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151.
J. van Daal 《Statistica Neerlandica》1971,25(2):117-128
R. von M ises publiceerde zijn frequentistische opbouw van de waarschijnlijkheidsleer voor het eerst in 1919. De daarbij naar voren gebrachte inzichten verschilden zeer van de in die tijd algemeen geaccepteerde ideeén omtrent de grondslagen van de waarschijnlijkheidsleer. Onder invloed van (zowel opbouwende als abrekende) kritieken, alsmede door eigen gewijzigde inzichten, evolueerde zijn theorie zich, via diverse publikaties, tot die, weke wij aantreffen in zijn in 1964 posthuum verschenen, laatste werk.
In dit artikel wordt nader ingegaan op de theorie van V on M ises , zoals die in het zojuist genoemde werk behandeld wordt. Hiertoe is het soms nodig in te gaan op vroegere publikaties van zijn hand.
In vele boeken en artikelen (zie bijv. C ramer (1966) p. 150 en H emelrijk (1968) p. 13) worden enige zinnen gewijd aan het feit, dat V on M ises zich met de grondslagen van de waarschijnlijkheidsleer heeft bezig gehouden. Bijna nooit krijgt men echter te lezen, wat hij precies gezegd heeft. 相似文献
In dit artikel wordt nader ingegaan op de theorie van V on M ises , zoals die in het zojuist genoemde werk behandeld wordt. Hiertoe is het soms nodig in te gaan op vroegere publikaties van zijn hand.
In vele boeken en artikelen (zie bijv. C ramer (1966) p. 150 en H emelrijk (1968) p. 13) worden enige zinnen gewijd aan het feit, dat V on M ises zich met de grondslagen van de waarschijnlijkheidsleer heeft bezig gehouden. Bijna nooit krijgt men echter te lezen, wat hij precies gezegd heeft. 相似文献
152.
Johannes van Lierop 《Journal of urban economics》1982,11(3):272-289
After the accumulation of empirical research on house price structure that has taken place over the last decade, a theoretical framework to explain observed differences in house price structure across markets is not yet well developed. To explain house price structure a model of market equilibrium has to be formulated that allows the derivation of comparative statics results. This paper presents such an analysis in the context of momentary equilibrium, with continuous spectrums of household types and housing types. 相似文献
153.
154.
In the 1980s, the Chinese regime took a number of piecemeal steps toward economic liberalization. This process accelerated
impressively in the 1990s. This paper reports an empirical study into the determinants of the emerging pattern of Chinese
trade (export and import) intensities in the liberalization decade by exploring international trade statistics for 1993 and
1999. Four models are estimated that explain the shifts in the export and import intensities of the trade with different trade
partners in the 1993–1999 period. The estimation results reveal differences for export vis-à-vis import trade intentities,
as well as for 1993 compared to 1999. For example, the political determinants of trade intensities that were still very important
in 1993 have been moved to the background by economic explanations in 1999. JEL no. F14 相似文献
155.
Productivity, innovation and ICT in Old and New Europe 总被引:1,自引:1,他引:0
This paper investigates the productivity performance of CEE countries vis-à-vis the EU-15 during the 1990s to detect sources of convergence between the two regions. The paper shows that changes in labour intensity have been an important source of productivity convergence during the 1990s, and are likely to remain so in the near future. It is also found that despite lower income levels, ICT capital in the CEE-10 has contributed as much to labour productivity growth as in the EU-15. Industry analysis shows that manufacturing industries that have invested heavily in ICT have been key to the restructuring process. As such ICT may therefore have been an important source of growth but probably temporary source of convergence. In the longer run the impact of ICT on growth will have to come primarily from its productive use in services. The paper therefore includes a New Economy Indicator that reflects the existence of conducive environment for continued ICT investment and diffusion. It shows that further reforms are much needed for CEE countries to enter a second convergence phase in the coming decades.This paper is written as part of a project on Information & Communication Technologies as Drivers of Economic Development in Post-Communist Countries sponsored by USAid (Grant No. 220/001.6). The industry data for the EU-15 (section 4) are updated estimates derived from a study sponsored by DG Enterprise of the European Union (OMahony and van Ark 2003). We are grateful to Robert Inklaar and Edwin Stuivenwold for statistical assistance, and to various commentators on this paper at seminars and workshops. We benefited in particular from comments by Bart Los and Marcel Timmer. The authors are solely responsible for the results presented and any remaining omissions. 相似文献
156.
Trust and economic growth: a robustness analysis 总被引:8,自引:0,他引:8
Beugelsdijk Sjoerd; de Groot Henri L.F.; van Schaik Anton B.T.M. 《Oxford economic papers》2004,56(1):118-134
This paper analyses the robustness of results on the relationshipbetween growth and trust previously derived by Knack and Keefer(1997) and Zak and Knack (2001) along several dimensions, acknowledgingthe complexity of the concept of robustness. Our results showthat the Knack and Keefer results are only limitedly robust,whereas the results found by Zak and Knack are highly robustin terms of significance of the estimated coefficients and reasonablyrobust in terms of the estimated effect size. The improvementin robustness is caused by the inclusion of countries with relativelylow scores on trust (most notably, the Philippines and Peru).Overall, our results point at a relatively important role fortrust. However, the answer to the question how large this payoffactually is depends on the set of conditioning variables controlledfor in the regression analysis andto an even larger extentonthe underlying sample. 相似文献
157.
Educational mismatches versus skill mismatches: effects on wages, job satisfaction, and on-the-job search 总被引:9,自引:0,他引:9
Education-job mismatches are reported to have serious effectson wages and other labour market outcomes. Such results areoften cited in support of assignment theory, but can also beexplained by institutional and human capital models. To testthe assignment explanation, we examine the relation betweeneducational mismatches and skill mismatches. In line with earlierresearch, educational mismatches affect wages strongly. Contraryto the assumptions of assignment theory, this effect is notexplained by skill mismatches. Conversely, skill mismatchesare much better predictors of job satisfaction and on-the-jobsearch than are educational mismatches. 相似文献
158.
Paul van den Noord 《Economic Bulletin》2003,40(8):291-298
Original Papers
Public Finance in the Euro Zone—In a Difficult Situation 相似文献159.
Andries F. Hof Michel G. J. den Elzen Detlef P. van Vuuren 《Environmental and Resource Economics》2003,24(4):412-412
Authors Index
Author Index Volume 24 2003 相似文献160.
Dividend timing and behavior in laboratory asset markets 总被引:1,自引:0,他引:1
Summary. This paper investigates the effect of dividend timing on price bubbles and endogenous expectations in twenty-six laboratory asset markets. In ten "A1" markets, a single dividend is paid at the end of the trading horizon. In nine "A2" markets, dividends are paid at the end of each trading period. In seven "A3" markets, some of the dividends are paid at the end of the trading horizon, and the rest are paid on a per-period basis. The results indicate that price bubbles are most likely in A2 markets, less likely in A3 markets, and least likely in A1 markets. Six distinct hypotheses are considered. The data suggest that the concentration of dividend value at a single point in time helps to create common expectations, and thus significantly reduce the incidence of bubbles. Also, the results underscore the difficulty facing econometric tests on field data where fundamental value has to be approximated. 相似文献