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排序方式: 共有463条查询结果,搜索用时 15 毫秒
1.
通过构造几类图的最大独立集,给出了它们的分数染色数的下界;再通过构造具有该下界值的分数染色,给出了这几类循环图的分数染色数的上界,于是就确定了它们的分数染色数. 相似文献
2.
特征提取是手写体数字识别研究中的重要问题,有效、稳定的特征是提高识别率和识别精度的关键。该文提出了一种基于分数本征特征和核非线性分类器的手写数字识别方法,首先找到时频平面的一个轴进行分数傅里叶变换,使不同类别样本在这个轴上最大限度地分开,然后用主元分析进行降维,得到比较稳健的低维特征,再将常用分类器用于特征分类,实现对手写数字的识别。对实际数据进行实验,结果表明上述本征特征与核非线性分类器相结合有较高的识别率和训练、分类效率。 相似文献
3.
Kaatje Bollaerts Marc Aerts Christel Faes Koen Grijspeerdt Jeroen Dewulf Koen Mintiens 《Risk analysis》2008,28(2):427-440
The quantification of the relationship between the amount of microbial organisms ingested and a specific outcome such as infection, illness, or mortality is a key aspect of quantitative risk assessment. A main problem in determining such dose-response models is the availability of appropriate data. Human feeding trials have been criticized because only young healthy volunteers are selected to participate and low doses, as often occurring in real life, are typically not considered. Epidemiological outbreak data are considered to be more valuable, but are more subject to data uncertainty. In this article, we model the dose-illness relationship based on data of 20 Salmonella outbreaks, as discussed by the World Health Organization. In particular, we model the dose-illness relationship using generalized linear mixed models and fractional polynomials of dose. The fractional polynomial models are modified to satisfy the properties of different types of dose-illness models as proposed by Teunis et al . Within these models, differences in host susceptibility (susceptible versus normal population) are modeled as fixed effects whereas differences in serovar type and food matrix are modeled as random effects. In addition, two bootstrap procedures are presented. A first procedure accounts for stochastic variability whereas a second procedure accounts for both stochastic variability and data uncertainty. The analyses indicate that the susceptible population has a higher probability of illness at low dose levels when the combination pathogen-food matrix is extremely virulent and at high dose levels when the combination is less virulent. Furthermore, the analyses suggest that immunity exists in the normal population but not in the susceptible population. 相似文献
4.
本文分析了传统FAGM(1,1)模型建模过程中存在的误差,提出了一种基于Simpson公式改进的FAGM(1,1)模型。首先,基于分数阶累加生成算子和分数阶累减生成算子建立分数阶FAGM(1,1)模型。其次,利用Simpson积分公式对FAGM(1,1)模型的背景值进行改进,建立SFAGM(1,1)模型。进一步,应用遗传算法确定SFAGM(1,1)模型的最优阶数以提高模型的预测精度。最后,以中国人均GDP为例,对比分析GM(1,1)模型、Simpson改进的GM(1,1)模型(SGM(1,1))、FAGM(1,1)模型、SFAGM(1,1)模型的模拟结果,并对"十三五"时期的人均GDP进行预测,其结果表明SFAGM(1,1)模型比GM(1,1)、SGM(1,1)、FAGM(1,1)在人均GDP的预测方面有更高的精度,"十三五"期间人均GDP年平均增长率为10.64%,到2020年达到83146.97元,是2010年人均GDP的2.69倍,以2010年的人均GDP为基准,到2020年将能够实现翻一番的目标。 相似文献
5.
The posterior distribution of the likelihood is used to interpret the evidential meaning of P-values, posterior Bayes factors and Akaike's information criterion when comparing point null hypotheses with composite alternatives. Asymptotic arguments lead to simple re-calibrations of these criteria in terms of posterior tail probabilities of the likelihood ratio. (Prior) Bayes factors cannot be calibrated in this way as they are model-specific. 相似文献
6.
7.
中国狭义货币及其各组合分量的需求模型 总被引:1,自引:0,他引:1
主要研究流通中现金、活期存款和狭义货币的需求函数.实证结果表明现金、活期存款和狭义货币与收入、价格水平、利率和货币化进程存在长期均衡关系.中国的货币供给增长率大于经济增长和通货膨胀率之和,原因在于中国存在货币化现象,货币存量的增加除了满足经济增长的需要还要满足经济货币化的那一部分 相似文献
8.
《Journal of Statistical Computation and Simulation》2012,82(10):1517-1529
This paper investigates the lag length selection problem of a vector error correction model by using a convergent information criterion and tools based on the Box–Pierce methodology recently proposed in the literature. The performances of these approaches for selecting the optimal lag length are compared via Monte Carlo experiments. The effects of misspecified deterministic trend or cointegrating rank on the lag length selection are studied. Noting that processes often exhibit nonlinearities, the cases of iid and conditionally heteroscedastic errors will be considered. Strategies that can avoid misleading situations are proposed. 相似文献
9.
中国A、B股市场相关性与协整性的实证研究 总被引:1,自引:0,他引:1
运用相关、协整和因果关系检验等计量经济学方法对中国AB股市场之间的相关性与协整性进行了实证研究,以期找出股市间价格波动的运行规律。结果表明,B股市场对境内投资者开放后,沪深两市A股与B股之间开始存在协整关系,并且沪市的A股市场是先于B股市场的,而深市AB股市场之间不存在先导性。研究结果为判断和分析中国股票市场的基本特征和投资者行为,提供了一定的参考依据。 相似文献
10.
《Omega》2014
This paper presents an effective and efficient method for solving a special class of mixed integer fractional programming (FP) problems. We take a classical reformulation approach for continuous FP as a starting point and extend it for solving a more general class of mixed integer (0–1) fractional programming problems.To stress the practical relevance of the research we focus on a real-life application in paper production industry. The constantly advancing physical knowledge of large scale pulp and paper production did have a substantial impact on an existing DSS in which mixed integer (0–1) fractional programming is introduced. We show that the motivation to solve a real-life fractional programming problem can provide the basis for a new approach in a new context that has an added value of its own, even outside the given application area. We describe the main characteristics of the DSS, the necessity to develop a non-iterative solution procedure and demonstrate both the effectiveness and efficiency of the proposed approach from practical data sets. 相似文献