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61.
Substance use and ethnicity: differential impact of peer and adult models   总被引:4,自引:0,他引:4  
Modeling of a specific behavior by peers and adults is an important influence on an adolescent's choice to engage in that behavior. This study examined the impact of perceived peer and adult substance use on reported self-use within groups of black, Hispanic, Asian, and white teenagers. Effects were studied for four types of drugs: beer/wine, hard liquor, marijuana, and pills. In general, Asians and blacks reported the least self-use, whites reported the most peer models, and blacks reported the most adult models. Differential patterns of increase in use and perceived use by grade level were found across the four ethnic groups. Overall, perceived peer use of beer/wine, liquor, and marijuana was associated more with self-use than was perceived adult use. For pill use, only whites reported significantly greater influence of peers over adults on their self-use. For all substances, blacks reported the least impact of peer use on self-use relative to the three other groups. In regard to the impact of adult use on self-use, blacks and Hispanics reported the lowest for beer or wine; blacks and Asians reported the lowest for marijuana; and whites reported the highest for pills. These results are discussed in the context of differential vulnerability to modeling and vicarious learning.  相似文献   
62.
This paper is concerned with the analysis of structural equation models with polytomous variables. A computationally efficient three-stage estimator of the thresholds and the covariance structure parameters, based on partition maximum likelihood and generalized least squares estimation, is proposed. An example is presented to illustrate the method.This research was supported in part by a research grant DA01070 from the U.S. Public Health Service. The production assistance of Julie Speckart is gratefully acknowledged.  相似文献   
63.
Rubin and Thayer recently presented equations to implement maximum likelihood (ML) estimation in factor analysis via the EM algorithm. They present an example to demonstrate the efficacy of the algorithm, and propose that their recovery of multiple local maxima of the ML function “certainly should cast doubt on the general utility of second derivatives of the log likelihood as measures of precision of estimation.” It is shown here, in contrast, that these second derivatives verify that Rubin and Thayer did not find multiple local maxima as claimed. The only known maximum remains the one found by Jöreskog over a decade earlier. The standard errors obtained from the second derivatives and the Fisher information matrix thus remain appropriate where ML assumptions are met. The advantages of the EM algorithm over other algorithms for ML factor analysis remain to be demonstrated.  相似文献   
64.
A test for linear trend among a set of eigenvalues of a correlation matrix is developed. As a technical implementation of Cattell's scree test, this is a generalization of Anderson's test for the equality of eigenvalues, and extends Bentler and Yuan's work on linear trends in eigenvalues of a covariance matrix. The power of minimumx 2 and maximum likelihood ratio tests are compared. Examples show that the linear trend hypothesis is more realistic than the standard hypothesis of equality of eigenvalues, and that the hypothesis is compatible with standard decisions on the number of factors or components to retain in data analysis.This work was supported by National Institute on Drug Abuse Grants DA01070 and DA00017. The assistance of Maia Berkane and several anonymous reviewers is gratefully acknowledged.  相似文献   
65.
A scale-invariant index of factorial simplicity is proposed as a summary statistic for principal components and factor analysis. The index ranges from zero to one, and attains its maximum when all variables are simple rather than factorially complex. A factor scale-free oblique transformation method is developed to maximize the index. In addition, a new orthogonal rotation procedure is developed. These factor transformation methods are implemented using rapidly convergent computer programs. Observed results indicate that the procedures produce meaningfully simple factor pattern solutions.This investigation was supported in part by a Research Scientist Development Award (K02-DA00017) and research grants (MH24149 and DA01070) from the U. S. Public Health Service. The assistance of Andrew L. Comrey, Henry F. Kaiser, Bonnie Barron, Marion Hee, and several anonymous reviewers is gratefully acknowledged.  相似文献   
66.
A general model for describing the interrelations of common scores is derived. Guttman's image analysis is a special case. In addition, a new factor model based upon estimation of the person product-moment matrix is described for the case in which the number of variables exceeds the number of persons.  相似文献   
67.
We investigate under what conditions the matrix of factor loadings from the factor analysis model with equal unique variances will give a good approximation to the matrix of factor loadings from the regular factor analysis model. We show that the two models will give similar matrices of factor loadings if Schneeweiss' condition, that the difference between the largest and the smallest value of unique variances is small relative to the sizes of the column sums of squared factor loadings, holds. Furthermore, we generalize our results and discus the conditions under which the matrix of factor loadings from the regular factor analysis model will be well approximated by the matrix of factor loadings from Jöreskog's image factor analysis model. Especially, we discuss Guttman's condition (i.e., the number of variables increases without limit) for the two models to agree, in relation with the condition we have shown, and conclude that Schneeweiss' condition is a generalization of Guttman's condition. Some implications for practice are discussed.Kentaro Hayashi is a visiting Assistant Professor, Department of Mathematics, Bucknell University, Lewisburg PA 17837, and Peter M. Bentler is Professor, Departments of Psychology and Statistics, University of California, Los Angeles CA 90095-1563. (Emails: Khayashi@bucknell.edu, bentler@ucla.edu) Parts of this paper were discussed in a session on Factor Analysis (J. ten Berge, Chair) at the IFCS-98 International Conference, Rome, July, 1998. This work was supported by National Institute on Drug Abuse grant DA 01070. The authors thank Professors Hans Schneeweiss and Ke-Hai Yuan, and four anonymous referees, for their invaluable comments which led to an improved version of this paper.  相似文献   
68.
Existing test statistics for assessing whether incomplete data represent a missing completely at random sample from a single population are based on a normal likelihood rationale and effectively test for homogeneity of means and covariances across missing data patterns. The likelihood approach cannot be implemented adequately if a pattern of missing data contains very few subjects. A generalized least squares rationale is used to develop parallel tests that are expected to be more stable in small samples. Three factors were varied for a simulation: number of variables, percent missing completely at random, and sample size. One thousand data sets were simulated for each condition. The generalized least squares test of homogeneity of means performed close to an ideal Type I error rate for most of the conditions. The generalized least squares test of homogeneity of covariance matrices and a combined test performed quite well also.Preliminary results on this research were presented at the 1999 Western Psychological Association convention, Irvine, CA, and in the UCLA Statistics Preprint No. 265 (http://www.stat.ucla.edu). The assistance of Ke-Hai Yuan and several anonymous reviewers is gratefully acknowledged.  相似文献   
69.
This paper studies the asymptotic distributions of three reliability coefficient estimates: Sample coefficient alpha, the reliability estimate of a composite score following a factor analysis, and the estimate of the maximal reliability of a linear combination of item scores following a factor analysis. Results indicate that the asymptotic distribution for each of the coefficient estimates, obtained based on a normal sampling distribution, is still valid within a large class of nonnormal distributions. Therefore, a formula for calculating the standard error of the sample coefficient alpha, recently obtained by van Zyl, Neudecker and Nel, applies to other reliability coefficients and can still be used even with skewed and kurtotic data such as are typical in the social and behavioral sciences.This research was supported by grants DA01070 and DA00017 from the National Institute on Drug Abuse and a University of North Texas faculty research grant. We would like to thank the Associate Editor and two reviewers for suggestions that helped to improve the paper.  相似文献   
70.
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