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1.
AbstractThe economic mobility of individuals and households is of fundamental interest. While many measures of economic mobility exist, reliance on transition matrices remains pervasive due to simplicity and ease of interpretation. However, estimation of transition matrices is complicated by the well-acknowledged problem of measurement error in self-reported and even administrative data. Existing methods of addressing measurement error are complex, rely on numerous strong assumptions, and often require data from more than two periods. In this article, we investigate what can be learned about economic mobility as measured via transition matrices while formally accounting for measurement error in a reasonably transparent manner. To do so, we develop a nonparametric partial identification approach to bound transition probabilities under various assumptions on the measurement error and mobility processes. This approach is applied to panel data from the United States to explore short-run mobility before and after the Great Recession. 相似文献
2.
Simulation results are reported on methods that allow both within group and between group heteroscedasticity when testing the hypothesis that independent groups have identical regression parameters. The methods are based on a combination of extant techniques, but their finite-sample properties have not been studied. Included are results on the impact of removing all leverage points or just bad leverage points. The method used to identify leverage points can be important and can improve control over the Type I error probability. Results are illustrated using data from the Well Elderly II study. 相似文献
3.
A.M. Mathai 《Revue canadienne de statistique》1993,21(3):277-283
The product of two independent or dependent scalar normal variables, sums of products, sample covariances, and general bilinear forms are considered. Their distributions are shown to belong to a class called generalized Laplacian. A growth-decay mechanism is also shown to produce such a generalized Laplacian. Sets of necessary and sufficient conditions are derived for bilinear forms to belong to this class. As a generalization, the distributions of rectangular matrices associated with multivariate normal random vectors are also discussed. 相似文献
4.
The problem considered is that of finding an optimum measurement schedule to estimate population parameters in a nonlinear model when the patient effects are random. The paper presents examples of the use of sensitivity functions, derived from the General Equivalence Theorem for D-optimality, in the construction of optimum population designs for such schedules. With independent observations, the theorem applies to the potential inclusion of a single observation. However, in population designs the observations are correlated and the theorem applies to the inclusion of an additional measurement schedule. In one example, three groups of patients of differing size are subject to distinct schedules. Numerical, as opposed to analytical, calculation of the sensitivity function is advocated. The required covariances of the observations are found by simulation. 相似文献
5.
Pierre Legendre François-Joseph Lapointe 《Australian & New Zealand Journal of Statistics》2004,46(4):615-629
A test of congruence among distance matrices is described. It tests the hypothesis that several matrices, containing different types of variables about the same objects, are congruent with one another, so they can be used jointly in statistical analysis. Raw data tables are turned into similarity or distance matrices prior to testing; they can then be compared to data that naturally come in the form of distance matrices. The proposed test can be seen as a generalization of the Mantel test of matrix correspondence to any number of distance matrices. This paper shows that the new test has the correct rate of Type I error and good power. Power increases as the number of objects and the number of congruent data matrices increase; power is higher when the total number of matrices in the study is smaller. To illustrate the method, the proposed test is used to test the hypothesis that matrices representing different types of organoleptic variables (colour, nose, body, palate and finish) in single‐malt Scotch whiskies are congruent. 相似文献
6.
Abstract. We correct two proofs concerning Markov properties for graphs representing marginal independence relations. 相似文献
7.
黄廷祝 《电子科技大学学报(社会科学版)》1993,(3)
给出广义对角占优矩阵的判定条件,改进和包含了文献[1~3]的主要结果,从而也推广了Shivakumar的结果。作为应用,得到了判定非奇M矩阵和几种迭代法新的收敛准则。 相似文献
8.
针对决定模糊控制中稳定性的线性矩阵不等式问题,提出了用进化计算来解决模糊控制中线性矩阵不等式的新算法。实验证明,该算法解“用于实现模糊控制的增益调度和稳定性的线性矩阵不等式”是有效的。 相似文献
9.
黄廷祝 《电子科技大学学报(社会科学版)》1994,(4)
对几类矩阵进行了刻划;对于非负阵谱半径的一个重要性质 ̄[1],给出了新的简单证明;作为应用,得到有重要实际意义的某些类矩阵之逆的谱半径的界的估计。 相似文献
10.
Sangun Park 《Statistical Papers》2005,46(2):293-301
This article gives a simple result for the expression of the Fisher information in order statistics. This result enables us
to calculate easily the Fisher information in any set of order statistics whose details have been known to be messy and complicated.
We consider here its application in the optimal spacing problem where the exact Fisher information in order statistics has
been approximated with the asymptotic information or the reciprocal of the variance of a suitable estimator.
This work was supported by Korea Research Foundation Grant(KRF-2000-015-DP0056) 相似文献