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41.
本文首先采用马尔科夫区制转移模型测算金融周期和12类行业的技术投入周期,进而采用交叉谱分析法和OLS法分析金融周期对行业技术周期的影响,结果发现:不同金融变量的周期具有异步性,各行业的技术投入周期具有明显差别;不同金融变量周期与行业技术投入周期之间存在不同的数量关联性,对不同的行业技术投入具有不同的影响作用;在繁荣阶段,金融市场和银行对各行业的技术投入都具有正向推动作用,但金融市场对高密度创新行业技术投入的推动作用更为显著,银行对低密度稳定行业技术投入的推动作用更为显著;在紧缩阶段,金融市场对高密度创新行业技术投入的紧缩效应更为剧烈,银行却对低密度稳定行业的技术投资下行起到缓解作用。根据这些事实和规律,可以引导利用各金融变量对具有发展前景的行业强化技术投资助推作用,提升经济结构优化效率。 相似文献
42.
Ngoc Thang Doan Thanh Ha Le Trung Thanh To Thi Nam Thang Truong Thi Thanh Huyen Nguyen 《Economic Systems》2021,45(1):100854
This study investigates the effect of cultural distance on global bank linkages using country-pair data for the period 1990–2013. We followed Schwartz (2006) to measure cultural distance, and employed the number of bank pairs involved in cross-border syndicated lending from the source to target countries as a measure of bank linkages. We found that cultural distance has a negative association with bank linkages. This effect is stronger in countries featuring higher informational asymmetries, as represented by weaker institutions, higher uncertainty, or revolution shocks. Our results hold even when employing alternative measures of bank linkages and cultural distance, and when considering the potential endogeneity of cultural distance. 相似文献
43.
The global financial crisis since 2008 revived the debate on whether or not and to what extent financial development contributes to economic growth. This paper reviews different theoretical schools of thought and empirical findings on this nexus, building on which we aim to develop a unified, microfounded model in a small open economy setting to accommodate various theoretical possibilities and empirical observations. The model is then calibrated to match some well-documented stylized facts. Numerical simulations show that, in the long run, the welfare-maximizing level of financial develop is lower than the growth-maximizing level. In the short run, the price channel (through world interest rate) dominates the quantity-channel (through financial productivity), suggesting a vital role of international cooperation in tackling systemic risk of the global financial system. 相似文献
44.
In order to challenge the existing literature that points to the detachment of Bitcoin from the global financial system, we use daily data from August 17, 2011–February 14, 2020 and apply a risk spillover approach based on expectiles. Results show reasonable evidence to imply the existence of downside risk spillover between Bitcoin and four assets (equities, bonds, currencies, and commodities), which seems to be time dependent. Our main findings have implications for participants in both the Bitcoin and traditional financial markets for the sake of asset allocation, and risk management. For policy makers, the findings suggest that Bitcoin should be monitored carefully for the sake of financial stability. 相似文献
45.
基于创新价值链理论,构建创新首位度的理论内涵与评价体系,对南京和其它中心城市的创新首位度进行评价与比较。研究结果显示:①在总体首位度方面,南京位列省域中心城市排名下游,落后于西安、成都、武汉、郑州、广州等国家中心城市,自2008年以来一直落后于深圳、杭州、合肥、苏州等对标竞争城市且差距较大;②在分项首位度方面,南京的研发创新、产业创新首位度位列省域中心城市排名底端,导致南京在两个首位度矩阵中均处于C象限,创新价值链呈现严重的不均衡性;③省域中心城市普遍存在创新价值链的“漏斗效应”,即知识创新首位度>研发创新首位度>产业创新首位度,南京尤甚,说明技术创新过程存在大量沟壑;④拓展性研究表明,省域中心城市的创新首位度>经济首位度>人口首位度,但是近十年3个首位度的增速排序与上述情况相反,说明创新资源有着更强的集聚效应,应避免行政手段对创新资源的错配。最后,提出对策建议与研究展望。 相似文献
46.
