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911.
文章旨在探讨旅游企业如何通过价值工程方法提高旅游产品的价值,进而提高其经济效益和社会效益。通过结合现有观光型旅游产品的现状,分析了观光型旅游产品设计中存在的问题,通过功能分析和成本分析,结合价值工程基本公式给出了提升旅游产品价值的途径,并针对交通和住宿问题提出了相应的改进建议。  相似文献   
912.
陈凌  常淑丽 《价值工程》2012,31(16):258-259
科学的构建高职高专商务英语专业实践教学体系,对于加强学生职业能力和创新能力的培养,具有重要的意义。实践教学体系的建设应该结合专业特点、准确把握人才培养定位,不断优化和完善实践教学规范。本文认为,实践教学体系构建要符合高职教育的培养目标,以就业导向为基础,以职业技能为核心,以实习基地建设为保障。  相似文献   
913.
林嫦  韦永诚  梁华腾 《价值工程》2012,31(22):15-18
概述"两广"科技合作发展现状、科技差异、各自优势及科技合作机制构建的现实意义,基于优势互补与双赢,提出构建"两广"科技合作机制及配套措施。  相似文献   
914.
A destination brand comprises brand elements that lead tourists to form a brand impression of a destination. Based on a literature review, this study contributes to a model for exploring tourist destination brand contact experiences. The results from applying Kano's model and the importance–satisfaction model to a specific hot spring destination indicate that four types of contact elements can be identified as having different quality attributes. The contact elements related to staff's service efficiency, attitude and willingness of serving customers are identified as the critical brand contact elements for the tourist destination. Copyright © 2011 John Wiley & Sons, Ltd.  相似文献   
915.
Abstract

In this study the Taiwan Insurance Guaranty Fund (TIGF) is introduced to investigate the ex ante assessment insurance guaranty scheme. We study the bankruptcy cost when a financially troubled life insurer is taken over by TIGF. The pricing formula of the fair premium of TIGF incorporating the regulatory forbearance is derived. The embedded Parisian option due to regulatory forbearance on fair premiums is investigated. The numerical results show that leverage ratio, asset volatility, grace period, and intervention criterion influence the default costs. Asset volatility has a significant effect on the default option, while leverage ratio is shown to aggravate the negative influence from the volatility of risky asset. Furthermore, the numerical analysis concludes that the premium for the insurance guaranty fund is risk sensitive and that a risk-based premium scheme could be implemented, hence, to ease the moral hazard.  相似文献   
916.
This article employs second-generation random coefficient (RC) modeling to investigate the time-varying behavior and the predictability of the money demand function in Taiwan over the period from 1982Q1 to 2006Q4. The RC procedure deals with some of the limitations of previous studies, such as unknown functional forms, omitted variables, measurement errors, additive error terms, and the correlations between explanatory variables and their coefficients. Our main findings are as follows. First, the empirical results indicate that the values of the elasticities in the RC estimation are significantly different from those in other studies, because of the use of coefficient drivers. Second, by observing the time-varying behavior of the coefficients, we find some specific points in our time profile of coefficients; that is, we can make an association with real events occurring in Taiwan, such as the financial liberalization after 1989 and the Asian financial crisis of 1997–1998. Finally, we compare the predicted values via the time intervals and different specifications and find that we should adapt different specifications of the RC model to estimate each interval.  相似文献   
917.
Most failure recovery studies focus on the service industry, with few examining manufacturing. This study thus discusses how a manufacturing company implements failure recovery to increase customer satisfaction and repurchase intention. The aims of this study are two-fold: 1) to understand how failure attributions and failure types affect customer satisfaction, and 2) to propose a general model of failure recovery and compensation strategy for paper manufacturers that can be incorporated into their standard operating procedures.  相似文献   
918.
In this study, a cointegration analysis and a vector autoregressive model (VAR) are used to examine the causal relationships among energy consumption, employment, and output for Taiwan over the period January 1982 to November 1997. Johansen (1988) and Johansen and Juselius (1990) cointegration test result indicates these three variables are cointegrated with one cointegrating vector. The results from Granger causality tests based on vector error-correction models (VECM) suggest bidirectional Grange causality for employment-output and employment-energy consumption, but only unidirectional causality running from energy consumption to output. Furthermore, the impulse responses and variance decompositions are also incorporated into the analysis. The results from impulsive response and variance decomposition analysis tell similar stories. Energy consumption appears to have led to output growth in Taiwan over this period. The policy implication of this finding is that energy conservation will restrain the output growth in Taiwan.  相似文献   
919.
The article applies the LM univariate unit root test recently developed by Lee and Strazicich (2003 Lee, J and Strazicich, MC. 2003. Minimum Lagrange multiplier unit root test with two structural breaks. The Review of Economics and Statistics, 85: 10829. [Crossref], [Web of Science ®] [Google Scholar], 2004 Lee, J and Strazicich, MC. 2004. Minimum LM unit root test with one structural break, Department of Economics, University of Central Florida. Working Paper Series [Google Scholar]) to re-examine the validity of trend stationary in the inflation rates of 11 OECD and Asian countries using a longer span of historical data. Our empirical findings are favourable to the trend stationary of the inflation rates when we control the structural breaks in series, and therefore they point to the absence of hyperinflation in the majority of the countries. The results indicate that shocks to inflation rates are temporary and soon converge, with the inflation rates being trend stationary. Hence, most structural breaks in the inflation rate occur around the Great Depression, World War I, World War II, and energy shock periods. For the convergence effect, we repeat the unit root tests utilized above for smaller sub-samples so as to provide a robust analysis. The outcomes show that by selecting a longer data span, we can catch more powerful convergent evidence. Overall, some policy implications are obtained in this article.  相似文献   
920.
Economic growth over the past two decades has failed to reduce income inequality. We contend that major reasons for this are the slowdown and bias in technological change (productivity growth). Given the complexity of the many interactions that take place, this phenomenon is best addressed in a general equilibrium context. For this purpose, we have developed a computable general equilibrium (CGE) model with advanced features relating to income distribution. We perform a series of simulations based on recent overall productivity changes, but under various forms of technological change bias, factor mobility, and government budgetary balance. We find the labour-augmenting technological change cases to be most consistent with recent experience.  相似文献   
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