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51.
Antoon Spithoven 《Journal of economic issues》2019,53(2):385-393
I analyze cryptocurrency ecosystems with Elinor Ostrom’s meta-framework for self-governance. I conclude that Bitcoin falls short in its self-governing ambitions, while cryptocurrency software protocols and blockchain technologies have potentialities within “permissioned” peer-to-peer private or hybrid networks. However, regulation and supervision by trusted third parties are required. 相似文献
52.
从1985-2018年海南城乡居民收入、消费数据出发,分别建立消费关于收入、消费差距关于收入差距的自回归模型,结果表明农村居民当期消费更易受近期收入和消费水平的影响,具有不稳定性。再利用GM(1,1)模型预测城乡居民收入差距,结合自回归模型,完成未来10年海南城乡消费差距的预测:收入差距和消费差距将呈直线递增趋势,收入差距的增幅高于消费差距增幅。缩小海南城乡居民消费差距的根本途径在于缩小收入差距,应因地制宜,切实提高农民收入水平。 相似文献
53.
Zhiyuan Wang 《New Political Economy》2018,23(6):656-673
Extant scholarship treats national policies concerning labour rights as a function of economic factors and yet neglects influences of policies among economically competing states. Relying on the policy interdependence theory, this study argues that labour rights policy in a state is dependent on its economic competitors’ labour policy decisions. It specifically maintains that the intensifying competition for foreign direct investment and exports as well as against imports channels negative externalities of deteriorating labour protection in competing states which drives expansive downward policy mimicking and leads to a global decline in labour rights – a race to the bottom. Utilising spatial econometric technique to analyse a new data on labour rights for the period 1994–2009, it finds that labour rights practices are interdependent among economic competitors and experience global deteriorations; whereas labour rights laws remain largely independent due to high policy and reputational costs of lowering them and show more fluctuations. 相似文献
54.
Magnus Weber 《Journal of Risk Research》2018,21(7):914-931
This paper addresses the expansion of risk practices through a case study of a government led project in Sweden purposed to develop a method to include social events in mandatory risk practices. Social heterogeneity was to be transformed into straightforward causality in order to turn the social into a manageable object. In this regard, the project was quite successful. By inviting social scientists into the process, otherwise often marginalized within risk practice, causality and quantifiable risk factors could be established and the model became a rigorous and legitimate scientific model. Although experts were granted significant autonomy and became experts far beyond their own area of expertise, the success of the model lies rather in allowing experts authority within confined boundaries. Grand narratives and critical perspectives are disregarded as too abstract and if social scientists are to infuse aspects of social critique they must adapt to these circumstances: they must become instrumentalists. 相似文献
55.
James L. Chan 《公共资金与管理》2018,38(6):453-460
In implementing its national strategy to achieve global leadership, China needs a new public administration theory that integrates political administration, economic management and social regulation. Even so, China has already started to promote its brand of political and economic development abroad. Therefore new comparative research and dialogue is called to explore the universality of Chinese and Western public administration ideas. 相似文献
56.
The conventional partial adjustment model, which focuses on leverage evolution, has difficulty identifying deliberate capital structure adjustments as it confounds financing decisions with the mechanical autocorrelation of leverage. We propose and estimate a financing-based partial adjustment model that separates the effects of financing decisions on leverage evolution from mechanical evolution. The speed of adjustment (SOA) is firm-specific and stochastic, and active targeting of capital structure has a multiplier effect that depends on the size of financial deficit. Overall, we find expected SOA from active rebalancing (30%) more than doubles what is expected from mechanical mean reversion alone (13%). 相似文献
57.
Saiful Alim Rosyadi 《Journal of Chinese Economic and Business Studies》2018,16(2):125-145
Donald Trump’s presidential campaign contains several trade protectionism plans. This paper aims to analyze possible global impact of United States’ plan to impose import tariff increase against China. The GTAP model is implemented. The simulations present possible short-run effects of full-protection and manufacturing-only protection with appropriate retaliation response from China. The policy might lead to GDP, terms-of-trade, and welfare decline in United States and China; and an increase in trade balance for United States. Trade diversion pattern is observed in the simulation results, predicting shrinking bilateral trade between the two countries and increasing export toward their third trading partners. 相似文献
58.
农户减少化肥用量和采用有机肥的意愿研究——基于洱海流域上游面源污染防控的视角 总被引:4,自引:0,他引:4
[目的]过量施用化肥导致水体富营养化是造成洱海流域上游面源污染的主要原因之一,调查分析农户减少化肥用量和采用有机肥的意愿有助于了解其调整施肥结构的行为。当前研究忽视了农户减少化肥施用强度和采用有机肥的意愿间的替代性,未能开展联立研究。[方法]基于洱海流域上游397个水稻种植户的问卷调查数据,通过Bivariate-Probit模型对农户减少化肥用量和采用有机肥两种意愿进行分析。[结果]年龄负向影响农户减少化肥量的意愿,农户对有机肥好处的认知正向影响其减少化肥量的意愿,农户参加农业社会化服务对其减少化肥用量和采用有机肥的意愿均产生正向影响,相比之下,对农户采用有机肥意愿的促进作用更大。[结论]引导农户参加农业社会化服务以及加强宣传和培训,提高农户对有机肥作用的认知可能是加强其减少化肥用量和增加有机肥施用量意愿的有效途径。 相似文献
59.
[目的]构建科学合理的评价指标体系,准确评价生态旅游影响下的区域生态安全状况,是推动少数民族山区实现旅游资源环境与区域社会、经济协同发展的前提和基础。[方法]以岷江上游贫困山区为例,应用灰色系统理论与熵值赋权法相结合,基于压力—状态—响应模型,构建生态旅游视域下的区域生态安全评估指标体系,并将评估指数与经济收入状况及贫困人口分布进行空间耦合。[结果](1)区域当前处于较安全水平,生态旅游开发适度;(2)综合评估指数与城镇居民可支配收入增长率、旅游收入对国民经济增长的贡献率呈正相关,且城镇居民在旅游开发中受益与机会较农牧民多;(3)综合评估指数与贫困人口比重呈负相关,与农牧民纯收入增长率没有必然联系。[结论]区域脱贫能够改善当地的生态安全状况,适度生态旅游开发是区域脱贫的有效手段,但应注重扶持农牧民在旅游业中的参与度,增加其旅游收益。 相似文献
60.
Zi‐Yi Guo 《Bulletin of economic research》2019,71(3):359-387
We introduce a new type of heavy‐tailed distribution, the normal reciprocal inverse Gaussian distribution (NRIG), to the GARCH and Glosten‐Jagannathan‐Runkle (1993) GARCH models, and compare its empirical performance with two other popular types of heavy‐tailed distribution, the Student's t distribution and the normal inverse Gaussian distribution (NIG), using a variety of asset return series. Our results illustrate that there is no overwhelmingly dominant distribution in fitting the data under the GARCH framework, although the NRIG distribution performs slightly better than the other two types of distribution. For market indexes series, it is important to introduce both GJR‐terms and the NRIG distribution to improve the models’ performance, but it is ambiguous for individual stock prices series. Our results also show the GJR‐GARCH NRIG model has practical advantages in quantitative risk management. Finally, the convergence of numerical solutions in maximum‐likelihood estimation of GARCH and GJR‐GARCH models with the three types of heavy‐tailed distribution is investigated. 相似文献