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71.
72.
Olaf Weber 《Business Strategy and the Environment》2012,21(4):248-263
How do Canadian banks integrate environmental risks into corporate lending and where are they located compared with their global peers? In this paper we report a mixed method analysis of the integration of environmental risks into the credit management. The qualitative and quantitative analyses suggest that all analyzed Canadian commercial banks, credit unions and Export Development Canada manage environmental risks in credit management to avoid financial risks. Some of the institutions even connect environmental and sustainability issues with their general business strategies. Compared with other countries, Canadian banks are best in class, as all six Canadian commercial banks, comprising over 90 percent of Canadian assets, systematically examine environmental risks for credits, loans and mortgages. We conclude that Canadian banks are proactive regarding environmental examinations of loans and that there is a need for a more accountancy related reporting on environmental risk management in financial institutions. Further research is needed to be able to calculate costs and benefits of integrating environmental and sustainability issues into the credit risk management. Copyright © 2011 John Wiley & Sons, Ltd and ERP Environment. 相似文献
73.
Vlad Vaiman Throstur Olaf Sigurjonsson Páll Ásgeir Davídsson 《Journal of Business Ethics》2011,98(2):259-272
The authors of this article contend that traditional corruption, which was largely blamed for the current situation in the
Icelandic economy, was perhaps not the most fundamental reason for the ensuing crisis. The weak business culture and a symbiosis
of business and politics have actually allowed for the bulk of self-serving and unethical decisions made by the Icelandic
business and political elite. In order to illustrate this point, 10 expert interviews have been conducted within the period
of 6 months in 2009 to support in-depth research carried out by the authors. The article also discloses questionable business
practices that have recently come to the attention of the public both in Iceland and abroad and that ultimately facilitated
the downfall of the Icelandic economy. While traditional corruption has probably played its role in this downfall, the measures
currently employed to determine its level did not account for various peculiarities of Icelandic society. The article thus
argues that there was a high level of corruption in Iceland, but it was outside of the traditional definition. This other
corruption has ultimately prevented the government from acting appropriately upon the questionable business practices mentioned
above. The article also offers some general recommendations which should be useful to both policy makers and business leaders
wishing to engage in business activities in a transparent, ethical manner and learn from the tragic Icelandic experience.
Among these recommendations are the necessity to recognize the limitations of current definitions of corruption, as well as
a word of caution to commercial enterprises to pay a close attention not only to commonly accepted indices and mainstream
reports but also to a country’s history, culture, and political environment, prior to making any sort of investment decisions
in that country. 相似文献
74.
Marcel Machill Joan Kristin Bleicher Louis Bosshart Udo Branahl Kurt Braun Alexander Dix Nicola Döring Johanna Dorer Michael Eckardt Christiane Eilders Jürgen Friedrichs Rainer Geißler Uwe Göbels Andreas Hepp Joachim Huber Otfried Jarren Bernd Klammer Hans J. Kleinsteuber Friedrich Krotz Hans-Jürgen Krug Kurt Lang Maja Malik Monika Pater Oliver Quiring Bärbel Röben Karen K. Rosenwerth Georg Ruhrmann Stephan Ruß-Mohl Wilfried Scharf Olaf Selg Frank Siebel Insa Sjurts Karl-Heinz Stamm Tilman Steiner Ronald Uden Stephan Alexander Weichert Christian Zabel 《Publizistik》2006,51(2):234-272
75.
76.
Bernhard Brümmer Olaf Korn Kristina Schlüßler Tinoush Jamali Jaghdani 《Journal of Agricultural Economics》2016,67(3):685-705
Food price volatility has re‐emerged as an important topic of political discussion since the food price crisis of 2007–2008. Different volatility drivers have been identified for different markets in the theoretical and empirical literature. However, there is no comprehensive analysis that considers a large number of potential drivers and investigates their joint effects in a dynamic model of interrelated markets. Our study provides such a volatility analysis for the oilseeds and vegetable oils markets. We use a common GARCH approach and a VAR model to identify volatility drivers and spillover effects. Our results show that exchange rate volatility is very important. However, the hotly debated financialisation of commodity markets is not found to be volatility increasing in our monthly data. Impulse response functions show strong spillover effects. Because many volatility drivers found to be important in other markets have no significant effect in our study, our results suggest that volatility drivers are market specific. This implies that any volatility‐reducing policies need to be designed for the market in question. 相似文献
77.
Prof. Dr. Olaf Hoffjann 《Publizistik》2011,56(1):65-84
When PR research addresses trust, the perspective that PR provides trust in organizations dominates in most cases. For PR to successfully providing trust, trust in PR seems to be a central condition. This applies to its relations to journalism as well as to its relations to other organisational environments. Since the motives behind PR as strategic communication usually arouse suspicion, trust in PR tends to be improbable. Trust in PR has been an unobserved subject in PR research so far. Thus, this paper will develop, on a systems-theoretic and non-dualistic approach, a theoretic understanding of trust in PR. After discussing the present state of research regarding the subject of trust and PR, the paper will briefly introduce the theoretic basis of PR and trust, in order to develop in the following a new theoretic perspective for trust in PR. In this context, internal and external trust in PR will have to be differentiated. 相似文献
78.
Rafal Balina Olaf Kowalski Jerzy Rozynski 《中国经济评论(英文版)》2014,(3):154-161
Today cooperative banks belong to the most significant financial institution in the world. Moreover, they can compete with commercial banks. The own funds of the cooperative bank are important in their activity. The main goal of this paper is to investigate how much the level of the own funds of the Polish cooperative banks influenced their efficiency. The research pertained to operating cooperative banks in Poland. The following measures of the efficiency were used in the research: return on Equity (ROE), net profit, index C/I, and financial margin. The results of the study indicate that banks from the Quartile III (highest aggregate own funds), had the highest net profits, the highest ROE, the lowest C/I value, the lowest ROE, and the lowest financial markups. On this basis, it remains to be recommended that banks of highest aggregate own funds continue expansion of own funds which will increase lending capacity and subsequently contribute to higher effectiveness. 相似文献
79.
In recent years, Germany has experienced an increasing impact of craft unions that negotiate high wage increases for the occupations they represent. This article analyses under which conditions workers perceive such over-proportional wage increases for occupational groups represented by craft unions as (rather) fair. We use a vignette approach, asking respondents for their fairness perceptions of several hypothetical scenarios. The results show that perceptions depend on the burdens of the occupational group, the size of the wage increase, information policies and potential consequences for other groups. These findings are in line with social and organizational justice theories about equity and informational justice. 相似文献
80.
Olaf Helmer 《Futures》1981,13(5):389-400
Five problems in cross-impact methodology are discussed, solutions are proposed, and a simple illustrative case is provided. The problems are lack of commutativity, probabilistic imbalances, double counting of impacts, linearity, and two-dimensionality. 相似文献