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81.
设计项目参数、被试得分已知的测验情境,在两、三、四参数Logistic加权模型下进行能力估计,发现被试得分等级之间的能力步长存在着均匀的步长间距,被试得分能较好的反映多级记分的分数加权作用。两参数Logistic加权模型下会出现被试参数估计扰动现象,猜测现象会导致能力高估现象,失误现象会导致能力低估现象;三参数Logistic加权模型c型下能力高估现象未出现或不明显;三参数Logistic加权模型γ型下能力低估现象未出现或不明显;四参数Logistic加权模型下被试能力高估现象和低估现象都未出现或不明显,四参数Logistic加权模型是被试能力稳健性估计较好的方法。  相似文献   
82.
内隐学习的主观测量标准   总被引:4,自引:1,他引:3  
郭秀艳  朱磊  邹庆宇 《心理科学》2005,28(5):1192-1195
近40年来,验证知识的内隐性一直是内隐学习研究的焦点。传统三大范式常以自由言语报告或是迫选测验作为验证知识内隐性的外显指标,然而各种迹象表明,言语报告和迫选测验存在一定的局限性。由此,Dienes等人提出了内隐学习的主观测量。文章将从言语报告和追选测验的局限性着手,阐述主观测量诞生的必要性及其在衡量知识意识性上的效度。  相似文献   
83.
The behavioral economic concept of unit price predicts that consumption and response output (labor supply) are determined by the unit price at which a good is available regardless of the value of the cost and benefit components of the unit price ratio. Experiment 1 assessed 4 pigeons' consumption and response output at a range of unit prices. In one condition, food was available according to a range of fixed-ratio schedules, whereas in the other condition, food was available according to a range of random-ratio schedules. Consistent with unit price predictions, consumption and response output were approximately equivalent across schedule types within the lower range of unit prices. However, at Unit Prices 64 (ratio value = 192) and greater, considerably more consumption and response output were observed in the random-ratio condition. Experiment 2 replicated these findings with 4 pigeons using the rapid demand curve assay procedure that is commonly used in the behavioral economics literature. Findings are integrated with two mathematical models of behavior under variable reinforcer delays.  相似文献   
84.
The sum, difference, product and quotient of two functions with different domains are usually defined only on their common domain. This paper extends these definitions so that the sum and other operations are essentially defined anywhere that at least one of the components is defined. This idea is applied to propositions and events, expressed as indicator functions, to define conditional propositions and conditional events as three-valued indicator functions that are undefined when their condition is false. Extended operations of and, or, not and conditioning are then defined on these conditional events with variable conditions. The probabilities of the disjunction (or) and of the conjunction (and) of two conditionals are expressed in terms of the conditional probabilities of the component conditionals. In a special case, these are shown to be weighted averages of the component conditional probabilities where the weights are the relative probabilities of the various conditions. Next, conditional random variables are defined to be random variables X whose domain has been restricted by a condition on a second random variable Y. The extended sum, difference, product and conditioning operations on functions are then applied to these conditional random variables. The expectation of a random variable and the conditional expectation of a conditional random variable are recounted. Theorem 1 generalizes the standard result that the conditional expectation of the sum of two conditional random variables with disjoint and exhaustive conditions is a weighted sum of the conditional expectations of the component conditional random variables. Because of the extended operations, the theorem is true for arbitrary conditions. Theorem 2 gives a formula for the expectation of the product of two conditional random variables. After the definition of independence of two random variables is extended to accommodate the extended operations, it is applied to the formula of Theorem 2 to simplify the expectation of a product of conditional random variables. Two examples end the paper. The first concerns a work force of n workers of different output levels and work shifts. The second example involves two radars with overlapping surveillance regions and different detection error rates. One radar's error rate is assumed to be sensitive to fog and the other radar's error rate is assumed to be sensitive to air traffic density. The combined error rate over the combined surveillance region given heavy fog and moderate air traffic is computed.  相似文献   
85.
Previous studies have primarily focused on understanding why people believe conspiracy theories, especially during societal crises (e.g., the COVID-19 pandemic). The investigation of how such conspiracy beliefs would influence people's mental well-being has just begun recently. The present research aims to address this crucial question by testing the relationships between psychological distress and COVID-19 conspiracy beliefs with a five-wave longitudinal study. On the one hand, COVID-19 conspiracy beliefs could be more appealing to people with heightened distress, as these theories apparently help people to make sense of the uncertainty and life-threatening disease outbreak. On the other hand, conspiracy theories could be a source of existential threat and thus, would induce rather than reduce psychological distress. We tested these possibilities empirically by a series of cross-lagged model analyses. Using the random intercept cross-lagged panel model analysis, we only found a between-person association but not a cross-lagged within-person relationship between the two. COVID-19 conspiracy beliefs was predicted by being more politically conservative. These findings were further corroborated by the supplementary latent growth curve analyses. Overall, our findings suggest that conspiracy beliefs may not induce or reduce psychological distress in the context of COVID-19.  相似文献   
86.
