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681.
The article quantifies the spillover effects of the United States’ (US) uncertainty shocks on emerging economies, using a panel VAR model. We find that the US uncertainty shocks are the risks, and hence drop the capital inflow, investment, consumption, export and output of emerging economies. This also induces a depreciation of emerging market currencies. As a result, our model predicts a fall in short-term interest rate of emerging economies to react against the US uncertainty shocks. Our findings partly help explain the slow recovery of the world economy after the 2008–2009 global financial crisis.  相似文献   
682.
要确保银行体系的稳定性,仅仅关注任何一家银行的安全和稳健是远远不够的,很有必要考虑到银行间的关联效应所产生的溢出风险,即TCTF风险。网络传导分析法能够使监管部门通过跟踪直接金融关联导致的几轮外溢效应,分析银行体系资本受损情况,确定银行业系统性风险和脆弱性银行。通过对17家主要商业银行5年的信用冲击传导研究,发现尽管银行业经营稳健,但TCTF风险及脆弱性处于高位,银行关联的流动性需求旺盛,需要特别关注银行业流动性风险。  相似文献   
683.
Research on consumer animosity indicates that consumers reject products because they hold hostile attitudes towards the products’ country of origin. As companies operating in foreign markets are facing serious challenges, marketing research has focused on the mechanisms by which animosity influences consumer perception and behavior. The present article reviews 44 relevant empirical studies to illustrate antecedents, moderators, and behavioral consequences of the animosity effect. The analysis reveals a lack of a sound theoretical foundation and it shows that prior studies disregard social influences. To overcome this gap, the present article develops a theory-driven model which suggests that the social animosity context interacts with feelings of animosity at an individual level. Based on this new approach, directions for future research and managerial implication are discussed.  相似文献   
684.
罗迈  张路 《中国房地产》2014,(10):41-47
土地资源的集约利用是中国未来经济社会发展的必然选择,提高土地资源集约利用效率的基础性工作是土地资源集约利用效率评价。随着湖北省经济社会的快速发展,其用地矛盾日益凸显。通过构建PSR模型,选取湖北省1996-2011年数据,对湖北省土地资源的集约利用效率进行评价。结果表明:湖北省近十年土地利用集约度虽保持上升趋势,但集约利用程度总体偏低,而且集约变化波动也较大;集约度省域分异和行政区域分异都比较严重;全省用地结构合理性较差。最后从行政制度管理、市场机制完善、土地政策优化、产业结构调整四方面提出应对措施。  相似文献   
685.
We investigate the role of corporate currency risk management through the use of financial derivatives in influencing the long‐run performance of a sample of Australian resources companies. We find that derivative users generally outperformed nonderivative users in the 5‐year period following listing. Effective derivative users consistently outperformed the nonhedgers. Furthermore, within the population of derivative users, effective derivative users tended to perform better than ineffective hedgers. Our results indicate that effective financial risk management plays a role in long‐run IPO performance.  相似文献   
686.
In this study, we revisit the link between R2 (synchronicity) and earnings management (opacity) because of the importance of the ongoing debate on the relation between idiosyncratic risk and earnings management in the finance and accounting literatures. Hutton et al. (J. Financial Economics, 2009) provide evidence of a positive link between opacity and R2. They interpret their finding to imply that firms with high R2 (high synchronicity) have less firm-specific information impounded in their stock price. Our results for this relationship fail to unequivocally support the results reported in Hutton et al. (2009). We show that their results are not only time variant but also not robust to the alternative empirical technique recommended for panel data by Petersen (2009) and alternative estimation of discretionary accruals adjusted for firm performance prescribed by Kothari et al. (2005). We also find no support for a convex relation between idiosyncratic risk and opacity. The findings documented in this study substantially revise some of Hutton et al.'s findings in this important and growing area of research.  相似文献   
687.
With respect to the idea of multifunctional agriculture, one way to raise farmers' environmental stewardship is to reward environmental practices through food quality labelling schemes. The objective of our study was to identify existing relationships between the production of quality food and the production of environmental goods at farm level. In this article, we report the results of analyses conducted to examine the effects of major ‘quality’ and ‘eco-labelling’ schemes in the Midi-Pyrenees region of the south of France. Factor analysis and analysis of variance were used with a data set of 107 farms—some participating in the labelling schemes and some not participating—for which environmental scores had been assigned. The statistical analyses were complemented by a qualitative analysis based on in-depth interviews of 85 farmers and review of the labelling standard guidelines. This study shows that organic farms and farms enrolled in various quality and eco-labelling programmes in France do provide some environmental benefits. However, they do not necessarily perform better than other farms on all environmental measures.  相似文献   
688.
Two alternatives to  and  Fourier unit root testing strategy, which incorporates pretesting for nonlinearity, are considered. One is based on the union of rejection (UR) approach, and the other is a hybrid strategy that combines the UR approach with the use of extra information from nonlinearity pretesting. Simulation results show that the two proposed strategies, especially the hybrid, frequently outperform the original pretesting strategy.  相似文献   
689.
Using monthly data, we perform a vector-autoregressive analysis to measure the effects of monetary policy on the Vietnamese economy. We concentrate our attention on the period following the introduction of the Law on Central Bank in January 1998 (which brought the national monetary policy and its objectives in line with international practices). Contrary to previous studies on Vietnam, we find evidence suggesting that monetary policy (through the manipulation of interest rates) is an effective policy tool in stabilizing prices. However, credit growth tends to induce inflationary pressures. In addition, we find that an expansion of broad money supply leads to an increase in industrial production.  相似文献   
690.
The positive effects of market orientation (MO) on firm performance are empirically supported much more strongly by studies conducted in developed than in emerging markets. One commonly cited reason for this differential effect is that MO is affected by the cultural, economic and institutional characteristics of the economies in which it is applied. This study aims to determine whether or not MO is relevant in an Asian emerging market such as Vietnam and if so, how a firm in such countries can become more market oriented. Based on a survey of 300 firms and using structural equation modeling, the present study finds that MO has a significant effect on firm performance and that its adoption is driven by both internal organizational and external market forces. The study identifies these specific internal and external forces, including those that are unique to the emerging economies in Asia.  相似文献   
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