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排序方式: 共有123条查询结果,搜索用时 31 毫秒
11.
A. K. M. Shamsul Alam 《Journal of Economics and Finance》1992,16(3):1-20
In this paper the author identifies and examines the estimation and specification error biases of the Black-Scholes and Cox-Ross
models by using both analytical and monte-carlo simulation techniques. Several hypotheses are tested. The central hypothesis
is whether or not the estimation error bias in the correctly specified model is large enough to make researchers mistakenly
pick the “wrong” model as being the “correct” one. The findings in this study support this hypothesis. It is shown that there
is a bias toward accepting the Cox-Ross model as correct, even if the Black-Scholes is assumed to be the true model for pricing
options. 相似文献
12.
M.Shahid Alam 《Journal of development economics》1983,13(3):361-366
This note draws attention to some characteristics of resource-based industries, not mentioned in Roemer's (1979) recent survey on resource-based industrialization, which suggest that efficiency in these industries may be higher than in other LDC industries. Some empirical support is also provided. 相似文献
13.
M. Shahid Alam 《Economics Letters》1981,8(2):177-180
Using the standard trade model, it is shown that growth under quotas always improves welfare. This result is contrary to Johnson's (1967) result on the possibilities of immeserizing growth in the presence of tariffs. 相似文献
14.
Choudhury Kaul Sanjukta Alam Quamrul Sandhu Manjit Singh 《Journal of Business Ethics》2022,177(4):861-873
Journal of Business Ethics - In developed economies, powerful legislative and regulatory frameworks, for people with disability (PWD) over the last five decades, have provided major motivation for... 相似文献
15.
The Market Performance of Socially Responsible Investment during Periods of the Economic Cycle – Illustrated Using the Case of FTSE
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Junjie Wu George Lodorfos Aftab Dean Georgios Gioulmpaxiotis 《Managerial and Decision Economics》2017,38(2):238-251
The debate about socially responsible investment (SRI) portfolio performance compared with its non‐SRI counterparts remains inconclusive. This paper contributes to the debate by adding a new approach, examining the issue of a full economic circle through economic boom, recession and recovery. We compare stock performance of two value‐weighted investment portfolios: FTSE4Good (SRI portfolios) and FTSE 350 (conventional portfolios) from 2004 to 2011 including 2007 to 2009 financial crash. The results indicate the SRI portfolio performed better and recovered its value quicker in post‐crisis than the non‐SRI portfolio, indicating that SRI portfolios are more resilient to economic turmoil and market shocks. Copyright © 2015 John Wiley & Sons, Ltd. 相似文献
16.
Financial inclusion is emerging as a new paradigm of economic growth that plays major role in driving away the poverty from the country. It refers to delivery of banking services to masses including privileged and disadvantaged people at an affordable terms and conditions. Financial inclusion is important priority of the country in terms of economic growth and advanceness of society. It enables to reduce the gap between rich and poor population. In the current scenario financial institutions are the robust pillars of progress, economic growth and development of the economy. The present study aims to examine the impact of financial inclusion on growth of the economy over a period of seven years. Secondary data is used which has been analyzed by multiple regression model as a main statistical tool. Results of the study found positive and significant impact of number of bank branch and Credit deposit ratio on GDP of the country, whereas an insignificant impact has been observed in case of ATMs growth on Indian GDP. 相似文献
17.
Apparel exports make a significant contribution to economic growth in major apparel exporting economies such as Bangladesh, Sri Lanka and Vietnam. This study aims to investigate the causal relationship between apparel export growth and its determinants such as GDP growth, infrastructure, financial development, foreign direct investment (FDI) and labour productivity using panel data from 11 major apparel exporting countries for the period 1996 to 2013. The results confirm a long-run equilibrium association among the variables and reveal that GDP growth, infrastructure, financial development, FDI, and labour productivity have a significant positive influence on apparel export growth. Furthermore, the heterogeneous panel non-causality test results suggest that GDP growth, infrastructure and labour productivity contribute to apparel export growth in the short-run. These findings have several policy implications for the governments of the countries under study. 相似文献
18.
Some aspects of ethics and accounting education are explored in this research. Research findings suggest that there is strong support for the inclusion of ethics in business and accounting curricula. The majority of respondents who responded to the ethics coverage question think that ethics should be integrated with all accounting courses. Moreover, the respondents are of the opinion that there are four main objectives of accounting education. These are: broad-based education, development of balanced skills, development of moral values and practical-biased programmes. The respondents also suggested different ways of implementing these objectives. The study further reveals that in ethics teaching, real examples and case studies should be used. 相似文献
19.
Muhammad Shahbaz Syed Jawad Hussain Shahzad Shaista Alam Nicholas Apergis 《The journal of international trade & economic development》2018,27(8):985-1009
This paper examines the asymmetric impact of globalisation and economic growth on energy consumption in BRICS countries, applying the NARDL bounds approach to explore the presence of asymmetric cointegration across variables. The empirical results reveal that energy consumption is positively and negatively affected by the positive and negative globalisation shocks, respectively. A positive shock in economic growth promotes energy consumption, while a negative shock reduces energy consumption. 相似文献
20.
Asymmetric Effects of Exchange Rate Changes and the J‐curve: New Evidence from 61 Malaysia–Thailand Industries
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Research on the impact of currency depreciation on the trade balance is now moving in a new direction by incorporating nonlinear dynamic adjustment of the exchange rate and by using a nonlinear approach to error‐correction modeling and cointegration. Using these advances, researchers find not only more evidence of the J‐curve effect, but also new evidence of asymmetric effects of exchange rate changes on the trade balance. We contribute to this line of research by using monthly trade flow data from 61 two‐digit industries that trade between Malaysia and Thailand, and show that not only does currency depreciation have favorable effects on the trade balance of more industries, but the long‐run effects are asymmetric in 26 out of 61 cases. In line with current literature, our nonlinear model performs much better than the linear model when industry level data are used. 相似文献