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991.
This paper presents estimates of the competitive effects of trade liberalization on domestic pricing behaviour of Tunisian
manufacturing industries. The theoretical framework is based on a dynamic flexible adjustment model of price determination
in a small open economy. It investigates the process of adjustment in price level toward a desired level. The adjustment process
is both industrial and time-specific. The empirical results show that, in the long run, domestic price responds greatly to
import penetration, followed by demand pressure. There was a negative effect from import competition on domestic price. Trade
policy is a viable policy option to promote competitiveness. (JEL: C33, E31, F14, L60) 相似文献
992.
Ali İhsan Ünay Cengiz Özmen 《International Journal of Technology and Design Education》2006,16(3):253-271
This paper explores the place of structural design within undergraduate architectural education. The role and format of lecture-based
structure courses within an education system, organized around the architectural design studio is discussed with its most
prominent problems and proposed solutions. The fundamental concept of the current teaching model in the Middle East Technical
University (Ankara, Turkey) is quite appropriate for the education of future architects. If we consider that the main occupation
of an architect is to design, then, naturally, the design studio should be at the center of the curriculum. Since the act
of designing cannot be realized without artistic skills and scientific and theoretical knowledge it is also suitable that
the activities in design studios are backed up with relevant lecture courses. On the other hand, the importance of effective
structural design knowledge for an architect is emphasized within the context of a country that encountered major earthquakes
in the past. 相似文献
993.
This paper uses a panel approach to examine the determinants of foreign aid. It examines the extent to which taxes on international trade and the scope of government activities, ethnicity, private credit, and education determine foreign aid. The paper specifies and estimates a model that explains the allocation of foreign aid among 151 countries over the period 1975 to 1998. The key empirical finding suggests that Taxes on Trade increases foreign aid dependency. Moreover, trade, private credit, foreign direct investment, GDP per worker, and government consumption are important determinants of foreign aid. The factors that appear to decrease foreign aid include: Years of schooling, private credit, trade, and GDP per worker. The factors that appear to increase foreign aid include: Taxes on international trade, ethnicity, and government consumption. 相似文献
994.
The Impact of Work–Family Programs on the Relationship between Gender Diversity and Performance
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Work–family programs signal an employer's perspective on gender diversity to employees, and can influence whether the effects of diversity on performance are positive or negative. This article tests the interactive effects of nonmanagement gender diversity and work–family programs on productivity, and management gender diversity and work–family programs on financial performance. The predictions were tested in 198 Australian publicly listed organizations using primary (survey) and secondary (publicly available) data based on a two‐year time lag between diversity and performance. The findings indicate that nonmanagement gender diversity leads to higher productivity in organizations with many work–family programs, and management gender diversity leads to lower financial performance in organizations with few work–family programs. The results suggest different business cases at nonmanagement and management levels for the adoption of work–family programs in gender‐diverse organizations. © 2014 Wiley Periodicals, Inc. 相似文献
995.
目前,对我国是否开展第四方物流众说纷纭,针对此问题,从第四方物流的定义和产生出发,分析了第四方物流的优势、发展条件及其在我国的发展现状,提出是否开展第四方物流应根据企业的实际情况决定。 相似文献
996.
The objective of this paper is to integrate the generalized gamma (GG) distribution into the information theoretic literature. We study information properties of the GG distribution and provide an assortment of information measures for the GG family, which includes the exponential, gamma, Weibull, and generalized normal distributions as its subfamilies. The measures include entropy representations of the log-likelihood ratio, AIC, and BIC, discriminating information between GG and its subfamilies, a minimum discriminating information function, power transformation information, and a maximum entropy index of fit to histogram. We provide the full parametric Bayesian inference for the discrimination information measures. We also provide Bayesian inference for the fit of GG model to histogram, using a semi-parametric Bayesian procedure, referred to as the maximum entropy Dirichlet (MED). The GG information measures are computed for duration of unemployment and duration of CEO tenure. 相似文献
997.
Kashif Muhammad Menoncin Francesco Owadally Iqbal 《Review of Quantitative Finance and Accounting》2020,54(2):671-698
Review of Quantitative Finance and Accounting - Prior studies show that investor learning about earnings-based return predictors from academic research erodes return predictability. However, the... 相似文献
998.
999.
This empirical analysis of hotel properties in south-western Turkey draws on the market orientation, strategy, and capabilities literature to highlight the benefits of a differentiation strategy and customer-value focus for competitors in this industry. Relationship management and organizational resource management are key drivers of sales growth in this industry, and hotel operators facing high competitive intensity are particularly encouraged to develop these capabilities and to adopt a differentiation strategy instead of resorting to price cutting and other pricing and promotional tactics to grow revenues. Notable opportunities for future research include examining relationships between market orientation, customer satisfaction, and employee satisfaction in the Turkish hotel industry. 相似文献
1000.
Muhammad Handry Imansyah Suryani Syahrituah Siregar Muzdalifah Hidayatullah Muttaqin 《美中经济评论(英文版)》2014,(9):573-591
The debt crisis in the European Union (EU) and the U.S. has significant potential impact on the economy of Indonesia. U.S. sub-prime mortgage crisis in 2008 has a strong impact on Indonesian economy, that Indonesia's gross domestic product (GDP) slowed down to below 5% during 2009. Until October 2012, Indonesia's export growth is starting to grow negatively on some sectors when the crises in the EU and the U.S. have started or overall grew by -6%. Although the slowdown does not occur in all sectors, the impact spreads to other sectors as the existence of industrial linkage among sectors. The objective of the study is to look at the impact on the sector level on various indicators such as GDP (value added) and employment. Input-output analysis will be used in the simulation. Indonesia input-output table of 2005 is applied as the data base. The simulation results show that if exports decline occurs in the U.S., the economic growth will be -0.20%. Meanwhile, if it occurs in the EU, the growth of GDP will be -0.24%. If some Asian countries face the fall of demand of Indonesian export, GDP growth declines by 0.61%. The fall of exports demand from some Asian countries, EU countries and the U.S. will cause the GDP growth by -1.06%. The crisis occurring in both the US and the EU has decreased export demand from those countries and region including some Asian countries. The impact to employment seemed to be minimal, only -0.47% of total labour force. 相似文献