Medicaid provides a critical source of insurance for long‐term care, and individuals may strategically offload assets (typically to children) to meet the means‐tested eligibility requirement. In this article, we quantify the extent of such behavior using variation in the penalty for improper parent‐to‐child transfers induced by the Deficit Reduction Act of 2005. We estimate difference‐in‐differences models based on the hypothesis that only individuals with high levels of nursing home risk (high risk) will alter transfers because of the Act. We find that over a 2‐year horizon, high‐risk individuals reduced transfers to children on the extensive margin by 11 percent and that the average total amount of transfers decreased by $4,860. The results hold only for coupled respondents. We also conduct a triple‐differences analysis to examine heterogeneity with financial literacy and find that even those with a low level of financial literacy responded to the penalty. 相似文献
47.
Thi Thu Tra Pham Thai Vu Hong Nguyen KienSon Nguyen 《Applied economics letters》2019,26(13):1133-1137
The idea of financial inclusion has recently been discussed as one of the key strategies to enhance economic development (World Bank 2014). We move this discussion forward by examining if bank competition is a crucial component enforcing financial inclusion, which is arguably a finance supply-side driven process. In this study, we compute the financial inclusion index built on Sarma (2008) approach to better reflect banks’ willingness and capability to provide financial services. Applying System Generalized Method of Moments to the panel of 93 countries, we find that bank competition promotes financial inclusion. 相似文献
48.
文章基于溢出指数和波动溢出网络方法,从静态和动态分别度量我国金融系统不同子市场间的风险联动水平及变动趋势。研究结果表明,我国金融系统风险溢出效应整体水平较高,各市场间联动性较强;市场内部滞后效应大于市场之间溢出效应,两两有向溢出效应具有强不对称性;作为我国金融系统的风险中心,货币市场始终处于风险溢出方,但在金融危机时期,其对外风险溢出效应相对减弱,而大宗商品市场、资本市场、房地产市场等其余市场的风险溢出效应相对增强。值得注意的是,当前我国金融系统整体风险溢出水平较高,市场间风险相关性较强,需要进一步加强系统性风险的监测与防范。 相似文献
49.
This paper investigates the patterns of job reallocation in Korean manufacturing during the period 1984–2014. Utilizing establishment-level data from the Mining and Manufacturing Survey, we construct job flow measures and document the trend of job reallocation and test its efficiency. We first find that the pace of job reallocation has diminished since the Asian Financial Crisis. Although jobs were reallocated from less productive to more productive establishments overall, we find that the productivity-enhancing effect has also diminished over time. Although recessions are known to be periods of intense reallocation and restructuring, job reallocation was not particularly more efficient during recessions in Korea. It even decreased during the Great Recession of 2008 because the exit probability of low-TFP establishments was reduced. 相似文献
50.
农民工教育与职业的匹配状况对提高劳动力资源利用、增加劳动供给质量具有重要意义。本文使用中国流动人口动态监测调查2011~2016年微观数据,基于城市规模视角分析了农民工教育与职业的匹配状况对工资效应的差别。研究发现:人口规模越大的城市,农民工教育与职业的错配比例越高;中小城市农民工教育过度对工资的影响呈现工资嘉赏效应,大城市农民工教育过度对工资的影响以工资惩罚为主;而教育不足对农民工工资则普遍存在负向影响。农民工教育与职业不匹配对工资影响的理论机制表明,中小城市支持人力资本理论模型,而大城市和特大城市则支持分配理论模型。这意味着,农民工在中小城市表现出学历越高人力资本回报越高的特点;而在大城市,教育与职业适配则更为重要。因此,改善城市层面的教育-职业的适配性,让农民工在城市劳动力市场上自由流动和工作转换,进一步增强城市间劳动力资源的流动是相关政策调节的重点。 相似文献