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11.
Nina Baur 《Quality and Quantity》2011,45(6):1233-1251
Mixed methods researchers often neglect the methodological discussion on data in general and process-generated data specifically.
Assuming that the advantages and disadvantages of surveys, interviews and observations are well-known, the author discusses
when and why researchers should prefer process-generated data to research-elicited data in market sociology. The author then
compares four different types of process-generated data (aggregated statistical data, business directories, newspaper articles,
engineering literature). For each data type, the author (a) describes the data type, (b) illustrates what kind of information
researchers can gain from this data type and (c) discusses the draw-backs and limits of the data. The article concludes with
a discussion of what one can learn for mixing methods and market sociology from this example and why primary data might be
useful as an alternative data source after all. 相似文献
12.
Lara Cathcart Nina M. Gotthelf Matthias Uhl Yining Shi 《European Financial Management》2020,26(2):261-287
We explore the impact of media content on sovereign credit risk. Our measure of media tone is extracted from the Thomson Reuters News Analytics database. As a proxy for sovereign credit risk we consider credit default swap (CDS) spreads, which are decomposed into their risk premium and default risk components. We find that media tone explains and predicts CDS returns and is a mixture of noise and information. Its effect on risk premium induces a temporary change in investors’ appetite for credit risk exposure, whereas its impact on the default component leads to reassessments of the fundamentals of sovereign economies. 相似文献
13.
Wirtschaftsdienst - In der Debatte um die Schuldenbremse geht es zumeist um eine Grundgesetzänderung. Dabei ist ein wesentlicher Teil der Schuldenbremse — die Konjunkturkomponente,... 相似文献
14.
Nina Rosenbusch Michael Gusenbauer Isabella Hatak Matthias Fink Klaus E. Meyer 《Journal of Management Studies》2019,56(1):203-233
Innovation offshoring (IO) has become a widespread management practice. Yet, evidence on the performance implications is inconsistent, and scattered across disciplines and contexts. We argue that the benefits firms can derive from IO depend on the institutional environment at home. Drawing on recent work on institutional theory in international business, we explore institutions that facilitate reverse knowledge transfer and/or institutional arbitrage with respect to innovation‐related activities. The results of our meta‐analysis that synthesizes evidence from 48 samples show that IO is related positively to innovation performance. As predicted, this relationship is moderated by differences in the institutional environments across countries. Specifically, when national innovation systems are weak at home, IO appears to enable institutional arbitrage strategy whereas Confucian cultures enable more effective reverse knowledge transfer. However, contrary to our expectations, the beneficial effects of IO appear to have diminished over time. 相似文献
15.
Nina TORM 《Revista Internacional del Trabajo》2020,139(3):369-398
A pesar de la amplia bibliografía sobre la relación entre cotización social y rendimiento empresarial, la evidencia relativa a las pymes de las economías en desarrollo es escasa. Se examina aquí el caso de Indonesia utilizando datos censales empresariales de 2010 a 2014. Un aumento del gasto en seguridad social del 10 por ciento se asocia a un aumento del ingreso empresarial por trabajador de hasta el 2 por ciento. Los beneficios no disminuyen con el aumento del gasto en protección social, lo que sugiere que la ampliación de las prestaciones sociales puede ser una inversión empresarial que vale la pena. 相似文献
16.
ABSTRACT In one of the most influential contributions to modern political economy, Hall and Soskice have launched a distinction between ‘liberal’ and ‘coordinated’ market economies, placing the Nordic countries firmly in the latter category. We argue that, while the H&S distinction may serve classificatory purposes, seeing the Nordic model in terms of ‘coordinated capitalism’ blurs the distinctive features of the Nordic countries’ success as productive and fair economies. We contend that the central formula behind this success lies in what we call the Nordic model’s ambidexterity – the capacity to combine collaborative and competitive elements and skilfully navigate between them. Using an interdisciplinary perspective (inspired by organisation theory, cultural semiotics and evolutionary analysis), we provide a conceptual basis for reinterpreting the Nordic Model as an ambidextrous combination of culturally rooted, collaborative strategies that are subsequently competitively exposed. The article illustrates the workings of this ambidexterity in three societal domains: work life (including female participation), resource management – illustrated by the Norwegian petro-economy – and international business management and regulation with a focus on CSR. In each case we will show how collaboration is intertwined with pragmatic competitive exposure, yielding high productivity, high welfare, as well as fair income and wealth distribution. 相似文献
17.
Johannes Berger Thomas Davoine Philip Schuster Ludwig Strohner 《International Tax and Public Finance》2016,23(6):1160-1184
As life expectancy increases and fertility declines, population aging puts pressure on the financing of welfare states in Europe and other developed countries. Given that immigrant workers are younger than the domestic population, a continuous flow of immigrants reduces the old-age dependency ratio and improves financing. Existing general equilibrium estimates of the public finance contribution of migration, performed with different models, are not comparable across countries and sometimes differ even in sign. We use the same overlapping-generations model with a detailed representation of institutions and labor market activity to provide comparable estimates of the impact of immigration on public finance in four European countries. We find that future projected immigration flows are equivalent to 14.3 % points labor income taxes in Austria, 7.3 points in Germany, 6.2 points in the UK and 1.7 points in Poland in 2060. These differences are due to the projected volume of immigration and institutional setups, among other factors. For comparable volumes of immigration, future flows have largest impact in Germany and smallest in the UK. 相似文献
18.
Stefania Borghini Nina Diamond Robert V. Kozinets Mary Ann McGrath Albert M. Muñiz Jr. John F. Sherry Jr. 《Journal of Retailing》2009,85(3):363-375
Although there is growing interest in themed brandstores, we still know very little about the source of these retail environments’ power to affect consumers profoundly. Utilizing an ethnographic study of American Girl Place, a culturally rich and highly successful retail environment, we find that effective retailing in these contexts is an intensely ideological affair. In our participant-observation of, and on-site interviews with, consumers at American Girl Place we find that the ideology of the brand manifests powerfully through a variety of different and distinct areas within the store: the Museum, the Library, the Café, the Salon, the Theater, and the Photo Studio. Ideological expression is central to each of these places. Tracking the influence of brand ideology through consumers’ retail experiences, we theorize about the centrality of retail place in ideological branding. Although the confluence of ideology and retailing has been referenced in prior research, this paper focuses on and systematically develops the theoretical interconnection between the two. The physical immediacy of themed brandstore experience acts as a quilting point that links together related cultural concepts into a strong retail brand ideology. The implications of this theory draw our attention to ideological and morally-bound retail brand expressions, emphasize the importance of a variety of retail formats within a single store, and provide practical guidelines for retailers eager to build successful brands of their own. 相似文献
19.
20.
Faced with doubts about the quality of information and the quality of modeling techniques, ambiguity-averse agents assign higher probabilities to lower utility states, leading to higher CDS premia and lower equity prices. Using data on financial institutions, I find that the sudden increases in credit spreads during the recent crisis can be explained by changes in the amount of ambiguity faced by market participants and changes in how the total amount of ambiguity was distributed between ambiguity about information quality and ambiguity about model quality. 相似文献