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51.
We analyze the formation of public good agreements under the weakest‐link technology. Whereas policy coordination is not necessary for symmetric players, it matters for asymmetric players; however, this fails in the absence of transfers. By contrast, with a transfer scheme, asymmetry may be an asset for cooperation. We characterize various types and degrees of asymmetry and relate them to the stability of self‐enforcing agreements. Asymmetric distributions of autarky public good provision levels (also representing asymmetric interests in cooperation) that are positively skewed tend to be conducive to the stability of agreements. We show that under such conditions, even a coalition including all players can be stable. However, asymmetries that foster stability (instability) tend to be associated with low (high) gains from cooperation.  相似文献   
52.
The purpose of the study is to accurately measure the span of different seasons and its effect on the fluctuation of the occupancy rate and the average room rates in the hospitality sector. While prior studies have concentrated on measuring seasonality using calendar months, this study takes a different approach by measuring seasons in terms of the date count so that the exact starting and ending date of a season can be identified. This step involves adopting a non-parametric methodology that split the time scale into several small parts to obtain a better fit of the relationship and that can detect the starting and end of the season when given specific dates.  相似文献   
53.
We set out to assess the effects of exchange rate uncertainty on real consumption in selected Asian countries. Consumption influences business cycles, which in turn shape short-run monetary policy decisions. Hence, understanding factors driving consumption is appealing to policymakers. To date, few studies have analysed the effects of uncertainty on consumption. The available ones generally focus on the long-run effects, in spite of the fact that the short-run persistence and adjustments to equilibrium are equally relevant. Our study takes these limitations seriously by distinguishing the short- and long-run effects of exchange rate uncertainty on consumption. Using a flexible dynamic panel data technique that allows long-run effects to be homogeneous and the short-run effects to be heterogeneous, we find that uncertainty impedes consumption in the long run. In the short run, however, the effects are immaterial. This evidence remains robust to the measure of uncertainty, asymmetric uncertainty, inflation and the global financial crisis of 2008. By decomposing uncertainty into its temporary and permanent components, we find that the latter have a stronger effect on consumption in the long run than the former. Although both components demand policy attention, the evidence suggests that policymakers should be more concerned with permanent uncertainty.  相似文献   
54.
Using unique survey data, we find that a longer investment horizon (6–10 years and 11+ years) reduces the likelihood of exhibiting myopic loss aversion (MLA) compared to an investment horizon of less than 2 years. In addition, we find that investors with higher levels of assets under management (AUM) are less likely to exhibit MLA compared to the lowest AUM quartile.  相似文献   
55.
In a one‐commodity economy populated by capitalists equipped with equal endowment but with heterogeneous linear production technology, a division of the capitalist class emerges endogenously. The capitalists with relatively weak technology, yielding the profit rate lower than the interest rate, become a money capitalist (lender), whereas the capitalists with relatively strong technology, yielding the profit rate greater than the interest rate, become an industrial capitalist (borrower). The equilibrium interest rate is derived by the associated demand and supply relation. From this setup of the model follow two essential relationships Marx establishes between the average profit rate and the interest rate: (a) that the profit (rate) sets a maximum limit of interest (rate), and (b) that the two rates are correlated in the long‐run. Lastly, the profit rate of financial sector is less than that of industrial sector due to the basic setup of the model where the industrial sector uses leverage to amplify the underlying capital profit rate, whereas the financial sector lacks intermediation technology, which would have enabled it to borrow profitably.  相似文献   
56.
利率管制松绑、企业会计信息披露质量与融资约束   总被引:1,自引:0,他引:1  
已有研究发现,以资本价格——利率为代表的要素市场改革会对企业行为产生重要影响,但这种影响的作用机理如何通过改变资本市场中的信息供求关系予以实现,亟待深入研究。为此,本文以我国2013年央行全面放开利率管制为背景,基于产权性质差异构建双重差分模型,检验利率管制松绑在企业层面的信息溢出效应。研究发现:央行全面放开利率管制不仅有助于促进企业披露高质量的会计信息,还能够缓解企业的融资约束,且企业信息披露质量的提升是导致利率管制松绑降低融资约束的重要渠道。进一步研究发现,对于市场化程度较低地区、R&D投入较高以及短期贷款占比较大的公司,上述信息溢出效应更加显著;另外,利率管制松绑后企业披露高质量的会计信息能够增进投资者的信任,提高信息披露的价值相关性。以上研究结论表明,为应对利率市场化改革带来的机遇与挑战,保障可持续发展,企业会选择主动优化信息环境,来消除信贷市场摩擦,解决“融资难”问题。  相似文献   
57.
