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1.
梁俊艳 《西藏民族学院学报》2015,(1):20-29,154
本文对英国学者兰姆的生平和学术生涯做了一个较为详细的梳理,在此基础上介绍了其著作《麦克马洪线:1904-1914年印度、中国和西藏关系史研究》,认为这是一部研究中印关系,特别是中印边界问题的经典著作。深入的分析、缜密的考证,以及比较客观的叙述,展现出作者严谨的治学态度。与西方大多数学者不同的是,兰姆在书中用事实有力地驳斥了印度政府妄图继承英帝国遗产的观点,提出了许多值得参考的看法。同时,也指出了该书存在的不足之处。 相似文献
2.
赵琪 《西南民族大学学报(人文社会科学版)》2020,(1):87-93
中英1894年签订《续议滇缅界、商务条款》,条约前5条是关于定界的规定,划定了除中缅北段未定界以外的边界。由于对有效占有的理解、条约文本、以及地图的失误,中国反而丧失了实际管辖的小江流域,也遗留下南段未定界。中缅近代遗留的南、北两段边界争端,除近代欧洲列强侵略原因外,也源于中国对领土划界、国际法领土取得和变更理论的理解不够深入和准确。因此,及时理解国际法有关领土理论的产生与变更、在积极运用国际法解决边界争端之时更谨慎地注意技术上的细节,才是真正解决国家边界争端的恰当方式。 相似文献
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4.
周亮 《河北大学学报(哲学社会科学版)》2020,45(1):108-119
现代经济主体间网络关联性越来越强,风险很容易在不同行业间扩散,因此有效识别并分析系统性风险是防范金融危机的关键步骤。基于条件风险价值(CoVaR)和边际期望损失(MES)两个指标,对巨潮行业指数系统性风险的静态和动态特征进行了研究。结果发现,各行业间系统性风险的相关性较强,动态特征显示2009年年初和2016年3月为系统性风险的两个峰值;从分行业来看,材料行业的系统性风险最高,而消费和医药行业的系统性风险最低。采用动态面板模型分析影响行业系统性风险的市场面因素发现,短期涨幅较高、长期涨幅较低及流动性较充分的行业,其系统性风险往往更低。因此,应加强对系统性风险较高行业的监管力度,建立好金融防火墙,防止外部金融风险的过度传染;同时应加强对各行业的实时监控,尤其是关注短期暴涨暴跌及流动性充分与否的监控。 相似文献
5.
通过广义哈密顿系统和观测器方法研究了一类非光滑复杂网络混沌系统的同步控制问题,消除了非光滑项,得到了光滑的误差系统,利用Lyapunov稳定性理论得到了误差系统渐近稳定的充分条件. 相似文献
6.
由于长期注水开发和层间非均质性影响,高含水期油藏各小层层间压力结构差异严重,掌握差异状况是合理调整的重要依据。针对现场分层测压资料少,单层压力资料获取困难的情况,应用渗流力学原理建立了高含水期地层层间压力结构差异量化数学模型,模型的关键参数可以通过生产数据计算获得。枣园油田的实例验证表明,高含水油藏层间压力存在明显差异,该方法能够确定各小层的压力差异状况。量化计算结果和实测资料相接近,有利于认清开发矛盾,为合理调整提供技术依据。 相似文献
7.
张鹏 《重庆文理学院学报》2015,34(5):42-45
首先对1980—2013年全国年度GDP数据进行消除趋势分析(DFA),发现GDP时序具有长记忆性,表明当前GDP值用来预测未来一段时间内的GDP值具有可行性,在此基础上利用具有非线性和强泛化能力特点的支持向量回归机(SVR),建立SVR预测模型,得到了较好的预测效果. 相似文献
8.
