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排序方式: 共有119条查询结果,搜索用时 15 毫秒
81.
This study analyzes the relationship between output growth and investment in a panel of 20 regions of Finland over the period 1975–2007. This regional study uses Granger non-causality and error-correction models. The most important finding of this study is a unidirectional causality which runs from investment to output growth. The study also verifies the existence of a positive association between growth and investment for the panel of 20 regions of Finland. These findings reconcile with the capital fundamentalists. 相似文献
82.
The objective of this study is to examine the effects of board characteristics and country governance quality on both individual aspects and the overall level of environmental performance through the lens of agency, resource dependency, and institutional theories. The study is based on a sample of 3023 firm-year observations from European companies operating in 22 countries between 2009 and 2016. Data on the resources, emissions, and innovation dimensions of environmental performance and board governance data were collected from the Refinitiv database, whereas financial data were extracted from the Worldscope database. The study employs a multilevel modeling analysis and the generalized method of moments (GMM) estimation technique to analyze the data. The findings suggest that board gender diversity and the presence of a corporate social responsibility and sustainability committee have a positive impact on environmental performance. The results also show that country governance quality is positively related to environmental performance. The findings have important implications for practitioners, regulators, and policymakers with respect to the effectiveness of corporate governance mechanisms and country governance systems in determining corporate environmental practices. 相似文献
83.
Empirical foundations for the view that high inflation impairs GDP growth are examined using annual data for 115 countries over the period 1960–1995. Taking into account country heterogeneity and time-specific symmetric shocks, as well as endogeneity of inflation and dynamics of GDP growth, dynamic panel-data models of the effects of inflation on growth are estimated. No evidence is found supporting the view that inflation is in general harmful to GDP growth. On the other hand, there is a negative correlation between contemporaneous intra-country inflation and growth for periods characterized by positive oil-price shocks. 相似文献
84.
Mahmood Kharrati-Kopaei 《Metrika》2009,70(2):165-176
In an one-way analysis of variance with standard assumptions suppose that only one observation exists per treatment. In addition,
assume that one of the treatments is a control group. Because of insufficient observations, the variance of the populations
cannot be estimated and hence the usual methods for comparing treatments with the control group fail. In this paper, we present
a method to compare treatments with a control when one observation exits per treatment. An algorithm is given to estimate
the critical values of the test. The power of the test is investigated by a Monte Carlo simulation; numerical studies show
that when there is a treatment whose mean is close to the control group, the power of the test is satisfactory. 相似文献
85.
Eating like which “Joneses?” an Iterative Solution to the Choice of a Poverty Line “Reference Group”
Menno Pradhan Asep Suryahadi Sudarno Sumarto & Lant Pritchett 《Review of Income and Wealth》2001,47(4):473-487
A standard method for calculating poverty lines (e.g. Ravallion, 1994) is not fully specified. The choice of the "reference population" for determining food baskets is left to the decision of the individual analyst. However, the poverty line can be quite sensitive to the real income of the reference group because the "quality" of the food basket—measured as the food expenditures per calorie—rises sharply with income. We propose that the reference group be centered on the poverty line. To address the obvious circularity problem in choosing a reference population at the poverty line to define the poverty line, we use an iterative approach. This iterative method provides a methodological anchor that fixes the reference group. 相似文献
86.
Mahmood Bahaee 《Business Horizons》2009,52(3):223
The current bilateral relationship between the United States and Iran is fraught with intense political and military tension revolving around the nuclear issue in Iran. Open hostility between the two governments has recently spilled over into national, regional, and global forums. Despite this turmoil, the Iranian consumer is actively engaged in the global marketplace, buying goods from around the world. Our research spotlights Iranian consumers’ attitudes toward importing and buying foreign-made products, with a special focus on American-made products. Our 2006 survey of 902 Iranian consumers suggests that Iranians are very open, but not exclusively so, to the purchase of foreign-made and American-made products. We also found the political-military bilateral tension or animosity between the Iranian and American governments has not transferred to the Iranian consumer. The Iranian consumers’ openness to foreign-made (including American-made) goods, coupled with low consumer animosity vis-à-vis the United States from Iranian consumers, provides an opportunity for American and Western multinational companies to actively compete for and engage with the Iranian consumer in the Iranian marketplace. 相似文献
87.
This paper analyses the effect of government budget deficits on national saving in the USA utilizing annual time series data from 1967 to 1996. A model that includes budget deficits, money supply, real exchange rate, real interest rate, and the proportion of working age population to total population to explain national saving is developed. After examining the time series properties of the data an error correction model is estimated. The overall results suggest that an increase in government budget deficits tend to reduce national saving. The working age population coming out of the baby boom generation has positively contributed to an increase in national saving. 相似文献
88.
Rao Muhammad Atif Liu Haiyun Haider Mahmood 《The journal of international trade & economic development》2017,26(3):257-276
The most important and imperative objective of the developing nations is rapid economic growth and exports are generally considered as an engine for economic growth. Being an agro-based economy, agriculture exports play pivotal role not only in economic growth but also in socioeconomic uplifting. This study aims at evaluating main determinants of agricultural exports of Pakistan by applying stochastic frontier gravity model over the period of 1995–2014 for a sample of 63 countries. In addition, the study also analyzes whether there is any untapped export potential between Pakistan and the trading partners in agriculture sector. The results confirm the consistency of gravity model for agriculture exports of Pakistan. Likewise, the estimates also point out that bilateral exchange as well as tariff rates also effect agriculture exports. The study has also incorporated the effect of common border, common culture, colonial history and preferential trading agreements by including their respective dummies. The study confirms the significance of each factor, except common language, with their respective magnitude. Moreover, technical efficiency estimates reveal that Pakistan has great export potential with neighboring, Middle Eastern and European countries. 相似文献
89.
ABSTRACT We studied consumer perceptions of celebrity endorsements from a cross-cultural perspective. In empirically examining consumer perception of celebrity endorsement, we used Hofstede's cultural dimensions to develop research propositions and examined these propositions through focus group discussions involving consumers from India and the United States. Findings indicated that specific differences and similarities exist in how consumers across India and the United States perceive celebrity endorsements. There is a positive, although moderate, impact of celebrity endorsements on attention and exposure of consumers. Implications for marketers as well as suggestions for future research are discussed. 相似文献
90.
Manoj Pradhan Joachim Fels 《海外经济评论》2009,(24)
【摩根士丹利5月21日】3月初以来,风险资产价格强劲反弹。至今为止,标准普尔指数的升幅已接近35%,信用利差大幅收缩。我们认为,金融市场回暖的一个重要动力就在于,央行通过降息和量化宽松注入金融体系的过剩流动性。由于货币供应量增加、资产价格回升,央行的举措还减缓了全球经济的下滑速度。 相似文献