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1.
It is uncertain whether Latin America and Caribbean (LAC) countries are approaching a single mortality regime. Over the last three decades, LAC has experienced major public health interventions and the highest number of homicides in the world. However, these interventions and homicide rates are not evenly shared across countries. This study documents trends in life expectancy and lifespan variability for 20 LAC countries, 2000–14. By extending a previous method, we decompose differences in lifespan variability between LAC and a developed world benchmark into cause-specific effects. For both sexes, dispersion of amenable diseases through the age span makes the largest contribution to the gap between LAC and the benchmark. Additionally, for males, the concentration of homicides, accidents, and suicides in mid-life further impedes mortality convergence. Great disparity exists in the region: while some countries are rapidly approaching the developed regime, others remain far behind and suffer a clear disadvantage in population health.  相似文献   
2.
Abstract

This paper focuses on the inference of suitable generally non linear functions in stochastic volatility models. In this context, in order to estimate the variance of the proposed estimators, a moving block bootstrap (MBB) approach is suggested and discussed. Under mild assumptions, we show that the MBB procedure is weakly consistent. Moreover, a methodology to choose the optimal length block in the MBB is proposed. Some examples and simulations on the model are also made to show the performance of the proposed procedure.  相似文献   
3.
Abstract

The mean estimators with ratio depend on multiple auxiliary variables and unknown parameters in a finite population setting. We propose a new generalized approach with matrices for modeling the mutivariate mean estimators with two auxiliary variables. Our approach brings naturally a graphical analysis for comparing mean estimators.  相似文献   
4.
On Optimality of Bayesian Wavelet Estimators   总被引:2,自引:0,他引:2  
Abstract.  We investigate the asymptotic optimality of several Bayesian wavelet estimators, namely, posterior mean, posterior median and Bayes Factor, where the prior imposed on wavelet coefficients is a mixture of a mass function at zero and a Gaussian density. We show that in terms of the mean squared error, for the properly chosen hyperparameters of the prior, all the three resulting Bayesian wavelet estimators achieve optimal minimax rates within any prescribed Besov space     for p  ≥ 2. For 1 ≤  p  < 2, the Bayes Factor is still optimal for (2 s +2)/(2 s +1) ≤  p  < 2 and always outperforms the posterior mean and the posterior median that can achieve only the best possible rates for linear estimators in this case.  相似文献   
5.
关于独立董事制度的一个经济逻辑分析   总被引:2,自引:0,他引:2  
运用体制转轨和渐进改革的宏观视角、使用制度演进和制度创新的分析方法、结合公司治理结构的发展,对独立董事制度的构建背景、意义、发展途径进行一个比较详尽深入的经济逻辑分析,认为在制度潜力发掘—市场规范发展彼此良性互动的作用机制下,独立董事制度将逐渐成熟壮大,最终形成对原有公司治理机构体系的冲击,促使公司治理结构的不断优化和市场的不断成熟规范化变迁。  相似文献   
6.
Summary Meta-analyses of sets of clinical trials often combine risk differences from several 2×2 tables according to a random-effects model. The DerSimonian-Laird random-effects procedure, widely used for estimating the populaton mean risk difference, weights the risk difference from each primary study inversely proportional to an estimate of its variance (the sum of the between-study variance and the conditional within-study variance). Because those weights are not independent of the risk differences, however, the procedure sometimes exhibits bias and unnatural behavior. The present paper proposes a modified weighting scheme that uses the unconditional within-study variance to avoid this source of bias. The modified procedure has variance closer to that available from weighting by ideal weights when such weights are known. We studied the modified procedure in extensive simulation experiments using situations whose parameters resemble those of actual studies in medical research. For comparison we also included two unbiased procedures, the unweighted mean and a sample-size-weighted mean; their relative variability depends on the extent of heterogeneity among the primary studies. An example illustrates the application of the procedures to actual data and the differences among the results. This research was supported by Grant HS 05936 from the Agency for Health Care Policy and Research to Harvard University.  相似文献   
7.
Longitudinal data often contain missing observations, and it is in general difficult to justify particular missing data mechanisms, whether random or not, that may be hard to distinguish. The authors describe a likelihood‐based approach to estimating both the mean response and association parameters for longitudinal binary data with drop‐outs. They specify marginal and dependence structures as regression models which link the responses to the covariates. They illustrate their approach using a data set from the Waterloo Smoking Prevention Project They also report the results of simulation studies carried out to assess the performance of their technique under various circumstances.  相似文献   
8.
本文分析了考试记分方法中传统的绝对百分体制的缺陷,给出了一种正态化转换分数的算法,较适合于在校大中专学生学习水平的横向评价。  相似文献   
9.
借助于李雅谱洛夫理论、矩阵分析方法和It?公式,结合不等式分析技巧,研究了随机细胞神经网络系统的均方指数稳定性,给出了系统的解的二阶矩Liapunov指数估计式和均方指数稳定的充分条件。  相似文献   
10.
剩余价值在其历史发展中相继地采取了绝对剩余价值、相对剩余价值和基本剩余价值的直接表现形式。基本剩余价值是在绝对剩余价值和相对剩余价值尚未产生或产而复失的历史场合中必须生产的 ,也是在实行绝对剩余价值生产和相对剩余价值生产的历史场合中 ,被它们凸现出来并使它们赖以产生的具有原先既定性 ,或扩张基础性和增生本体性的剩余价值形式。基本剩余价值生产与资本主义生产相始终 ,是资本主义生产目的的基本实现。它和绝对剩余价值、相对剩余价值在质和量及其历史形态上的差异 ,使剩余价值成为一个比较经济范畴  相似文献   
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