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81.
本文借鉴7S模型分析了塑造企业核心竞争力的影响因素和途径,运用文献和案例论证了企业文化在塑造核心竞争力的各因素中居于核心地位,指出了塑造核心竞争力的途径是运用先进的企业文化培育和谐的7S体系。  相似文献   
82.
Choosing the sample size in advance is a familiar problem: often, additional observations appear to be desirable. The final sample size then becomes a random variable, which has rather serious consequences.
Two such sample extension situations will be considered here. In the first situation, the observed sample variance determines whether or not to double the original sample size. In the second situation, the variances observed in two independent samples are compared; their ratio determines the number of additional observations.  相似文献   
83.
This letter introduces nonparametric estimators of the drift and diffusion coefficient of stochastic volatility models which exploit techniques for estimating integrated volatility with high-frequency data. The performance of the proposed estimators is assessed on simulations of two popular stochastic volatility models.  相似文献   
84.
袁弘  朱道林  耿春华 《经济地理》2004,24(2):254-256,262
如何利用临街样点地价推算区片平均地价及基准地价始终是城镇基准地价评估的一个难点。文章利用赤峰市的实际调查数据,分别采用临街贡献率和面积加权两种方法推算区片平均地价,并采用回归分析方法探讨区片价与临街地价之间的关系,结果证明两种方法所推算的区片平均价是基本一致的,而且区片价与临街地价之间呈“反S”曲线关系。  相似文献   
85.
The purpose of this paper is to describe the implications of the collective model of household behavior for the methods used to estimate the economic value of non-marketed environmental resources. After demonstrating how the separability restrictions inherent in the collective model allow individual preference and household income allocation choices to be distinguished, the paper demonstrates how the framework can be used to recover Hicksian consumer surplus. An algebraic example is used to illustrate how the framework can be used in valuing environmental resources.  相似文献   
86.
周鹏冉  刘海兵 《技术经济》2020,39(7):112-119
本文以中国制造业上市公司2006—2017年数据为研究对象,以CEO权力集中度为调节变量探讨了CEO任期与中国制造企业自主创新能力之间的关系,研究发现:①长期意义上CEO任期越长,越有利于自主创新能力提升;②CEO权力集中度越高,越有利于自主创新能力提升;③CEO权力集中度与CEO任期有"伴随效应",能够扩张CEO任期对自主创新能力的正向效应,正所谓"用人不疑,疑人不用";④在当前,国有制造企业更应注重CEO任期对自主创新能力的积极作用,应考虑增加国企CEO任期;而民营制造企业要注重公司治理结构中CEO权力集中度。结论具有稳健性。  相似文献   
87.
In this paper we propose a sequential strategy, based on the microeconomic approach of the demand theory, in order to test for separability between private and public consumption. The aim of the present work is to verify, using a conditional almost ideal demand system, whether the different components of public consumption exert conditioning effects on the allocative structure of private spending. The empirical estimation of the model and the separability tests are developed for both a demand system in five functional categories of private spending, and for a demand system in six categories, where the private expenditures on those goods and services which can also be offered by the public sector are enclosed in a single functional category. The results of the separability tests, obtained using UK data for the 1974–2000 period, show that public individual consumption plays an important role in modifying consumer choices, while public collective consumption does not affect private consumption behaviours. The relationships between the different components of private spending and public individual consumption are both of substitutability and complementarity; in particular, we find that public individual consumption and the corresponding private expenditures on ‘Health, education, recreation and social protection’ are complements.  相似文献   
88.
印浩  田贵良  钱晓燕 《技术经济》2019,38(11):109-116
本文构建了一个两部门DSGE模型,同时考虑了创新扩散的一般规律(“S型扩散”)与企业绿色技术创新扩散的独特作用(节能作用和减排作用)。基于人口老龄化的预测,模拟随着企业绿色技术创新扩散的波动,经济系统所做出的响应。结果表明:经济变量对于企业绿色技术创新扩散的波动呈现出不同的响应路径,其中资本存量的响应具有滞后性;资本报酬率为首的相关经济变量对于正向冲击的响应出现了“翘尾效应”。最后,本文给出了稳定、正向引导市场预期和在资本市场采取预调机制的政策建议。  相似文献   
89.
This paper presents rent models for retail and office property in the United Kingdom. Panel data are used covering eleven regions for 29 years, enabling us to overcome the limitations of a relatively short time series. We use an error correction model (ECM) framework to estimate long-run equilibrium relationships and short-term dynamic corrections. The combination of panel data and an ECM is an innovative approach that is still being developed in economics. We construct new supply series that combine infrequent stock data with more frequent construction data. Separate regional models are estimated for retail and office properties. The regions are then combined into a number of panels on the basis of the income and price elasticities in the long-run and short-run models. Unlike previous studies, we find no evidence of a board north–south divide between low growth and high growth regions. Like these studies we do find a London effect: in London, demand elasticities for space with respect to both price (rent) and income are much lower in magnitude. We conclude that, while the economic drivers may vary, there is no evidence of differences in the operation of the regional property markets outside London. Elasticities for retail and office are similar. Our final models are parsimonious with single measures of economic activity and of supply and always support the use of an ECM.  相似文献   
90.
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