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41.
In the presence of both convex and nonconvex capital adjustment costs in a dynamic general equilibrium model, corporate tax policy generates both intensive and extensive margin effects via the channel of marginal Q. Its impact is determined largely by the strength of the extensive margin effect, which, in turn, depends on the cross‐sectional distribution of firms. Depending on the initial distribution of firms, the economy displays asymmetric responses to tax changes. Moreover, an anticipated increase in the future investment tax credit reduces investment and adjustment rate initially.  相似文献   
42.
The present inquiry lays a groundwork for the analysis of the net greenhouse gas (GHG) footprint of oil in the oil-abundant settings. To address the research question, the study puts forward a three-sector decision model, which provides a common ground for the assessment of the interaction of the structuralist and institutional factors influencing environmental pollution in the oil-reliant economies. The study shows that fossil-fuel abundance triggers forces, which induce diametrically opposed effects concerning atmospheric pollution. These are the rising carbon-intensive oil extraction and processing and fossil-fueled power generation versus shrinkage of the carbon-intensive manufacturing and growth of the low-carbon tertiarization. The theoretical analysis enables compartmentalization of the essential factors, which determine GHG emissions in the respective countries. To assess the significance of the proposed theoretical framework, the study employs multivariate panel co-integration techniques and two-stage fixed effects estimations for a dataset of 38 oil-producing countries for the time period between 1960 and 2018. In contrast to the existing literature, this study drives apart from the black box approaches that employ just one omnibus variable, per capita income.  相似文献   
43.
This paper uses a probabilistic approach to simulate the medium-term public debt trajectories of several major emerging market countries. We extend the standard debt sustainability analysis framework so as to more faithfully reproduce these countries’ economic reality in two aspects. First, we allow them to differ in the cyclical stance of their fiscal policy and in their degree of fiscal responsiveness to debt. Second, we explicitly integrate the specific risk premium paid by each country when borrowing in foreign currency. It allows us to evaluate the impact of alternative policies that the government may consider to improve sustainability. The results lead to three policy recommendations: i) a country should consider decreasing its exposure to currency risk only in extreme cases (like Argentina); ii) on the contrary, greater fiscal responsiveness (i.e. stronger fiscal tightening whenever there is a debt increase) could enhance sustainability to a much greater extent; iii) countries with low responsiveness to debt or a poor fiscal consolidation track record should be cautious with countercyclical fiscal policies, as they may trigger an unsustainable debt trajectory in the trough of the economic cycle.  相似文献   
44.
Abstract

This article investigates the correlates of diversification away from oil and natural gas dependence in the context of the twenty-first century resource boom (and bust). In a sample of 40 oil- and gas-dependent economies, the majority showed significant sectoral diversification of GDP, but exports remained highly concentrated in fuel exports. Regression analysis indicates that countries that began the boom with higher levels of oil and gas dependence, poorer countries, and those with significantly larger- or smaller-than-average populations were more successful in diversifying their GDP during the commodities boom. Governance matters – more effective, capable bureaucratic structures are associated with greater GDP diversification away from oil and gas – though the effects are not uniformly positive. For any given level of government effectiveness, stronger rule of law is associated with less GDP diversification. Education appears to affect GDP and export diversification differentially. Consistent with endogenous growth theory, countries with more educated populations saw greater growth in their nonresource sectors than countries with less educated populations, though education is associated with greater export concentration. Internal economic diversification in the twenty-first century has been less a matter of policy formation and implementation, and more a matter of factors that shape the policy-making environment.  相似文献   
45.
针对不完备信息系统条件下的辐射源威胁等级判定问题,提出了一种基于改进容差关系粗糙集(ITR-RS)的不完备信息系统辐射源威胁等级判定方法。该方法将粗糙集中的不完备信息系统理论引入辐射源威胁等级判定中,并构建一套完备的决策规则提取模型。此外,利用辨识矩阵实现对属性的约简,在降低系统所需处理数据量的同时,提高了算法的实时性;在容差关系粗糙集的基础上,提出一种改进的容差关系,在属性主、客权重相结合的基础上引入阈值来划分加权阈值容差类,得到更为合理、准确的决策规则。仿真试验及分析表明,与经典RS算法相比,所提算法的威胁等级判定正确率提高了23%,可用于信息系统不完备条件下的辐射源威胁等级判定。  相似文献   
46.
新《行政诉讼法》关于行政诉讼判决方式的修改内容丰富、特色鲜明、亮点颇多,有必要在法治国家的背景下对其深入解读。新《行政诉讼法》的判决方式具有五大亮点,修订后的判决方式彰显了国家治理的法治现代化。对于新《行政诉讼法》有关判决方式的适用我们需要注意四个层面的内容。新《行政诉讼法》对判决方式的修订并不完美,但是瑕不掩瑜,通过这次修法,我国行政审判将会以判决方式的改变作为基点迎来发展的契机。  相似文献   
47.
In bargaining problems, a rule satisfies ordinal invariance if it does not depend on order-preserving transformations of the agents’ utilities. In this paper, a non-cooperative game for three agents, based on bilateral offers, is presented. The ordinal Shapley–Shubik rule arises in subgame perfect equilibrium as the agents have more time to reach an agreement.  相似文献   
48.
We study the problem of assigning objects to a group of agents. We focus on probabilistic methods that take agents’ ordinal preferences over the objects. Importantly, we allow for indifferences among objects. Katta and Sethuraman (2006) propose the extended serial correspondence to solve this problem. Our main result is a characterization of the extended serial correspondence in welfare terms by means of stochastic dominance efficiency, stochastic dominance no-envy and “limited invariance,” a requirement we adapt from Heo (2014a). We also prove that an assignment matrix is selected by the extended serial correspondence if and only if it satisfies “non-wastefulness” and “ordinal fairness,” which we adapt from Kesten et al. (2011).  相似文献   
49.
陈晓易  王玉荣  杨震宁 《技术经济》2020,39(7):140-146,158
以2012—2016年沪深两市A股上市公司的数据为依据,通过实证分析研究了企业社会责任对企业价值的影响,并从组织层面和行业层面的视角探讨了组织惰性和行业敏感度对该影响的调节作用。研究结果表明,企业社会责任对企业价值具有显著的促进作用;组织惰性减弱了企业社会责任对企业价值的促进作用;行业敏感度阻碍了企业通过履行社会责任进而提升企业价值的过程。  相似文献   
50.
Forecasts are a central component of policymaking; the Federal Reserve's forecasts are published in a document called the Greenbook. Previous studies of the Greenbook's inflation forecasts have found them to be rationalizable but asymmetric if considering particular subperiods, for example, before and after the Volcker appointment. In these papers, forecasts are analyzed in isolation, assuming policymakers value them independently. We analyze the Greenbook forecasts in a framework in which the forecast errors for different variables are allowed to interact. We find that allowing the losses to interact makes the unemployment forecasts virtually symmetric, the output forecasts symmetric prior to the Volcker appointment, and the inflation forecasts symmetric after the onset of the Great Moderation.  相似文献   
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