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排序方式: 共有632条查询结果,搜索用时 15 毫秒
1.
We consider a method of moments approach for dealing with censoring at zero for data expressed in levels when researchers would like to take logarithms. A Box–Cox transformation is employed. We explore this approach in the context of linear regression where both dependent and independent variables are censored. We contrast this method to two others, (1) dropping records of data containing censored values and (2) assuming normality for censored observations and the residuals in the model. Across the methods considered, where researchers are interested primarily in the slope parameter, estimation bias is consistently reduced using the method of moments approach. 相似文献
2.
Yue Fang 《Journal of statistical planning and inference》2003,110(1-2):55-73
Generalized method of moments (GMM) is used to develop tests for discriminating discrete distributions among the two-parameter family of Katz distributions. Relationships involving moments are exploited to obtain identifying and over-identifying restrictions. The asymptotic relative efficiencies of tests based on GMM are analyzed using the local power approach and the approximate Bahadur efficiency. The paper also gives results of Monte Carlo experiments designed to check the validity of the theoretical findings and to shed light on the small sample properties of the proposed tests. Extensions of the results to compound Poisson alternative hypotheses are discussed. 相似文献
3.
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
4.
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
5.
We propose four different GMM estimators that allow almost consistent estimation of the structural parameters of panel probit models with fixed effects for the case of small Tand large N. The moments used are derived for each period from a first order approximation of the mean of the dependent variable conditional on explanatory variables and on the fixed effect. The estimators differ w.r.t. the choice of instruments and whether they use trimming to reduce the bias or not. In a Monte Carlo study, we compare these estimators with pooled probit and conditional logit estimators for different data generating processes. The results show that the proposed estimators outperform these competitors in several situations. 相似文献
6.
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
7.
In this paper, the task of determining expected values of sample moments, where the sample members have been selected based on noisy information, is considered. This task is a recurring problem in the theory of evolution strategies. Exact expressions for expected values of sums of products of concomitants of selected order statistics are derived. Then, using Edgeworth and Cornish-Fisher approximations, explicit results that depend on coefficients that can be determined numerically are obtained. While the results are exact only for normal populations, it is shown experimentally that including skewness and kurtosis in the calculations can yield greatly improved results for other distributions. 相似文献
8.
N. Balakrishnan 《Statistical Papers》1989,30(1):141-146
We derive a simple relation satisfied by the covariances of order statistics in the i.i.d. case and then generalize it to
the case when the variables are independent and non-identically distributed. This relation could be employed successfully
either to check the calculations or to reduce the amount of direct computations involved in evaluating the covariances of
order statistics from an outlier model. 相似文献
9.
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
10.
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