Although Thurstonian models provide an attractive representation of choice behavior, they have not been extensively used in ranking applications since only recently efficient estimation methods for these models have been developed. These, however, require the use of special-purpose estimation programs, which limits their applicability. Here we introduce a formulation of Thurstonian ranking models that turns an idiosyncratic estimation problem into an estimation problem involving mean and covariance structures with dichotomous indicators. Well-known standard solutions for the latter can be readily applied to this specific problem, and as a result any Thurstonian model for ranking data can be fitted using existing general purpose software for mean and covariance structure analysis. Although the most popular programs for covariance structure analysis (e.g., LISREL and EQS) cannot be presently used to estimate Thurstonian ranking models, other programs such as MECOSA already exist that can be straightforwardly used to estimate these models.This paper is based on the author's doctoral dissertation. Ulf Böckenholt was my advisor. The author is indebted to Ulf Böckenholt for his comments on a previous version of this paper and to Gerhard Arminger for his extensive support on the use of MECOSA. The final stages of this research took place while the author was at the Department of Statistics and Econometrics, Universidad Carlos III de Madrid. Conversations with my colleague there, Adolfo Hernández, helped to greatly improve this paper.  相似文献   
87.
A non-forced choice model is developed that describes subject behavior on repeat trial discrimination tests of the pick 1 ofk form. The model is developed from the Dirichlet distribution, and it allows for the derivation of individual true scores and of sampling properties for various constructs of interest. These results permit the analysis and comparison of test designs. The model is applied to issues such as forced vs. non-forced choice formats, the best number of alternatives at a choice point, and the selection of expert panels.  相似文献   
88.
Similar rates of punished and nonpunished responding, maintained with equated rates of reinforcement, were established in pairs of rats. One subject of each pair was exposed to a random-ratio schedule of food presentation. The interreinforcement intervals for this subject comprised the intervals of a random-interval schedule of reinforcement for the other (yoked) rat. The random-ratio schedule maintained rates of responding higher than those maintained by the same rate of reinforcement schedule according to the yoked random-interval contingency. A random-ratio schedule of electric foot shock added to the random-ratio schedule of food presentation suppressed rates of responding such that similar rates of responding were observed in rats of both groups. Pentobarbital (3.0 to 17.0 mg/kg) increased punished responding at doses that had little effect on or decreased nonpunished responding, whereas cocaine (5.6 to 30 mg/kg) increased nonpunished responding at doses that decreased or did not alter punished responding. Qualitatively different effects of pharmacological agents on punished and nonpunished responding can be obtained using procedures that generate similar rates and temporal patterns of punished and nonpunished responding. The effects of pentobarbital and cocaine on responding can be determined by factors other than simply the baseline rate of responding.  相似文献   
89.
90.
Spanning nearly sixty years of research, statistical network analysis has passed through (at least) two generations of researchers and models. Beginning in the late 1930's, the first generation of research dealt with the distribution of various network statistics, under a variety of null models. The second generation, beginning in the 1970's and continuing into the 1980's, concerned models, usually for probabilities of relational ties among very small subsets of actors, in which various simple substantive tendencies were parameterized. Much of this research, most of which utilized log linear models, first appeared in applied statistics publications.But recent developments in social network analysis promise to bring us into a third generation. The Markov random graphs of Frank and Strauss (1986) and especially the estimation strategy for these models developed by Strauss and Ikeda (1990; described in brief in Strauss, 1992), are very recent and promising contributions to this field. Here we describe a large class of models that can be used to investigate structure in social networks. These models include several generalizations of stochastic blockmodels, as well as models parameterizing global tendencies towards clustering and centralization, and individual differences in such tendencies. Approximate model fits are obtained using Strauss and Ikeda's (1990) estimation strategy.In this paper we describe and extend these models and demonstrate how they can be used to address a variety of substantive questions about structure in social networks.This research was supported by grants from the Australian Research Council and the National Science Foundation (#SBR93-10184). This paper was presented at the 1994 Annual Meeting of the Psychometric Society, Champaign, Illinois, June 1994. Special thanks go to Sarah Ardu for programming assistance, Laura Koehly and Garry Robins for help with this research, and to Shizuhiko Nishisato and three reviewers for their comments. INTERNETemail addresses:pattison@psych.unimelb.edu.au (PP);stanwass@uiuc.edu (SW). Affiliations: Department of Psychology, University of Melbourne (PP); Department of Psychology, Department of Statistics, and The Beckman Institute for Advanced Science and Technology, University of Illinois (SW).  相似文献   
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