首页 | 本学科首页   官方微博 | 高级检索  
文章检索
  按 检索   检索词:      
出版年份:   被引次数:   他引次数: 提示:输入*表示无穷大
  收费全文   305篇
  免费   2篇
管理学   7篇
人口学   2篇
理论方法论   1篇
综合类   18篇
社会学   3篇
统计学   276篇
  2023年   1篇
  2021年   5篇
  2020年   4篇
  2019年   2篇
  2018年   7篇
  2017年   19篇
  2016年   7篇
  2015年   11篇
  2014年   4篇
  2013年   130篇
  2012年   26篇
  2011年   10篇
  2010年   10篇
  2009年   3篇
  2008年   6篇
  2007年   3篇
  2006年   6篇
  2005年   10篇
  2004年   2篇
  2003年   4篇
  2002年   2篇
  2001年   3篇
  2000年   3篇
  1999年   6篇
  1998年   2篇
  1997年   2篇
  1996年   4篇
  1995年   4篇
  1994年   1篇
  1993年   2篇
  1992年   1篇
  1991年   3篇
  1990年   1篇
  1986年   1篇
  1985年   1篇
  1979年   1篇
排序方式: 共有307条查询结果,搜索用时 15 毫秒
1.
Any continuous bivariate distribution can be expressed in terms of its margins and a unique copula. In the case of extreme‐value distributions, the copula is characterized by a dependence function while each margin depends on three parameters. The authors propose a Bayesian approach for the simultaneous estimation of the dependence function and the parameters defining the margins. They describe a nonparametric model for the dependence function and a reversible jump Markov chain Monte Carlo algorithm for the computation of the Bayesian estimator. They show through simulations that their estimator has a smaller mean integrated squared error than classical nonparametric estimators, especially in small samples. They illustrate their approach on a hydrological data set.  相似文献   
2.
The authors consider the issue of map positional error, or the difference between location as represented in a spatial database (i.e., a map) and the corresponding unobservable true location. They propose a fully model‐based approach that incorporates aspects of the map registration process commonly performed by users of geographic informations systems, including rubber‐sheeting. They explain how estimates of positional error can be obtained, hence estimates of true location. They show that with multiple maps of varying accuracy along with ground truthing data, suitable model averaging offers a strategy for using all of the maps to learn about true location.  相似文献   
3.
The author characterizes the copula associated with the bivariate survival model of Clayton (1978) as the only absolutely continuous copula that is preserved under bivariate truncation.  相似文献   
4.
In this paper, we introduce classical and Bayesian approaches for the Basu–Dhar bivariate geometric distribution in the presence of covariates and censored data. This distribution is considered for the analysis of bivariate lifetime as an alternative to some existing bivariate lifetime distributions assuming continuous lifetimes as the Block and Basu or Marshall and Olkin bivariate distributions. Maximum likelihood and Bayesian estimators are presented. Two examples are considered to illustrate the proposed methodology: an example with simulated data and an example with medical bivariate lifetime data.  相似文献   
5.
Interval-valued variables have become very common in data analysis. Up until now, symbolic regression mostly approaches this type of data from an optimization point of view, considering neither the probabilistic aspects of the models nor the nonlinear relationships between the interval response and the interval predictors. In this article, we formulate interval-valued variables as bivariate random vectors and introduce the bivariate symbolic regression model based on the generalized linear models theory which provides much-needed exibility in practice. Important inferential aspects are investigated. Applications to synthetic and real data illustrate the usefulness of the proposed approach.  相似文献   
6.
Bivariate Bernoulli and bivariate geometric distributions are proposed to model reciprocity in weighted and unweighted networks. Sampling properties of commonly used reciprocity measures are studied, under both presence and absence of reciprocity. Extensions to situations where link parameters depend on outgoing and incoming nodes are investigated. Results are illustrated with a data set, on 50 anesthesia providers at a hospital, that describes the number of times an anesthesia provider starting an operation transfers his/her responsibilities to another anesthesia provider.  相似文献   
7.
A procedure is proposed for testing the equality of k dependent correlation coefficients. The procedure is simulated utilizing Monte Carlo techniques; and, a method for post hoc probing is also suggested.  相似文献   
8.
Maryam Esna-Ashari 《Statistics》2016,50(6):1421-1433
In survival analysis and reliability theory, a fundamental problem is the study of lifetime properties of a live organism or system. In this regard, there have been considered and studied several models based on different concepts of ageing such as hazard rate and mean residual life. In this paper, we consider an additive-multiplicative hazard model (AMHM) and study some reliability and ageing properties of the proposed model. We then specify the bivariate models whose conditionals satisfy AMHM. Several properties of the proposed bivariate model are investigated and adequacy of the model is evaluated based on a real data set.  相似文献   
9.
Multivariate normal, correlated multivariate Poisson and multiple Poisson distributions are characterized, in the class of exponential-type distributions, by the properties of the linear combinations of the variables, the properties of their cumulants and the recurance relation between the cumulants.  相似文献   
10.
A class of asymptotically nonparametric test with contains a test proposed by Wei(1980), is considered for testing the equality of two continuous distribution funcitons when paired observations are subject to arbitrary right censorship. It is shown that under the null hypothesis each test statistic converges in distribution to the standard normal random variable. Furthermore. the Monte Carlo simulation results indicate that some tests in this class are more powerful than Wei's test. A generalization to incomplete censored paired data is also included.  相似文献   
设为首页 | 免责声明 | 关于勤云 | 加入收藏

Copyright©北京勤云科技发展有限公司  京ICP备09084417号