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61.
62.
Grossman and Helpman highlighted a political framework to internalize inefficiency incurred due to unilateral trade policy implementation by sovereign countries. This paper extensively adopts their framework to explore the effects of special interest politics on governments under negotiation to forge international environmental standards to control global emission. Particular attention is given to a case in which negotiation is driven by transferring the abatement technology. Within a specific factor model of international trade, improving the abatement efficiency through technology transfer can give the most mutually beneficial outcome, achieving the lowest level of global pollution compared to other political benchmarks. 相似文献
63.
This paper develops a model of international trade between a labor-managed economy and a capitalist economy and examines the short- and long-run optimal specific tariff in the presence of foreign imperfect competition among labor-managed firms. It will be shown that the underlying conditions for the optimal tariff rule are different from conventional wisdom. 相似文献
64.
Jae-Kwang Hwang 《International Advances in Economic Research》2002,8(3):188-195
This paper shows that there exists a long-run equilibrium relationship between M2 and its determinants, real income and the
long-term interest rate, in Korea by using Johansen and Juselius maximum likelihood cointegration method. However, M1 does
not have any meaningful cointegration relationships with its determinants. The long-term interest rate is a better proxy than
the short-term rate to measure the opportunity cost of holding money. Based on the results, a broad definition of money is
a better measure than a narrow definition of money in considering the long-run economic impacts of changes in monetary policy
in Korea. 相似文献
65.
This study analyzes environmental regulations and trade performance in manufacturing sectors under static and dynamic conditions. We investigate environmental innovation induced by environmental regulations and the spillover effect on manufacturing sectors, determine whether the spillover effect offsets any negative effect found under static conditions and analyze environmental regulations on the import side. For this, we formulate a trade model that incorporates the environmental innovation equation. We analyze environmental tax, energy tax and the Emissions Trading System (ETS) using strong, balanced panel data from 19 OECD countries for 1996–2009. The results reveal that the static effect of energy tax on exports is negative, but the dynamic effect is positive; however, the positive effect does not offset the negative effect. In short, environmental tax and energy tax decrease the international competitiveness of the manufacturing sectors. Environmental tax and energy tax limit imports, especially in the high‐energy consumption group. The analyses of the ETS further complicate the overall picture. It shows that the further research on the effects of ETS on manufacturing firms' competitiveness over their foreign competitors in the global is required. Copyright © 2017 John Wiley & Sons, Ltd and ERP Environment 相似文献
66.
Abstract. This paper develops a generalized three-country model with downstream and upstream industries to analyze optimal import and export trade policies in the presence of monopoly distortion in a foreign intermediate input market. It shows that the import tariff and export tax are linearly dependent. Thus, the optimal choice of the tariff gives rise to the same results as the optimal choice of the export tax, which implies that the domestic government, to avoid tariff retaliation, can use export tax as a substitute for the import tariff. 相似文献
67.
Jinsoo Hwang 《Journal of Travel & Tourism Marketing》2018,35(9):1246-1260
ABSTRACTThe purpose of this study is to verify the importance of communication styles in the casino industry. More specifically, it was proposed that nine types of casino dealer communication styles affect player satisfaction. In addition, it was hypothesized that player satisfaction plays an important role in the formation of trust, commitment, and loyalty. A conceptual model was developed and tested using the empirical data collected from 414 table game players in Korea. The results indicated that six dimensions of communication styles (i.e. attentive, open, friendly, relaxed, animated, and contentious) positively affect player satisfaction, which in turn has a positive influence on trust, commitment, and loyalty. 相似文献
68.
We investigate the dynamics of the value anomaly in order to identify the driving forces of the anomaly. We show that the large positive value-minus-growth portfolio returns are explained by an over-reaction (under-reaction) to the positive (negative) market movements in short, specific time periods, during which the average returns of value-minus-growth portfolios are more than 2% a month. We propose an explanation based on behavioral biases: the dynamics of the value anomaly reflect the increased speed of return reversals subsequent to overreaction. Two conditions that increase the return reversals are proposed: when investors respond to public signals asymmetrically or when public signals become noisy. Our empirical results reveal that the value anomaly is explained by either one of these two channels. 相似文献
69.
Much of the previous literature on ubiquitous computing (UbiComp) has been limited to case studies, reporting innovative practices
of specific technologies (e.g., RFID) and social issues. There is a general paucity of research on strategic application of
UbiComp, especially to small businesses. To address this issue, this study provides a broad overview of the current practices
of UbiComp in leading countries and presents possible future directions. Then, the effects of UbiComp on small businesses
are discussed. Through a cross-national comparative analysis, we present four strategies to provide some guidance to the countries
that are currently considering entering into the UbiComp race. 相似文献
70.
Jae-Kwang Hwang 《Atlantic Economic Journal》2003,31(1):103-114
The Dornbusch-Frankel monetary model is used to estimate the out-of-sample forecasting performance for the U.S. or Canadian dollar exchange rate. By using Johansen's multivariate cointegration, up to three cointegrating vectors were found between the exchange rate and macroeconomic fundamentals. This means that there is a long-run relationship between exchange rate and economic fundamentals. Based on error-correction models, the random-walk model outperforms the Dornbusch-Frankel model at every forecasting horizon. The random-walk model also dominates the Dornbusch-Frankel model with the modified money demand function at every forecasting horizon except one month. However, this paper shows that the share price variable can improve the accuracy of forecasts of exchange rates at short-run horizons. 相似文献