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1.
党的十九大报告指出:“要坚决打好防范化解重大风险攻坚战,其关键又是防范金融风险,包括防范中国系统性金融风险的发生和抵御国际性金融危机传导所带来的外部冲击。”2007年由美国次贷危机演变成的全球性金融危机,至今还在持续影响着部分国家的经济和金融发展。2015年底开始的美国第六轮加息周期和2018年3月中美贸易战的爆发,使得中国的经济发展面临更大的机遇和挑战。本文以次贷危机为背景,基于MIMIC模型对2005—2016年的美国金融危机压力进行了测度,找到压力的来源为外汇储备增长率、出口增长率和实际有效汇率高估三个方面,进而分析其产生的根本原因,最后从三方面提出中国防范化解重大风险的对策和启示。  相似文献   
2.
We examine the impact of the introduction of VIX exchange‐traded products (ETPs) on the information content and pricing efficiency of VIX futures. We document that trades in VIX futures have become less informative and that pricing errors exhibit more persistence after the introduction of VIX ETPs. In addition, we observe that the price process of the VIX futures has become noisier over time. These findings suggest that the introduction of the VIX ETPs had a prominent effect on the properties and dynamics of the VIX futures.  相似文献   
3.
Accurate aircraft trajectory predictions are necessary to compute exact traffic demand figures, which are crucial for an efficient and effective air traffic flow and capacity management. At present, the uncertainty of the take-off time is one of the major contributions to the loss of trajectory predictability. In the EUROCONTROL Maastricht Upper Area Control Centre, the predicted take-off time for each individual flight relies on the information received from the Enhanced Traffic Flow Management System. However, aircraft do not always take-off at the times reported by this system due to several factors, which effects and interactions are too complex to be expressed with hard-coded rules. Previous work proposed a machine learning model that, based on historical data, was able to predict the take-off time of individual flights from a set of input features that effectively captures some of these elements. The model demonstrated to reduce by 30% the take-off time prediction errors of the current system one hour before the time that flight is scheduled to depart from the parking position. This paper presents an extension of the model, which overcomes this look-ahead time constraint and allows to improve take-off time predictions as early as the initial flight plan is received. In addition, a subset of the original set of input features has been meticulously selected to facilitate the implementation of the solution in an operational air traffic flow and capacity management system, while minimising the loss of predictive power. Finally, the importance and interactions of the input features are thoroughly analysed with additive feature attribution methods.  相似文献   
4.
《中国林业经济》2021,(3):95-97
财务风险是企业调整发展战略、提升管理水平的重要参考指标之一。财务风险预测模型的建立能够预测企业在中短期内的财务风险,为企业敲响警钟。以造纸业上市公司冠豪高新为例,选取近五年财务杠杆系数为风险指标,建立GM(1,1)风险预测模型,结果显示该公司短期内财务风险呈下降趋势,调查发现这主要得益于产品成本的降低以及营销策略的改变。  相似文献   
5.
采用灰色预测方法对黑龙江森工林区2018—2027年林业三次产业产值进行预测,并在此基础上利用动态偏离-份额分析方法对此阶段黑龙江森工林区的林业优势产业进行选择。结果表明:2019年黑龙江森工林区林业产业结构将演变为"三、一、二"模式;林业第一产业中的林木育种和育苗、经济林产品的种植和采集业可作为优势产业进行重点发展和管理。因此,提出优化黑龙江森工林区林业产业结构的相关建议:继续巩固发展林木育种和育苗、经济林产品的种植和采集这两个优势产业;推动加工制造业向深加工、精加工的方向转变;加强林业旅游与休闲服务业的竞争力。  相似文献   
6.
