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51.
Bayesian and Frequentist Inference for Ecological Inference: The R×C Case   总被引:1,自引:1,他引:1  
In this paper we propose Bayesian and frequentist approaches to ecological inference, based on R × C contingency tables, including a covariate. The proposed Bayesian model extends the binomial-beta hierarchical model developed by K ing , R osen and T anner (1999) from the 2×2 case to the R × C case. As in the 2×2 case, the inferential procedure employs Markov chain Monte Carlo (MCMC) methods. As such, the resulting MCMC analysis is rich but computationally intensive. The frequentist approach, based on first moments rather than on the entire likelihood, provides quick inference via nonlinear least-squares, while retaining good frequentist properties. The two approaches are illustrated with simulated data, as well as with real data on voting patterns in Weimar Germany. In the final section of the paper we provide an overview of a range of alternative inferential approaches which trade-off computational intensity for statistical efficiency.  相似文献   
52.
This article presents an overview of several constructive methods for generating random probability measures. Applications of random probability measures include Bayesian statistics, average optimal control problems, average error bounds for numerical equation solving methods, and models for random distributions of mass in space.  相似文献   
53.
This article surveys various strategies for modeling ordered categorical (ordinal) response variables when the data have some type of clustering, extending a similar survey for binary data by Pendergast, Gange, Newton, Lindstrom, Palta & Fisher (1996). An important special case is when repeated measurement occurs at various occasions for each subject, such as in longitudinal studies. A much greater variety of models and fitting methods are available than when a similar survey for repeated ordinal response data was prepared a decade ago (Agresti, 1989). The primary emphasis of the review is on two classes of models, marginal models for which effects are averaged over all clusters at particular levels of predictors, and cluster-specific models for which effects apply at the cluster level. We present the two types of models in the ordinal context, review the literature for each, and discuss connections between them. Then, we summarize some alternative modeling approaches and ways of estimating parameters, including a Bayesian approach. We also discuss applications and areas likely to be popular for future research, such as ways of handling missing data and ways of modeling agreement and evaluating the accuracy of diagnostic tests. Finally, we review the current availability of software for using the methods discussed in this article.  相似文献   
54.
Education is perceived to have a positive impact on a variety of health outcomes. However, it is unclear how causal this association is or what could account for the observed relationship, especially in low-income countries. This study examined the educational gradient in dietary diversity among young women using individual-level survey data from Zimbabwe. A parametric fuzzy regression discontinuity design was used in the empirical analysis, with school reform exposure serving as an instrumental variable for educational attainment. The results show that increased schooling improves dietary diversity among women and that this effect is large and statistically significant. An examination of the potential mechanisms by which education improves dietary diversity revealed that women with more education are more likely to engage with print media by reading newspapers or magazines, to be literate, to access prenatal care when pregnant, to be wealthier, to have fewer children, and to live in metropolitan areas. These findings suggest that expanding educational opportunities, particularly for young girls in developing countries like Zimbabwe, could be a useful policy strategy to promote healthy eating among young women and, as a result, could enhance population health and nutrition outcomes.  相似文献   
55.
The paper takes up Bayesian inference in time series models when essentially nothing is known about the distribution of the dependent variable given past realizations or other covariates. It proposes the use of kernel quasi likelihoods upon which formal inference can be based. Gibbs sampling with data augmentation is used to perform the computations related to numerical Bayesian analysis of the model. The method is illustrated with artificial and real data sets.  相似文献   
56.
We assess the asymptotic consequences of estimating static models based on cross-section or panel data, when in reality the data are generated by a dynamic relationship, involving lagged dependent and current and lagged exogenous variables as well as individual effects. If the exogenous variable follows a stationary process, then the static estimators usually underestimate its long-run effect. This inconsistency is less severe, the higher the autocorrelation of the exogenous variable. If the exogenous variable follows a random walk with or without individual-specific drift, then the estimators are found to be consistent for the long-run effect.  相似文献   
57.
In this paper an overview of inference methods for continuous-time stochastic volatility models observed at discrete times is presented. It includes estimation methods for both parametric and nonparametric models that are completely or partially observed in a variety of situations where the data might be nonlinear functions of the components of the model and/or contaminated with observation noise. In each case, the main reported methods are presented, making emphasis on underlying ideas, theoretical properties of the estimators (bias, consistency, efficient, etc.), and the viability of their implementation to solve actual problems in finance.  相似文献   
58.
The endo–exo problem lies at the heart of statistical identification in many fields of science, and is often plagued by spurious strong-and-long memory due to improper treatment of trends, shocks and shifts in the data. A class of models that has shown to be useful in discerning exogenous and endogenous activity is the Hawkes process. This class of point processes has enjoyed great recent popularity and rapid development within the quantitative finance literature, with particular focus on the study of market microstructure and high frequency price fluctuations. We show that there are important lessons from older fields like time series and econometrics that should also be applied in financial point process modelling. In particular, we emphasize the importance of appropriately treating trends and shocks for the identification of the strength and length of memory in the system. We exploit the powerful Expectation Maximization algorithm and objective statistical criteria (BIC) to select the flexibility of the deterministic background intensity. With these methods, we strongly reject the hypothesis that the considered financial markets are critical at univariate and bivariate microstructural levels.  相似文献   
59.
60.
孙强  王艳  邢颖 《水利经济》2007,25(4):13-15
针对环境经济学中最优污染水平概念模糊的问题,运用几何解析与逻辑推演方法,分析最优污染水平定性模式的病症所在,导出最优污染水平的充分条件和必要条件,并进一步运用导数和微分学理论证明了该充分条件和必要条件的正确性,从而创建了新的最优污染水平的定量模式。  相似文献   
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