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71.
72.
Ten countries—most completing their transition from socialist-based economies to market economies—are slated to join the European Union (EU) in 2004 and four additional countries are expected to become members at some future dates. Despite the relatively small economic size of the accession countries, this type of deep integration can have non-negligible effects on countries outside of the preferential zone as the reduction in barriers across partners leads to a re-orientation of trade. In this paper, we evaluate the extent of trade adjustments and the economic impacts it will have on the East Asian economies using a dynamic computable general equilibrium (CGE) model. The overall macroeconomic effects on East Asia are small. There is some trade diversion, but there may be an opportunity to increase market penetration in some sectors of the expanding EU for which East Asia has a marked comparative advantage. The paper also assesses the relative importance of linking trade openness to productivity and lowering trade costs between the accession countries and the EU-15. 相似文献
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74.
INCOME INEQUALITY AND POVERTY: SOME PROBLEMS 总被引:1,自引:0,他引:1
In an important recent book dealing with the measurement of income inequality with particular reference to poverty,1 Prof. N. Kakwani derives several poverty indices, investigates the effect of negative income tax schemes with the help of those indices and gives a numerical illustration based on Malaysian data.
The aim of this note is to point out some logical flaws in his argument. Some of the ideas expressed in the part of his book we are concerned with have been disseminated for some time now2 and referred to in subsequent literature;3 yet their shortcomings do not seem to have attracted anyone's attention. The introductory section gives a concise presentation of the relevant part of Kakwani's contribution. The next two sections deal with some problems with his approach. 相似文献
The aim of this note is to point out some logical flaws in his argument. Some of the ideas expressed in the part of his book we are concerned with have been disseminated for some time now
75.
Michael Segalla Dominique Rouzis Madeleine Besson Barton A. Weitz 《International Journal of Research in Marketing》2006,23(4):419-433
Why do managers choose one sales compensation form rather than another? Theoretical answers typically focus on the type of plans managers should design, not on the factors that managers actually consider. Managers from various national origins pursue and weigh objectives through experience in a way that theoretical models may not capture. Incorporating conceptualizations from a wide range of disciplines, we specify a model examining the influence of cultural factors on sales compensation decisions of managers (incentive vs. fixed pay and parity vs. equity allocation). The model, tested with data collected from bank managers across six European countries, illustrates the importance of considering national culture when designing sales force compensation policies applied across multiple countries. We also find evidence that most European bank managers accept incentive pay to motivate salespeople but, perhaps paradoxically, overwhelmingly reject equity allocations to achieve control and parity. We discuss the implications of our findings for research on international governance systems and the diffusion of sales force management practices. 相似文献
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77.
Building on the model of Meyer [(2007). Pro-Poor tourism: from leakages to linkages. A conceptual framework for creating linkages between the accommodation sector and ‘poor’ neighbouring communities. Current Issues in Tourism 10(6), 558–83], this paper focuses on the regional development potential of local linkages with the supply chain and community partnerships of established tourism businesses in western Uganda. Results show that supply-related inconsistencies of local produce undermine the existence of supply chain linkages with local farmers, and favour business linkages with local intermediary suppliers, dominantly shaping the regional development potential of supply chain linkages in western Uganda. Yet, this research found several ‘windows of opportunity’ for local suppliers to connect to the tourism value chain. Results on community partnerships suggest that most businesses do not move beyond the absolute minimum partnership intensity that is required to be able to strategically use for marketing purposes and obtain a unique selling proposition. Finally, our research exposes the complexity of locating responsibility among different stakeholders of the value chain in suggested paths for (regional) development. 相似文献
78.
We consider estimation of the mean vector, $\theta $ , of a spherically symmetric distribution with known scale parameter under quadratic loss and when a residual vector is available. We show minimaxity of generalized Bayes estimators corresponding to superharmonic priors with a non decreasing Laplacian of the form $\pi (\Vert \theta \Vert ^{2})$ , under certain conditions on the generating function $f(\cdot )$ of the sampling distributions. The class of sampling distributions includes certain variance mixtures of normals. 相似文献
79.
Benjamin Bental Bruno Deffains Dominique Demougin 《Journal of Economics & Management Strategy》2012,21(1):31-52
We analyze an environment plagued by double moral hazard where the agent’s effort level and the principal’s precision in monitoring are not contractible. In such an environment, the principal tends to over‐monitor thereby inducing low effort. To ease the latter problem, the principal may choose to increase monitoring costs by outsourcing the activity. As a result equilibrium monitoring is reduced and incentives become more powerful. This choice is particularly likely when the worker’s effort is an important factor in determining output. 相似文献
80.
This paper introduces non-parametric estimators for upper and lower tail dependence whose confidence intervals are obtained with a bootstrap method. We call these estimators ‘naïve estimators’ as they represent a discretization of Joe's formulae linking copulas to tail dependence. We apply the methodology to an empirical data set composed of three composite indexes for the three Tigers (Thailand, Malaysia and Indonesia). The extremes show a dependence structure which is symmetric for the Thai and Malaysian markets and asymmetric for the Thai and Indonesian markets and for the Malaysian and the Indonesian markets. Using these results we estimate the copula (which belongs to the Student or Archimedean copula families) for each pair of markets by two methods. Finally, we provide risk measurements using the best copula associated with each pair of markets. 相似文献