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21.
中国和印度的贸易扩张:威胁还是机遇?   总被引:8,自引:0,他引:8  
本文探讨了中印之间以及中印与其它国家之间的贸易竞争性和互补性。研究结果表明:(1)印度在第三方市场,尤其在服装、纺织品和皮革制品等方面,面临来自中国的强烈竞争;(2)中印之间的贸易增长具有一定潜力;(3)中国在中等技术行业对东亚各国、美国和大多数欧洲国家构成挑战,而印度主要对周边的南亚国家构成威胁;(4)在贸易的互补性方面,中国和印度大幅上升的进口为美国、欧洲和东亚一些国家,尤其是日本、韩国、马来西亚、新加坡和泰国的出口提供了扩张的机会。同时我们发现中国的出口结构正在发生变化,技术密集型和高科技产品的出口份额在增加,这表明从长期来看,由中国劳动密集型产品出口带来的挑战将会削弱。本文探讨了中印之间以及中印与其它国家之间的贸易竞争性和互补性。研究结果表明:(1)印度在第三方市场,尤其在服装、纺织品和皮革制品等方面,面临来自中国的强烈竞争;(2)中印之间的贸易增长具有一定潜力;(3)中国在中等技术行业对东亚各国、美国和大多数欧洲国家构成挑战,而印度主要对周边的南亚国家构成威胁;(4)在贸易的互补性方面,中国和印度大幅上升的进口为美国、欧洲和东亚一些国家,尤其是日本、韩国、马来西亚、新加坡和泰国的出口提供了扩张的机会。同时我们发现中国的出口结构正在发生变化,技术密集型和高科技产品的出口份额在增加,这表明从长期来看,由中国劳动密集型产品出口带来的挑战将会削弱。  相似文献   
22.
International marketing practices, embedded in a strong ethical doctrine, can play a vital role in raising the standards of business conduct worldwide, while in no way compromising the quality of services or products offered to customers, or surrendering the profit margins of businesses. Adherence to such ethical practices can help to elevate the standards of behavior and thus of living, of traders and consumers alike. Against this background, this paper endeavors to identify the salient features of the Islamic framework of International Marketing Ethics. In particular, it highlights the capabilities and strengths of this framework in creating and sustaining a strong ethical international marketing culture. At the heart of Islamic marketing is the principle of value-maximization based on equity and justice (constituting just dealing and fair play) for the wider welfare of the society. Selected key international marketing issues are examined from an Islamic perspective which, it is argued, if adhered to, can help to create a value-loaded global ethical marketing framework for MNCs in general, and establish harmony and meaningful cooperation between international marketers and Muslim target markets in particular.  相似文献   
23.
Trend forecasting for stability in supply chains   总被引:1,自引:0,他引:1  
This paper revisits the use of trend forecasting to determine ordering policy in supply chains by viewing it as a part of the control process for making the supply responsive to demand. Trend forecasting is often used to assess demand — a tracked variable in the control context, which drives supply — a tracking variable. Used in this way, it is often observed to increase instability creating the so-called bullwhip effect. Trend is used on the other hand with reliability to increase stability in controller control, but with the difference that a trend of a tracking variable is used to drive correction. While both processes involve use of trend to determine policies for achieving reliable performance, the outcomes of the former are variable while those of the later can create improvement in control with certainty. The similarities and differences between the two processes are discussed and guidelines developed for applying trend forecasting to enhance stability in supply chains.  相似文献   
24.
This study examines the impact of societal trust on corporate environmental strategy with particular reference to the firm–environmental groups' relationship, which has received very little attention in trust literature. Using data on 2332 firms from 16 countries, we find that societal trust exerts a negative effect on the likelihood of ISO 14001 certification. The negative relationship between societal trust and the likelihood of ISO 14001 is more pronounced for firms having intense collaboration with environmental groups. However, this effect appears to be weak in higher market uncertainty. These findings, besides significantly adding to the literature, have practical and managerial implications.  相似文献   
25.
This study scrutinized the asymmetric impact of oil prices, exchange rate, and inflation on tourism demand in Pakistan using [Shin, Y., Yu, B., & Greenwood-Nimmo, M. (2014) Modelling asymmetric cointegration and dynamic multipliers in a nonlinear ARDL framework. In Festschrift in honor of peter schmidt (pp. 281–314). New York, NY: Springer] nonlinear autoregressive distributed lag (NARDL) model. The NARDL bounds test examined the existence of cointegration in study variables, including CO2 emissions, institutional quality, oil prices, exchange rate, inflation, and tourism demand. The evidence proposes that disregarding the intrinsic nonlinearities may misinform inference. The estimated NARDL model affirmed long-run negative and significant effect of CO2 emissions on tourism demand, while institutional quality was positively associated with tourism demand. Furthermore, the findings of the study also suggested long-run asymmetric relationship between oil prices, exchange rate, inflation, and tourism demand.  相似文献   
26.
The current study is intended to analyze the long-run relationship between deficit in balance of payments (BOPs) and tourism for the period of 1976–2015 using the autoregressive distributed lag (ARDL) model. The findings of the paper exposed an indirect relationship between tourism and BOP deficit in the context of Pakistan economy, while deficit balance of trade, real effective exchange rate, and deficit in fiscal balance have a positive and significant association with the deficit in the BOPs in the long run. Based on the findings, it is recommended that policies should be devised that promote the tourism industry of Pakistan as it would be helpful in reducing the deficit in the BOPs.  相似文献   
27.
Atlantic Economic Journal - This paper investigates the presence of herding behavior across a spectrum of commodities (i.e., agricultural, energy, precious metals, and metals) futures prices...  相似文献   
28.
This study seeks to understand how political connections affect firm performance. Using a hand‐collected dataset of Pakistani firms from 2008–2014, our firm fixed effects and Heckman two‐stage regression results show that connected firms outperform those without political ties. Moreover, we show channels through which political benefits are realized in terms of greater access to debt, lower financing costs and lower tax rates. These benefits are found to be particularly large when firms are connected to politicians who held political positions most recently and firms connected through their owners. Finally, we do not find evidence for differences in political favours across regulated and unregulated industries.  相似文献   
29.
This article provides a review of the study by Roth and Diamantopoulos (2009), “Advancing the country image construct,” with a view towards highlighting the gaps in the broader country-of-origin literature. The literature mostly ignores pivotal points that should influence both the direction and the design of country-related research in international marketing. At least six key considerations in country-of-origin research deserve concurrent attention in future studies. They include: (1) the globalization of markets, (2) ecologically appropriate designs, (3) country-of-origin knowledge, saliency, and use, (4) labeling practices and requirements, (5) a focus on appropriate segments, and (6) the role of country of origin in foreign direct investment process. This commentary essay explores these issues with a view towards enhancing the relevance, ecological validity, and the quality of future research efforts.  相似文献   
30.
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