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381.
Although several articles have studied the effect that stakeholder pressure has on the environmental behavior of firms, little research has attempted to identify the contingencies that explain such pressure. This article investigates the effects of six relevant variables on stakeholder environmental pressure perceived by industrial companies: size, internationalization, location of manufacturing activities, position in the supply chain, industrial sector, and managerial values and attitudes. The effect is theoretically determined by distinguishing between pressure intensity and perception capacity and empirically tested with a sample of 186 Spanish manufacturers. The analyses reveal two dimensions of stakeholder pressure, governmental and nongovernmental, and show that variables such as environmental awareness among managers, internationalization, industrial sector and company size play important roles in determining both dimensions. Copyright © 2008 John Wiley & Sons, Ltd and ERP Environment.  相似文献   
382.
In this paper we summarize the results of a broad exploratory empirical analysis where we relate the level of financial development with the effectiveness of monetary policy. The analysis is based on a panel of countries for which we calculate measures both of financial development and of monetary policy effectiveness. We look for statistically significant relationships between the indicators of financial development, the effectiveness coefficients, and other macroeconomic characteristics by estimating dynamic panels and performing a cluster analysis. We present our results in the form of a list of stylized facts that we consider deserve further attention.  相似文献   
383.
This article develops a rapid response ridership forecast model, based on the combined use of Geographic Information Systems (GIS), distance-decay functions and multiple regression models. The number of passengers boarding at each station in the Madrid Metro network is estimated as a function of the characteristics of the stations (type, number of lines, accessibility within the network, etc.) and of the areas they serve (population and employment characteristics, land-use mix, street density, presence of feeder modes, etc.). The paper considers the need to evaluate the distance threshold used (not the choice of a fixed distance threshold by assimilation from other studies), the distance calculation procedure (network distance versus straight-line distance) and, above all, the use of distance-decay weighted regression (so that the data from the bands nearer the stations have a greater weighting in the model than those farther away). Analyses carried out show that weighting the variables according to the distance-decay functions provides systematically better results. The choice of distance threshold also significantly improves outcomes. When an all-or-nothing function is used, the way the service area is calculated (straight-line or network distances) does not seem to have a decisive influence on the results. However, it seems to be more influential when distance-decay weighting is used.  相似文献   
384.
This paper evaluates the accessibility impact of the future Madrid–Barcelona–French border high-speed line. Accessibility impact of the new infrastructure is measured by means of three indicators: weighted average travel times, economic potential and daily accessibility. These indicators respond to different conceptualizations and offer complementary information about the issue accessibility. The results are quite different: very concentrated effects in the daily accessibility indicator, less concentrated in the economic potential one and more dispersal in the location indicator. The sign (polarizing/balancing) of these effects depend on the geographic scale: polarizing effects at the national level and balancing effects at both corridor and European levels are identified. A geographic information system (GIS) was used to carry out this study.  相似文献   
385.
The Venezuelan manufacturing sector, unlike agriculture, cooperated with state’s efforts to liberalize trade in the 1990s, despite the economic costs it absorbed and the political opportunities to sabotage the reforms. This paper offers two explanations for this, which modify and conciliate traditional interest-based and corporatist theories of state-society relations. High levels of sectoral autonomy from the bureaucracy and political parties (and hence Congress), together with low levels of involvement in profit-making on the part of the associations representing the sector, encourage sectoral cooperation with costly and risky state policies. In addition, traditional corporatist instruments used by states—inducements and constraints—hurt rather than enhance state-sector cooperation.  相似文献   
386.
This article seeks to extend knowledge of the mackerel (Scomber scombrus) market in the Basque Country (a region in Spain) by analysing possible relationships between this and other species with similar characteristics such as the sardine (Sardina pilchardus), the horse mackerel (Trachurus trachurus) and the Atlantic chub mackerel (Scomber colias), all of them landed at the ports of the Basque Country. Specifically, the goal is to learn whether these other species can be considered as mackerel substitutes. To that end, a fractional cointegration analysis of different series of historical prices is performed using a novel method never before used in studies of this type. The results indicate that mackerel have no substitutes, and thus form a mono-species regional market. This implies, among other things, that their price is not influenced by the prices of other species, and this should be taken into account by managers when designing management measures and policies to improve the sustainability of the fishing of this species.  相似文献   
387.
A dynamic approach to voluntary environmental contributions in tourism   总被引:1,自引:0,他引:1  
In an evolutionary game-theoretical model of tourism firms that use an endogenous natural Common Pool Resource (CPR) we show that stable equilibria with voluntary environmental initiatives may coexist with other equilibria where voluntary abatement is absent. The basins of attraction of the equilibria are identified and a bifurcation analysis is carried out producing two results with policy implications. First, there is a highly non-linear relationship between the cost of abatement required to be green and the share of green firms. Second, increases in the number of the CPR's users will ultimately dissipate the incentives to make abatement beyond regulation.  相似文献   
388.
Foreign reserve accumulation is a widespread phenomenon of recent years, particularly among emerging economies. Using a panel of 136 countries for the period 1973–2003, we demonstrate the need of using both a dynamic specification of the reserve demand equation and the system GMM estimator. These improvements change the results found by previous studies. Openness, regional imitation, persistence, an inverted U-shaped relationship between reserves and income level, and financial deregulation are the factors driving reserve hoardings. In contrast, reserves yield, and both trade and financial volatility are not statistically significant. Surprisingly, we find that countries with flexible exchange rate regimes have higher ratios of reserves to GDP. This result is robust to alternative exchange rate regime classifications.  相似文献   
389.
The evolution of the world trade web: a weighted-network analysis   总被引:10,自引:0,他引:10  
This paper employs a weighted network approach to study the empirical properties of the web of trade relationships among world countries, and its evolution over time. We show that most countries are characterized by weak trade links; yet, there exists a group of countries featuring a large number of strong relationships, thus hinting to a core-periphery structure. Also, better-connected countries tend to trade with poorly-connected ones, but are also involved in highly-interconnected trade clusters. Furthermore, rich countries display more intense trade links and are more clustered. Finally, all network properties are remarkably stable across the years and do not depend on the weighting procedure.  相似文献   
390.
We examine the predictive power of term spreads as predictors of economic recessions in Europe and the US. Using a battery of methodologies that include endogenous changepoint detection we find that the predictive power of spread-type variables has changed significantly during the 1980s and 1990s: in the most advanced countries the domestic spread has lost its informative content in favor of international – US and German – spreads, whereas in less developed countries this informational content has appeared during the late 1980s. Given the theoretical arguments for the predictive power, these findings suggest that domestic monetary policy may have become less effective in the most developed countries of the sample.  相似文献   
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