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11.
In investigating the relationship between economic directors (EDs) and excess perks in state-owned enterprises (SOEs) in China, we find a U-shaped relationship between the share of EDs on boards and excess perks, especially in SOEs controlled by local governments and with greater managerial power—as well as in regions with poor legal systems. The share of EDs on boards may have three benefits with respect to reducing the use of excess perks in SOEs: (1) replacing excess perks with monetary wages more aligned with the value of managers; (2) reducing the increase in excessive perks caused by the availability of free cash flow; and (3) reducing the use of excess employees to drive excess perks.  相似文献   
12.
Journal of Business Ethics - Consumer indirect misbehavior in access-based consumption is a significant challenge for enterprises. The literature is in short of a deep understanding of the...  相似文献   
13.
Based on a case study of state-directed aid resources in anti-poverty programmes, we detected a new phenomenon of social exclusion in China. In a period of several years, a shift is observed from elite capture to marginalization of the poorest. This phenomenon occurs under the administrative pressure from the authoritarian state and the morbid democratic mechanism. Contemporary structural changes in economic and social culture also make it difficult for marginal people to escape from this predicament. From a social structural transformation point of view, we suggest that the marginalization of the poorest should be seriously taken into consideration in rural development programmes and policies.  相似文献   
14.
我国上市制造业企业的商业信用与银行信贷关系存在长期互补特征,但信号理论对互补强度的演变过程缺乏有效的解释力.为探索信号理论之外的互补机制,反思企业债务结构的信贷偏移效应,文章提出了产能驱动假说,利用面板门限模型,得到了以下结论:(1)商业信用与银行信贷会随产能增长而呈现从"替代"到"互补"的演变特征,且互补强度(单位商业信用上升伴随的信贷上升)会随产能膨胀出现从"弱"到"强"的二次突变特征,即产能扭曲会使企业债务结构快速向银行信贷偏移,这为理解企业信贷依赖的形成路径提供了产能层面的微观解释.(2)企业债务结构再平衡能力具有异质性,高研发投资及低调整成本企业借助产能治理来修正信贷依赖的能力更强,因此降低调整成本、扶植企业创新应成为优化融资结构的重要政策路径.文章在信号理论之外提出了产能驱动假说,解释了我国企业债务结构扭曲的动态特征,并从技术创新与调整成本视角为推动企业实现债务结构再平衡提供了政策参考.  相似文献   
15.
[目的]为清晰识别影响农户生态耕种行为的主要因素,以期为加强耕地生态保护、保障农作物质量安全、提升农户耕种收益、实现农业现代化目标提供参考。[方法]基于江西省11市47县(区)1488份农户微观调查数据,在分析农户生态耕种特征基础上,运用二元Logistic和Probit模型对农户生态耕种行为影响因素开展实证研究。[结果]农户生态耕种10种具体行为的采纳情况差异明显,其中施用有机肥采纳程度最高,生态农业模式采纳程度最低。农户采纳生态耕种整体水平不高,但仍具备进一步推广的潜力。家庭劳动力比重、生态耕种成本认知、新型农业经营主体、法律法规认知、生态耕种收益认知、生计分化和生态环境认知等解释变量是影响农户生态耕种行为的主要内部因素,政府补贴、农田基础设施、生产交流程度、耕地质量变化和生态耕种信息获取难度等则是主要的外部影响因素。[结论]政府及基层管理部门应在推动农户非农就业生计、大力培育新型农业经营主体、加强生态耕种宣传与推广、完善政策扶持与管控机制等方面制定针对性的政策措施。  相似文献   
16.
本文采用实地调查、访谈法和网络调查法相结合的方法,对河南省产业集聚区产业创新状况进行了研究。研究发现河南省产业集聚区产业创新主体——地方政府、企业、高校/科研院所均存在影响产业创新的因素。为解决创新过程中存在的问题,本文在将产业创新划分为共性创新和个性创新两种类型的基础上,针对不同类型的产业创新提出了明确的、具有可操作性的解决策略,为助推河南省工业经济的发展提供了有效的智力支持。  相似文献   
17.
股票市场波动与投资者情绪和宏观经济存在着密切联系,宏观经济又会影响投资者情绪。本文以2014~2018年为研究时间段,采用主成分分析法和多元回归法构建投资者情绪综合指标,使用SVAR模型研究了宏观经济条件在投资者情绪对股票市场波动的冲击过程中起到的影响,并比较了该影响在主板市场和中小板市场之间的不同。结果显示:宏观经济条件会放大投资者情绪对股票市场波动的冲击幅度并延长冲击时间;主板市场规模更大,宏观经济条件对情绪冲击的放大幅度更大;中小板市场活跃度和投资者关注度较低,对投资者情绪冲击的反应会被减慢。  相似文献   
18.
In this paper, we empirically investigate how greenness information is priced in the green bond market. Our comparison of liquidity-adjusted yield premiums of green bonds versus synthetic conventional bonds indicates that, on average, there is no robust and significant yield premium or discount on green bonds. However, green bonds certified by an external reviewer enjoy a discount of about 6 bps. Furthermore, green bonds that obtain a Climate Bonds Initiative certificate show a discount of around 15 bps. The findings suggest that a universally accepted greenness measure can benefit the development of the green bond market.  相似文献   
19.
Using China as the research setting, this paper investigates the relationship between economic policy uncertainty and corporate precautionary cash holdings. Empirical results show a U-shaped relation between economic policy uncertainty and corporate precautionary cash holdings. Empirical analysis, in terms of ownership structure, firm size, corporate competitiveness and geographical location, further shows that (i) the effects for economic policy uncertainty in both state-owned and non-state-owned enterprises are significant, but the effect is stronger for state-owned enterprises; (ii) such significant effect is also found more strongly in small and medium-sized enterprises and highly competitive enterprises; and (iii) the effects for eastern, central and western China are all statistically significant, but the effect is strongest for eastern China.  相似文献   
20.
Twenty nineteen(2019)marked another year of lethargic growth in the Chinese economy amidst escalated internal and external complexities.Internally,the country's macroeconomic landscape was overcast continuously by fallen consumption growth,plunged growth in manufacturing investment,rapid accumulation of household debt,risen income inequality,and the overhang of local government debt.The nation's external conditions did not fare any better,with drastically declined growth in imports and exports,continued trade tensions with the US,and weakened external demand.Based on the IAR-CMM model,which takes account of both cyclical and secular factors,the baseline real GDP growth rate is projected to be 6.0%in 2020(5.9%using more reliable rather than the official data),with a downside risk.Alternative scenario analyses and policy simulations are conducted,in addition to the benchmark forecast,to reflect the influences of various internal and external uncertainties.The findings emanated from these analyses lead us to stress the importance and urgency of deepening reform to achieve competitive neutrality for China’s transformation into a phase with sustainable and high-quality development.  相似文献   
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