Integrating Operational and Organizational Aspects in Interdependent Infrastructure Network Recovery
Camilo Gomez Andrs D. Gonzlez Hiba Baroud Claudia D. Bedoya‐Motta 《Risk analysis》2019,39(9):1913-1929
Managing risk in infrastructure systems implies dealing with interdependent physical networks and their relationships with the natural and societal contexts. Computational tools are often used to support operational decisions aimed at improving resilience, whereas economics‐related tools tend to be used to address broader societal and policy issues in infrastructure management. We propose an optimization‐based framework for infrastructure resilience analysis that incorporates organizational and socioeconomic aspects into operational problems, allowing to understand relationships between decisions at the policy level (e.g., regulation) and the technical level (e.g., optimal infrastructure restoration). We focus on three issues that arise when integrating such levels. First, optimal restoration strategies driven by financial and operational factors evolve differently compared to those driven by socioeconomic and humanitarian factors. Second, regulatory aspects have a significant impact on recovery dynamics (e.g., effective recovery is most challenging in societies with weak institutions and regulation, where individual interests may compromise societal well‐being). And third, the decision space (i.e., available actions) in postdisaster phases is strongly determined by predisaster decisions (e.g., resource allocation). The proposed optimization framework addresses these issues by using: (1) parametric analyses to test the influence of operational and socioeconomic factors on optimization outcomes, (2) regulatory constraints to model and assess the cost and benefit (for a variety of actors) of enforcing specific policy‐related conditions for the recovery process, and (3) sensitivity analyses to capture the effect of predisaster decisions on recovery. We illustrate our methodology with an example regarding the recovery of interdependent water, power, and gas networks in Shelby County, TN (USA), with exposure to natural hazards. 相似文献
9.
Rachael Piltch‐Loeb Brian J. Zikmund‐Fisher Victoria A. Shaffer Laura D. Scherer Megan Knaus Angie Fagerlin David M. Abramson Aaron M. Scherer 《Risk analysis》2019,39(12):2683-2693
Perceptions of infectious diseases are important predictors of whether people engage in disease‐specific preventive behaviors. Having accurate beliefs about a given infectious disease has been found to be a necessary condition for engaging in appropriate preventive behaviors during an infectious disease outbreak, while endorsing conspiracy beliefs can inhibit preventive behaviors. Despite their seemingly opposing natures, knowledge and conspiracy beliefs may share some of the same psychological motivations, including a relationship with perceived risk and self‐efficacy (i.e., control). The 2015–2016 Zika epidemic provided an opportunity to explore this. The current research provides some exploratory tests of this topic derived from two studies with similar measures, but different primary outcomes: one study that included knowledge of Zika as a key outcome and one that included conspiracy beliefs about Zika as a key outcome. Both studies involved cross‐sectional data collections that occurred during the same two periods of the Zika outbreak: one data collection prior to the first cases of local Zika transmission in the United States (March–May 2016) and one just after the first cases of local transmission (July–August). Using ordinal logistic and linear regression analyses of data from two time points in both studies, the authors show an increase in relationship strength between greater perceived risk and self‐efficacy with both increased knowledge and increased conspiracy beliefs after local Zika transmission in the United States. Although these results highlight that similar psychological motivations may lead to Zika knowledge and conspiracy beliefs, there was a divergence in demographic association. 相似文献
10.
Towards Uniformly Efficient Trend Estimation Under Weak/Strong Correlation and Non‐stationary Volatility
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In this paper, we consider the deterministic trend model where the error process is allowed to be weakly or strongly correlated and subject to non‐stationary volatility. Extant estimators of the trend coefficient are analysed. We find that under heteroskedasticity, the Cochrane–Orcutt‐type estimator (with some initial condition) could be less efficient than Ordinary Least Squares (OLS) when the process is highly persistent, whereas it is asymptotically equivalent to OLS when the process is less persistent. An efficient non‐parametrically weighted Cochrane–Orcutt‐type estimator is then proposed. The efficiency is uniform over weak or strong serial correlation and non‐stationary volatility of unknown form. The feasible estimator relies on non‐parametric estimation of the volatility function, and the asymptotic theory is provided. We use the data‐dependent smoothing bandwidth that can automatically adjust for the strength of non‐stationarity in volatilities. The implementation does not require pretesting persistence of the process or specification of non‐stationary volatility. Finite‐sample evaluation via simulations and an empirical application demonstrates the good performance of proposed estimators. 相似文献