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991.
DEBORAH L. SWENSON 《Contemporary economic policy》2005,23(3):394-403
This article examines the input choices for producers who assemble their goods abroad and imported them to the United States through the U.S. Overseas Assembly Provisions. Three findings emerge. First, firms reduce their use of foreign parts and assembly when foreign costs rise, but only with a lag. In contrast, recent foreign cost increases boost the foreign portion of final product value. Second, the effects of cost changes are more pronounced for U.S. outsourcing imports from developing countries. Finally, the degree of production responsiveness differs with industry capital intensity and is the greatest for low-capital intensity projects performed in non-Organization for Economic Cooperation and Development (OECD) locations. 相似文献
992.
In Capital in the Twenty-First Century, Thomas Piketty (2014) explains growing income inequality via the difference between the rate of return on capital and the growth rate of the economy: the “r > g” inequality. Even if it is true that r > g leads to increasing inequality, nearly every school of economic thought predicts that r will fall as the economy grows. Thus, for Capital (2014) to be a comprehensive theory of inequality, a more adequate theory of r is required. I term this the “Piketty Problem.” I offer a solution to this problem from an institutionalist perspective. 相似文献
993.
Ferdinand A. Gul Judy S. L. Tsui Steve C. C. Fong Helen Y. L. Kwok 《Accounting & Business Research》2013,43(98):107-113
This study tests the contingency or ‘fit’ hypothesis that the effects of budgetary participation on managerial performance will be positive in decentralised organisations and negative in centralised organisations. The responses of 37 managers from a cross-section of Hong Kong manufacturing companies to a questionnaire survey designed to measure the variables were analysed by examining the interaction term in a multiple regression equation. The results supported the interaction hypothesis and found that at high levels of decentralisation there is a positive relationship between budgetary participation and managerial performance but at low levels of decentralisation this relationship is negative. These findings have implications for the design of effective control subsystems. 相似文献
994.
William G. Johnson Richard J. Butler Marjorie L. Baldwin Pierre Côté 《Risk Management & Insurance Review》2012,15(1):35-55
We analyze the outcomes of occupational back pain among four large employers that use one or more of the following disability management practices: aggressive return to work, claims management, medical management, or time‐limited job accommodations. Outcomes measured at 6 and 12 months postonset include: duration of initial work absence and the probability of returning to stable employment. Employment outcomes are better in firms with more proactive return‐to‐work policies than in firms with more restrictive policies. We devise a statistical test for attrition bias and conclude that sample attrition does not significantly alter our results. 相似文献
995.
Jackie M. L. Chan 《Pacific Economic Review》2014,19(4):439-465
A flood of emigration from Hong Kong to Canada was observed prior to the handover from Britain back to China in 1997. I pool Canadian Census data from 1991 to 2006 to study the labour market assimilation of Hong Kong immigrants. The findings suggest that these immigrants faced a significant negative wage gap upon entry in comparison with Canadian‐born individuals, and this was larger for cohorts arriving closer to 1997, suggesting a decline in cohort quality. The results also indicate that earnings convergence with the Canadian‐born was slow for the majority of these immigrants. 相似文献
996.
Chun-Yao Tseng Author Vitae 《Technological Forecasting and Social Change》2009,76(5):654-663
South Korea, Taiwan, Singapore, Hong Kong, China and India have become much larger force in the world economy. Due to the enormous contribution of the use of information and communication technologies (ICT) in economic growth, this study investigates four main issues related to technological innovation and knowledge network in ICT among six countries. First, indicators of technological innovation were evaluated and used to compare capability of technological innovation in ICT between the six countries. Secondly, differences in innovation configurations among six countries were manifested. Thirdly, relative innovation strengths of these six countries were examined in five sub-technological fields. Finally, this study consists of analyzing the interactions into knowledge network among them; moreover, this study manifests the difference of knowledge network in five sub-technological field of ICT. The empirical findings of this study, based on analysis of a patent and citation dataset comprised of all patents granted by the U.S. Patents and Trademark Office (USPTO) to assignees in six countries from 1976 to 2006, are helpful to understand the comparative development of technological innovation of ICT in six countries. 相似文献
997.
This article was prepared by Dr L. V. Defris and J. S. McDonnell of the Institute research staff. The authors wish to thank Professor R. F. Henderson and Dr P. J. Sheehan for their helpful comments. 相似文献
998.
We develop a new model of multimarket trading to explain the differences in the foreign share of trading volume of internationally cross‐listed stocks. The model predicts that the trading volume of a cross‐listed stock is proportionally higher on the exchange in which the cross‐listed asset returns have greater correlation with returns of other assets traded on that market. We find robust empirical support for this prediction using stock return and volume data on 251 non‐U.S. stocks cross‐listed on major U.S. exchanges. 相似文献
999.
This paper develops an equilibrium model in which informational asymmetries about the qualities of products offered for sale are resolved through a mechanism which combines the signalling and costly screening approaches. The model is developed in the context of a capital market setting in which bondholders produce costly information about a firm's a priori imperfectly known earnings distribution and use this information in specifying a bond valuation schedule to the firm. Given this schedule, the firm's optimal choices of debt-equity ratio and debt maturity structure subsequently signal to prospective shareholders the relevant parameters of the firm's earnings distribution. 相似文献
1000.