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1.
牛肉是西餐主要的食材之一。本文通过对牛肉的初加工技术进行分析,探究对西餐牛肉类进行食品安全控制的措施,以提高牛肉类产品的整体质量,使西餐牛肉类产品能够达到我国食品安全的标准。 相似文献
2.
Philippe Burger Estian Calitz 《The South African journal of economics. Suid-afrikaanse tydskrif vir ekonomie》2021,89(1):3-24
Following years of fast-rising debt levels, we show that the Covid-19 crisis worsened an already deteriorating fiscal position in South Africa. To restore fiscal sustainability in the aftermath of the crisis some commentators argue that higher government expenditure will grow GDP sufficiently to stabilise the debt/GDP ratio. We reject this, showing that although a real increase in expenditure stimulates economic growth (a short-run, once-off effect), the public expenditure/GDP ratio exceeds the level at which an increase in the ratio positively impacts growth. We then explore the past efforts of government to maintain or restore fiscal sustainability by estimating a fiscal reaction function using a Markov-switching model. Following the impact of the Covid-19 crisis on the budget, we subsequently establish the deficit, expenditure and revenue adjustments that the government will have to make to restore fiscal sustainability. Finally, we consider the merits of introducing a debt ceiling. 相似文献
3.
人才是科技创新最关键的因素,以《中国高技术产业统计年鉴》、《中国科技统计年鉴》为基础,对江苏的主要人才指标与广东、浙江进行对标分析,找出江苏科技人才发展的优势与不足.江苏存在研发人员增速缓慢、基础研究人才不足、人才区域分布不均衡等问题,分析问题背后的深层次原因,并从增强高新技术产业人才集聚效应、建设高水平基础研究人才队伍、提高苏中苏北引才育才能力等方面提出对策建议. 相似文献
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推动基本养老保险由省级统筹向全国统筹过渡是我国现阶段社会保障制度改革的重心,对于实现经济的公平高效发展具有重要意义。为此,选取2006—2017年全国31个地区的面板数据,以基础养老金省级统筹过渡到全国统筹后,不同地区及不同收入群体间的收入再分配效应为研究对象,从统支视域出发,采用渐进式计发办法预测2041年统筹层次提升后,各地区不同收入群体的基础养老金待遇水平,并结合泰尔指数和离散系数进行比较静态分析,结果发现:养老金统筹层次提升存在着显著的收入再分配效应,但各地区养老金待遇差距与其经济发展水平并无必然联系。 相似文献
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This article seeks to provoke that human resource management (HRM), both as an academic field of study and as a form of professional practice, is at risk of impoverishment. The main reasoning for this is because of ideological individualism and marketisation with an attendant neglect on wider organisational, employee, and societal concerns. Following a review of the context of financialised capitalism, three contemporary developments in HRM are used to illustrate the argument: reward strategies, talent management, and high performance work systems. Implications for the practice of HRM and the way the subject area is taught in mainstream business schools are considered. 相似文献
8.
Zeus Guevara Edmundo Molina-Pérez Edith X. M. García Vanessa Pérez-Cirera 《Economic Systems Research》2019,31(2):178-205
The North-America Free Trade Agreement (NAFTA) has brought together the economies of Canada, Mexico, and the US into forming one of the largest trading blocs worldwide (within the top CO2 emitters). However, the current global protectionist discourse threatens the agreement. This paper analyzes the energy and energy-related CO2 emission relationships between NAFTA countries in 2014 to gain insights into the climate change implications of current integration and the possible cancelation of the agreement. The analysis is performed with a multi-regional version of the multi-factor energy input–output model. The results show that NAFTA has not built a single integrated energy system, though it has helped reduce energy-related CO2 emissions. Moreover, if NAFTA is not revoked, further integration would depend on the capacity of the Mexican energy sector to converge to the performance of its trade partners’ energy sectors. Conversely, a broken deal would induce negative environmental externalities. 相似文献
9.
全球科技创新竞争,归根结底是科技创新人才的竞争。党的十九大明确将人才强国战略确定为国家战略。四川省在落实人才强国战略、加快由要素驱动转型为创新驱动的过程中,不断提升科技创新人才队伍规模和质量,但相比沿海发达地区,仍存在人才数量不足、结构不合理、政策落地不到位等问题。文章提出通过加强科技创新人才队伍顶层设计、构建“技术经纪人”人才服务体系、优化科技创新人才机制体制、加大科技创新人才开放、合作和交流等措施,构建“全方位、多层次”“创新链全覆盖”的高质量科技创新人才体系。 相似文献
10.
ROEL BEETSMA MASSIMO GIULIODORI JESPER HANSON FRANK DE JONG 《Journal of Money, Credit and Banking》2018,50(7):1401-1440
We provide evidence for the euro area of spillovers from foreign public debt auctions into domestic secondary‐market auction cycles. We also confirm existing evidence of such spillovers from domestic issues into the domestic secondary market. Consistent with a theory of primary dealers’ limited risk‐bearing capacity, we find that auction cycles from domestic issues are stronger during the recent crisis period, whereas cross‐border effects are stronger in the precrisis period, but this evidence is not strong. This finding likely reflects the opposing effects of reduced sovereign bond market integration during the crisis and higher yield covariances caused by more market volatility. 相似文献