus become common practice to use a range of socio-economic variables for measuring the human Well-being (quality of life) in a country. In order to measure the well-being of about 70 developing countries, this study widens the scope of the Physical Quality of Life Index (PQLI) introduced by Morris, by incorporating a number of social aspects of life. On the basis of these indicators, the achievements in the quality of life of these countries are analyzed in this study. An attempt is also made to compare the decadal improvements in their performances in respect of the quality of life over a period of 1960 to 1990. The study also attempts to analyze the relations between achievements and improvements of quality of life and achievements and improvements in terms of PCRGDP of the countries.  相似文献   
5.
The paradigm of development has shifted from gross national product to human well-being: from economic growth to social development. It has been broadly accepted that economic growth doesnot automatically translate into a better quality of life. Consequently, the main objective of the most of the countries is to achieve better standard of living for their people. In this context it is of interest to have a look at the pairwise convergence or divergence of countries in social development over a period of time. This study uses D2-statistics to obtain a pairwise distance matrix for the sample countries for each point of time 1960 and 1994. The paper presents a gap matrix portraying the change in the distances between each pair of country over the period. This also finds distance of a country from all other countries. All the analysis has been offered for the entire sample as well as three income groups low, middle and high.  相似文献   
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7.
Understanding institutional systems is critical for the advancement of women's participation in leadership in varying contexts. A unique and global analysis of the contextual factors that affect women in political leadership, this paper extends prior research in the field. This is a cross-country study where we ask, “How are societal-level institutional forces related to women's participation in political leadership?” We collected data from 8 secondary sources on 181 countries and conducted linear regression analyses with six institutional influences: the business environment, societal development, the economic environment, physical and technological infrastructure, political freedom, and culture. Results indicate that to increase the political leadership participation of women, we need to evaluate the following: customs and trade regulations, graft, the gender gap in political empowerment, public spending on education, the economic viability of the country, access to power and the internet, political freedom, and cultural variables like performance orientation, collectivism, and power distance.  相似文献   
8.
Between-group comparisons often entail many correlated response variables. The multivariate linear model, with its assumption of multivariate normality, is the accepted standard tool for these tests. When this assumption is violated, the non-parametric multivariate Kruskal–Wallis (MKW) test is frequently used. However, this test requires complete cases with no missing values in response variables. Deletion of cases with missing values likely leads to inefficient statistical inference. Here we extend the MKW test to retain information from partially observed cases. Results of simulated studies and analysis of real data show that the proposed method provides adequate coverage and superior power to complete case analyses.  相似文献   
9.
Human history observed significant changes in life expectancy over the last three and half decades (1960–1995). This study attempts to explore the determinant factors behind improvements in life expectancy in most of the countries in the Post World War II period. In this context the study estimates a double logarithmic convergence type model where the dependent variable is relative change of life over the period and the explanatory variables are initial per capita real gross domestic product, initial per capita calorie intake as percentage of requirement, adult literacy rate at the initial point of time, and initial physician per thousand of population. The study estimates different variants of the basic model. Female population has been treated separately. All estimates have been offered for three broad income groups low, middle and high. An attempt is also made to take into account the effects of some public health measures such as access to safe drinking water and access to sanitation.  相似文献   
10.
A growth curve analysis is often applied to estimate patterns of changes in a given characteristic of different individuals. It is also used to find out if the variations in the growth rates among individuals are due to effects of certain covariates. In this paper, a random coefficient linear regression model, as a special case of the growth curve analysis, is generalized to accommodate the situation where the set of influential covariates is not known a priori. Two different approaches for seleaing influential covariates (a weighted stepwise selection procedure and a modified version of Rao and Wu’s selection criterion) for the random slope coefficient of a linear regression model with unbalanced data are proposed. Performances of these methods are evaluated by means of Monte-Carlo simulation. In addition, several methods (Maximum Likelihood, Restricted Maximum Likelihood, Pseudo Maximum Likelihood and Method of Moments) for estimating the parameters of the selected model are compared Proposed variable selection schemes and estimators are appliedtotheactualindustrial problem which motivated this investigation.  相似文献   
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