针对天基数据链系统卫星间的传播时延较大且节点间距离变化较大等特点,提出了一种提高时频资源利用率、提升系统容量、减小时延的方法。在时分多址与空分多址相结合的接入方式下,进行了时隙调度的分析与优化,利用卫星星座的空间复用与大跨度传播时延特性,采用时隙编排、收发状态调整、帧格式优化等手段,将信道利用率和系统容量提升了1倍,将卫星节点在某一方向获得服务的平均等待时间缩短为原来的1/4,提高了天基数据链系统的服务质量。  相似文献   
58.
Accurate identification of economic recessions in a timely fashion is a major macroeconomic challenge. The so-called Sahm recession indicator (Sahm, 2019), one of the most reliable early detectors of the U.S. recessions, relies on changes in unemployment rates, and is thus subject to misclassification errors in labor force statuses based on survey data. We propose a novel misclassification-errors correction to improve the predictive timeliness and provide a proper threshold value. Using historical data, we show that the adjusted unemployment-based recession indicator offers earlier identification of economic recessions.  相似文献   
59.
China has been conducting massive land consolidation (LC) projects since the late 1990s to ensure national food security which has been one of the common issues in the world. How the implementation of LC projects affects grain production stability is a question should be answered. Basing on an empirical analysis at the county level in Hubei Province, China, this paper separates the trend component and the fluctuation component from a time series of grain production over 1991-2016 using the H-P filtering method. Then we estimate the impacts of LC projects and climate change on the trend and fluctuation rate of grain production for the entire Hubei Province. Moreover, the effects on the production of different major crops for the central, eastern, southwestern, northwestern and northern areas are also examined, respectively. The results show that: (1) the production trends for five subareas and the whole area all have followed a trajectory of “increase-decrease-increase” from 1991 to 2016. The magnitude of fluctuation rate was large but became smaller in recent years. (2) The contribution of LC to the long-term trends of grain production for the entire samples in Hubei Province mainly benefits from the growth in the cultivated land area through LC; more LC investment and newly-added arable land area promote the sudden increase in grain production above the long-term trends, while the impacts of LC area are negative. (3) The impacts of LC on the major crop production vary across areas. LC exerts significant impacts on the production of major crops in the central and eastern Hubei, and this effect persists to the following year. Similarly, this influence also exists in the southwestern and northern area, while becomes insignificant in the following year. No significant effect of LC variables is found in the northwestern area. These findings may provide reference for the government to address LC inefficiency and food security problems, and an effective and innovative mechanism combining the agricultural production, land consolidation and meteorological factors needs to be established to ensure food security and long-term and stable agricultural production. In addition, the regional difference in natural conditions and LC orientations should also be considered.  相似文献   
60.
Over the last four decades, the loss of agricultural land has been observed in Egypt at high rates. However, the highest rates of losses have occurred since the January 25th revolution in 2011. Greater Cairo (GC), which is the largest metropolitan in Egypt, has witnessed a massive loss of agricultural land since the 2011 revolution. However, until now, no study or official report has revealed the volume of agricultural land losses in this region. This study quantifies agricultural land losses around the GC using Landsat satellite images from 2010 and 2018. Supervised classification was performed using the maximum likelihood algorithm in QGIS software. A post-classification comparison method was applied to detect the land use/land cover changes between the classified images; then, the loss of agricultural land was quantified using Arc GIS software. Visualizations of the gains and losses in agricultural land and the spatial trends of agricultural land losses were created using TerrSet software. The results show that 9600 ha of agricultural land were converted to urban use during 2010–2018, which means that the annual rate of agricultural land loss has tripled and now reaches approximately 1200 ha per year. Decay of executive authority, rapid population growth, real estate market speculation and fragmentation of agricultural land were the main driving factors of agricultural land losses during this period. The results of this research may help decision makers understand the current high rate of agricultural land loss. Hence, appropriate strategies may be adopted to prevent future losses of this valuable land.  相似文献   
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