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1.
Abstract:   The microstructure literature models the mechanisms through which fundamental information is incorporated into market prices. This paper extends previous models by endogenising information production and analysing incentives for costly information production. In contrast to the existing literature, increasing the number of informed traders can result in reduced price informativeness. When prices have an allocative role this has welfare consequences: the regulatory implications of a dichotomy between private and public incentives for information gathering are discussed.  相似文献   
2.
Based on a contingent perspective of accounting change, this paper reviews the historical development of differential reporting in Germany, by drawing on primary and secondary sources. The main objective of the paper is to shed light on the driving forces and main influential parameters that have shaped the existing differential reporting framework. This historical approach supplies interesting insights for the current discussion on differential reporting in Germany produced by the EU Regulation on the application of International Accounting Standards.  相似文献   
3.
I investigate whether a bequest motive for savings influences the post-retirement wealth trajectories of German households. Two measures of the bequest motive are studied: the existence of children as the main group of potential heirs and the respondents' declared intention to bequeath. While having children has no significant impact on households' wealth trajectories, stated bequest intentions are associated with considerable heterogeneity in wealth holdings. The main conclusion from this study is that both the pure life-cycle model and the life-cycle model with bequest motives provide a valid basis for a theory of household wealth accumulation once the heterogeneity of preferences is acknowledged.
JEL classification : D 91; J 14  相似文献   
4.
Recent approaches to sustainable development leave much room for policies at a local level. In fact, it is becoming evident that targets such as increasing resource productivity, preserving natural cycles, or extending the present level of welfare, are best pursued within the confines of a local area. In particular, environmental changes are best brought about by considering local systems of firms as cornerstones of cooperative strategies and using data on materials and energy use in physical terms. In this paper, an enterprise input–output model is developed for an industrial district, i.e. a local group of firms specialized in the production of a single final output. The model allows for a detailed quantitative analysis of materials and energy flows and the consequent generation of waste and pollution. As a planning tool, the model may be used to evaluate alternative scenarios, such as the possibility of re- using waste taking account of sustainability requirements. An empirical case study applies the model to an industrial district in Southern Italy producing leather sofas.  相似文献   
5.
在大学生就业难的背景下,初步分析了学生职业意识的内涵和意义,探讨学生应具备的职业意识的主要内在构成要素,提出培养学生职业意识的途径和方法。  相似文献   
6.
Summary. We prove existence of a competitive equilibrium in a version of a Ramsey (one sector) model in which agents are heterogeneous and gross investment is constrained to be non negative. We do so by converting the infinite-dimensional fixed point problem stated in terms of prices and commodities into a finite-dimensional Negishi problem involving individual weights in a social value function. This method allows us to obtain detailed results concerning the properties of competitive equilibria. Because of the simplicity of the techniques utilized our approach is amenable to be adapted by practitioners in analogous problems often studied in macroeconomics. Received: September 13, 2001; revised version: December 9, 2002 RID="*" ID="*" We are grateful to Tapan Mitra for pointing out errors as well as making very valuable suggestions. Thanks are due to Raouf Boucekkine and Jorge Duran for additional helpful discussions. We also thank an anonymous referee for his/her helpful comments. The second author acknowledges the financial support of the Belgian Ministry of Scientific Research (Grant ARC 99/04-235 “Growth and incentive design”) and of the Belgian Federal Goverment (Grant PAI P5/10, “Equilibrium theory and optimization for public policy and industry regulation”). Correspondence to: C. Le Van  相似文献   
7.
当前,商品市场的竞争越来越明显地体现在商品供应链上面,而矛盾的焦点在于很多供应商受资金短缺的约束,已与上下游企业之间产生严重的不协调现象,进而影响到下游制造商或零售商的利润,最终导致整体上供应链利润减少。面对资金约束问题,供应商应积极动员上下游企业尽可能地采取经济援助策略,增强融资的风险防范能力。其基本模式主要有:企业预付款融资模式、企业直接投资融资模式、企业担保下的银行融资模式。并通过采用价格折扣、收益共享、供应链保险等方法规避风险,达到供应链条及供应链上各企业可持续发展的目的。  相似文献   
8.
We present a probabilistic model based on the one developed by Hernández Mendo and Anguera (Revista de Psicologíca Social, 16(1), 71–93, 2001). Here we have tried to break down the interaction contexts that the opposing teams are able to generate and transform during the game. We are aware that a given player or team does not produce consistent behaviour in similar situations. However, a degree of uncertainty is assumed to exist regarding whether the results obtained are a specific function of the analysis used. In order to carry out this research a category system which optimized that used in the previous model was developed. This system should enable the interaction between teams to be observed within the actual play of a soccer game. A lag sequential analysis was performed on the basis of a coding of the behavioural flow. After describing the behavioural patterns obtained a probabilistic model of the development of play in soccer is proposed.  相似文献   
9.
For Poisson inverse Gaussian regression models, it is very complicated to obtain the influence measures based on the traditional method, because the associated likelihood function involves intractable expressions, such as the modified Bessel function. In this paper, the EM algorithm is employed as a basis to derive diagnostic measures for the models by treating them as a mixed Poisson regression with the weights from the inverse Gaussian distributions. Several diagnostic measures are obtained in both case-deletion model and local influence analysis, based on the conditional expectation of the complete-data log-likelihood function in the EM algorithm. Two numerical examples are given to illustrate the results.  相似文献   
10.
本文从发展性、战略性、新兴性和导向性四个维度分析战略性新兴产业的特征,构建战略性新兴产业产能利用状况的评价指标体系,并在评价综合指数的基础上构建产能过剩预警体系。测算中国光伏产业产能利用评价指标权重及综合指数,并利用“前端”指标对其产能过剩预警模型进行实证检验和分析。研究结果显示,光伏产业上游环节新兴性特征对产能利用的影响程度最大,战略性特征影响程度最小;产能过剩预警模型预测准确率为92.9%,预测效果较好。为化解和防止战略性新兴产业的产能过剩,需要鼓励产学研紧密合作,完善新产品市场配套设施,建立信息发布及产能监测预警机制,提高政府补贴使用效率,正确引导社会资金投向。  相似文献   
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