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1.
Gabriela Beganu 《Statistical Methods and Applications》2007,16(3):347-356
It is known that the Henderson Method III (Biometrics 9:226–252, 1953) is of special interest for the mixed linear models
because the estimators of the variance components are unaffected by the parameters of the fixed factor (or factors). This
article deals with generalizations and minor extensions of the results obtained for the univariate linear models. A MANOVA
mixed model is presented in a convenient form and the covariance components estimators are given on finite dimensional linear
spaces. The results use both the usual parametric representations and the coordinate-free approach of Kruskal (Ann Math Statist
39:70–75, 1968) and Eaton (Ann Math Statist 41:528–538, 1970). The normal equations are generalized and it is given a necessary
and sufficient condition for the existence of quadratic unbiased estimators for covariance components in the considered model. 相似文献
2.
Peter Hall Qiwei Yao 《Journal of the Royal Statistical Society. Series B, Statistical methodology》2003,65(2):425-442
Summary. We develop a general methodology for tilting time series data. Attention is focused on a large class of regression problems, where errors are expressed through autoregressive processes. The class has a range of important applications and in the context of our work may be used to illustrate the application of tilting methods to interval estimation in regression, robust statistical inference and estimation subject to constraints. The method can be viewed as 'empirical likelihood with nuisance parameters'. 相似文献
3.
Detection and correction of artificial shifts in climate series 总被引:6,自引:0,他引:6
Henri Caussinus Olivier Mestre 《Journal of the Royal Statistical Society. Series C, Applied statistics》2004,53(3):405-425
Summary. Many long instrumental climate records are available and might provide useful information in climate research. These series are usually affected by artificial shifts, due to changes in the conditions of measurement and various kinds of spurious data. A comparison with surrounding weather-stations by means of a suitable two-factor model allows us to check the reliability of the series. An adapted penalized log-likelihood procedure is used to detect an unknown number of breaks and outliers. An example concerning temperature series from France confirms that a systematic comparison of the series together is valuable and allows us to correct the data even when no reliable series can be taken as a reference. 相似文献
4.
吉林省地区间经济力差距分析 总被引:1,自引:1,他引:0
按照Kuznets倒U字假说,我国实现经济高速增长过程中,由于区域经济增长的不平衡性,导致了地区间经济力差距的扩大。吉林省为了尽可能地缩小地区间经济力的差距,以便促进地区的均衡发展,应该在省内形成以信息和高速公路网络为基础的共同市场。 相似文献
5.
Gianfranco Lovison 《Statistical Papers》2005,46(4):555-574
The identity of the Rao score and PearsonX
2 statistics is well known in the areas where the latter was first introduced: goodness-of-fit in contingency tables and binary
responses. We show in this paper that the same identity holds when the two statistics are used for testing goodness-of-fit
of Generalized Linear Models. We also highlight the connections that exist between the two statistics when they are used for
the comparison of nested models. Finally, we discuss some merits of these unifying results.
Work financially supported by cofin. MIUR grants 2000 and 2002. 相似文献
6.
7.
Summary The paper deals with missing data and forecasting problems in multivariate time series making use of the Common Components
Dynamic Linear Model (DLMCC), presented in Quintana (1985), and West and Harrison (1989).
Some results are presented and discussed: exploiting the correlation between series, estimated by the DLMCC, the paper shows
as it is possible to update state vector posterior distributions for the unobserved series. This is realized on the base of
the updating of the observed series state vectors, for which the usual Kalman filter equations can be applied.
An application concerning some Italian private consumption series provides an example of the model capabilities. 相似文献
8.
Annual concentrations of toxic air contaminants are of primary concern from the perspective of chronic human exposure assessment and risk analysis. Despite recent advances in air quality monitoring technology, resource and technical constraints often impose limitations on the availability of a sufficient number of ambient concentration measurements for performing environmental risk analysis. Therefore, sample size limitations, representativeness of data, and uncertainties in the estimated annual mean concentration must be examined before performing quantitative risk analysis. In this paper, we discuss several factors that need to be considered in designing field-sampling programs for toxic air contaminants and in verifying compliance with environmental regulations. Specifically, we examine the behavior of SO2, TSP, and CO data as surrogates for toxic air contaminants and as examples of point source, area source, and line source-dominated pollutants, respectively, from the standpoint of sampling design. We demonstrate the use of bootstrap resampling method and normal theory in estimating the annual mean concentration and its 95% confidence bounds from limited sampling data, and illustrate the application of operating characteristic (OC) curves to determine optimum sample size and other sampling strategies. We also outline a statistical procedure, based on a one-sided t-test, that utilizes the sampled concentration data for evaluating whether a sampling site is compliance with relevant ambient guideline concentrations for toxic air contaminants. 相似文献
9.
根据对中西方人格概念的词源和内涵的分析,人格内容可划分为四个不同层次,包括个体的外显行为、内心体验、动机和神经生理基础等四个方面,不同层次之间存在密切的交互关系;文化对人格的不同内容都会产生一定的影响,但影响的程度存在差异.由于对行为含义观察角度的不同造成了中西方人格结构的差异,人格结构的特点也是对文化意义的直接反映.以后的研究应关注文化对人格、行为和适应之间关系的影响. 相似文献
10.
Nicholas T. Longford 《Statistics and Computing》2003,13(1):67-80
The weaknesses of established model selection procedures based on hypothesis testing and similar criteria are discussed and an alternative based on synthetic (composite) estimation is proposed. It is developed for the problem of prediction in ordinary regression and its properties are explored by simulations for the simple regression. Extensions to a general setting are described and an example with multiple regression is analysed. Arguments are presented against using a selected model for any inferences. 相似文献