This article investigates a mechanism named the selfie effect. By their frequent sharing of selfies on social media, perhaps displaying their cool new fashions or newly acquired tattoos, young people—unintentionally—help providers to promote their products and services, and thereby contribute to the commercial pressure. The existence of a selfie effect builds on hypotheses originating from a pilot interview study concerning how young adults master the consumer role. In this article, the existence of a selfie effect is investigated in a nationally representative web survey with 1,707 respondents aged 16–60, living in Norway. While 59% of the teenagers said they were posting selfies weekly or more often, only 2% among those in their fifties did. The multivariate quantitative analyses support the idea that teenagers and young adults, frequently online, become vulnerable in the consumer role. Particularly posting selfies and following bloggers increase consumer detriment and overconsumption.  相似文献   
7.
利用企业所得税分享改革构建强度倍差模型,使用1997—2012年全国地级市数据,检验了地方财政压力对于投资多样性的影响及相关传导机制。结果表明,地方财政压力不利于投资多样性的提高;在财政压力下,地方容易形成偏向房地产行业的投资倾向。然而,不同地区地方财政压力对投资结构的影响存在异质性。经济发展水平较低的地区在财政压力下更容易降低投资多样性;而经济发展水平高的地区应对财政压力时,更倾向于通过多元化投资的方式做大税基、减轻财政压力。优化分税制结构、建立地方性税种能缓解地方财政压力,对于改变地方“房地产集中型”投资结构有一定的积极作用。  相似文献   
8.
On-the-go (OTG) consumption is a growing phenomenon in the food and beverage industry. Drawing on the theory of consumption values, this study is conducted to acquire a better understanding of the influence that retail-mix elements have on OTG consumption outcomes. Specifically, this study examines the role of value for money, customer service, general assortments and healthy assortments in driving intention and satisfaction related to OTG consumption. The study also assesses the conditional value generated by the consumer's health orientation, impulsiveness and perceived time pressure. Based on a sample of 433 OTG consumers, and applying multi-group structural equation modelling (SEM) and fuzzy-set qualitative comparative analysis (fsQCA), value for money was identified as the key driver of OTG consumption outcomes. Impulsiveness and time pressure are shown to increase the effects of value for money perceptions on OTG consumption intention, while health orientation enhances the relationship between customer service and satisfaction. This study contributes to the literature on OTG consumption, explains the managerial implications for retailers, and offers recommendations to target OTG consumers better.  相似文献   
9.
经济社会转型期典型的中国式"压力型"财政,对地方创新活动和绿色可持续发展具有重要影响。运用2004~2017年中国256个地级市面板数据,实证考察了财政压力对绿色全要素生产率的影响以及传导机制。基准检验结果显示,财政压力显著抑制了绿色全要素生产率的提升,技术创新对绿色全要素生产率具有显著的促进作用;中介效应检验发现,财政压力通过抑制技术创新进而阻碍绿色全要素生产率的提升,即验证了财政压力→技术创新→绿色全要素生产率的传导机制;进一步门槛效应检验表明,技术创新对绿色全要素生产率的影响存在基于财政压力的双门槛效应,在财政压力的不同门槛值区间,技术创新对绿色全要素生产率的促进效应呈现出明显的阶梯性降低趋势。未来需综合完善中国式"压力型"财政激励制度,合理控制财政压力的区间范围,助力技术创新以提升城市绿色全要素生产率。  相似文献   
10.
In light of the call for companies to abandon current approaches to environmental management, this study adds to the environmental strategy literature and uses the evidence of competitive dynamics among companies to identify a mechanism by which companies invest in proactive environmental strategies and thereby improve the sustainability of the natural environment. An examination utilizing fixed effects regressions on a sample of large U.S.‐based companies reveal that even after controlling the number, environmental and financial performance of leading (environmental) companies, laggard (environmental) companies are more likely to invest in proactive environmental strategies when their leading peers display higher sustainability orientations. Neither the expectation of government regulation nor social movement pressure was found to be influential in this relationship. Therefore, the future dominance of companies' investments in the sustainability of the natural environment will be driven by companies themselves as long as competitive advantages are expected.  相似文献   
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