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31.
The reduction of government debt to 60% of the GDP in order to satisfy the requirements of the Maastricht Treaty for participation in the European Monetary Union is one of the primary economic-policy goals for most of the European Union countries. The first aim of the present paper is to characterize the optimal path of the primary surplus that leads to the achievement of this Maastricht target. Using optimal-control theory we are able to determine an upper bound of the public-debt-to-GDP ratio above which no retrenchment policy becomes effective. The second issue taken up is that of the sensitivity analysis with respect to the initial level of the debt-to-GDP ratio, the growth rate of the economy, the interest rate, the inflation rate, and the inverse of the velocity of the monetary base circulation. 相似文献
32.
The authors discuss wine tourism activities in the context of general tourism development in Slovenia. The country’s winegrowing areas have developed traditionally important viticulture, a relatively intensive production of typical grape varieties and in some cases also a distinct entrepreneurial spirit, which consequently reflects in tourism and regional development, based on diverse cultural heritage and natural values. Three Slovene wine regions are divided into nine wine districts with their own identities and more or less distinct terroirs. Despite a several centuries’ long tradition and a rich wine culture, it is evident that in national tourism strategies and development plans, wine tourism still does not occupy the position that it probably deserves, although most of the documents stress its potential for local or regional development. On the other hand, the authors recognize a significant interest among winemakers and tourism professionals for strategic cooperation and systematic approach to develop wine tourism in the selected destinations. The authors therefore focus on some paradoxes and emphasize examples of good practice at the national, regional, and local levels. 相似文献
33.
Although scholars have invoked the escalation framework as a means of explaining the occurrence of numerous organizationally
undesirable behaviors on the part of decision makers, to date no empirical research on the potential influences of escalating
commitment on the likelihood of unethical behavior at the individual level of analysis has been reported in either the escalation
or the ethical decision-making literatures. Thus, the main purpose of this project is to provide a theoretical foundation
and empirical support for the contention that escalating commitment situations can induce unethical behavior in decision makers.
An experimental research design utilizing a computerized investment task was administered to 155 undergraduate business majors
as a means of assessing the hypotheses presented here. Results from a hierarchical logistic regression analysis found strong
support for the contention that exposure to an escalation situation increases the likelihood of unethical behavior on the
part of decision makers. Further, results also supported previous ethical decision-making findings by confirming the effects
of locus of control (LOC) on ethical behavior. Specifically, the data indicated that individuals with an external LOC orientation
were significantly more likely to select the unethical option than were individuals with an internal LOC orientation. Interestingly,
support was not found for the effects of Machiavellianism or gender on ethical decision-making. 相似文献
34.
Dubravka Sinčić Ćorić 《International Advances in Economic Research》2014,20(4):411-423
The positions of lobbying and the lobbyist, well established in developed democratic societies, are far less clear in transitional countries. The aim of this paper is to present the current status of lobbying in Croatia through a discussion of its reputation in the media, citizens’ attitudes and the perceptions of business sector representatives. For that purpose, three groups of research results are presented. (1) In order to characterize the reputation of lobbying in the media, the results of a quantitative content analysis of information published in daily and weekly newspapers, magazines and on Internet portals are given. (2) To understand the attitudes of citizens to lobbying, the views of the young are considered. (3) Finally, to define perceptions of lobbying in the public sector and business, the results of a survey conducted among 50 employees in government institutions and 50 in the enterprise sector are presented and analyzed. 相似文献
35.
This paper is the first to employ a multivariate extension of the LHAR–CJ model for realized volatility of Corsi and Renó (2012) considering continuous and jump volatility components and leverage effects. The model is applied to financial (S&P 500), commodity (WTI crude oil) and forex (US$/EUR) intraday futures data and allows new insights in the transmission mechanisms among these markets. Besides significant leverage effects, we find that the jump components of all considered assets do not contain incremental information for the one-step ahead realized volatility. The volatility of S&P 500 and US$/EUR exchange rate futures exhibits significant spillovers to the realized volatility of WTI. Moreover, decreasing equity prices appear to increase volatility in other markets, while strengthening of the US$ seems to calm down the crude oil market. 相似文献
36.
Leonardo Vera 《Review of Political Economy》2014,26(4):526-548
Monetary policy with an inflation targeting rule is analyzed through a simple small-scale Post-Keynesian model that incorporates open economy issues. In contrast with previous Post-Keynesian attempts, the model embodies policy authorities that are committed not only to hitting inflation and/or output targets, but also to the achievement of the external balance. To take account of the external balance objective, we model the real exchange rate as an endogenous and moving target, with the nominal exchange rate being the instrument of that target. The model shows that in response to an adverse external shock the central bank has to consider first the required real exchange rate adjustment that will preserve the external balance, and secondly the level at which the interest rate must be set in order to maintain inflation stabilization. Keeping inflation to target requires higher interest rates and strong reliance on the unemployment channel which, under certain circumstances, also has adverse side effects on income distribution. We show that to deal with an exogenous external shock a policy mix of real exchange rate targeting and income distribution targeting outperforms inflation targeting. 相似文献
37.
Tina Vukasovič 《国际粮食与农业综合企业市场学杂志》2014,26(3):173-188
The objective of this article is to better understand consumers' attitudes, expectations, and behavior toward traditional food among consumers in selected Western Balkans Countries (WBC). The article also presents a picture of the profile of WBC traditional food consumers (TFC) in terms of their sociodemographics, attitudes, lifestyle orientations, and behavioral characteristics. The method used for the data collection was a face-to-face interview using a structured questionnaire. In total, 800 respondents participated in the survey. WBC consumers expressed a positive attitude toward traditional food. If the researchers try to explain consumers' behavior toward traditional food, they can say that there are different types of consumers giving more or less importance to components considered traditional. The information about the profile, the image, and the actual characteristics of TFC has practical implications for marketing and communicating about traditional food, including their identification, differentiation, research and development, and positioning in the WBC food market. 相似文献
38.
39.
In diaspora research, people's international mobility is often understood as a response to pull-push forces on an economic macro-level or as part of diasporic waves. However, labor diaspora formations are also influenced by micro-level (i.e., individual perceptions) drivers related to work per se, such as satisfaction. This explorative qualitative study takes a novel angle and focuses on the role of Portuguese nurses’ satisfaction with the evaluation of the Brexit scenario and its effects on this labor diaspora's mobility and stability. The findings illustrate that satisfaction, although affected by uncertainty, mainly relates to perceived working conditions and legislation and the possibilities to communicate with locals and other diasporans. This paper provides suggestions for future research and contributes to the development of theory on staying and human stickiness, explaining the dynamics of exit and entry in (re-)migration decision making. 相似文献
40.
Testing for Bubbles in Housing Markets: A Panel Data Approach 总被引:3,自引:0,他引:3
We employ recently developed cross-sectionally robust panel data tests for unit roots and cointegration to find whether house prices reflect house related earnings. We use U.S. data for Metropolitan
Statistical Areas, with house price measured by the weighted-repeated-sales index and cash-flows by market tenants’ rents.
In our full sample period, an error-correction model is not appropriate, i.e. there is a bubble. We then combine overlapping
10-year periods, price–rent ratios, and the panel data tests to construct a bubble indicator. The indicator is high for the
late 1980s, early 1990s and since the late 1990s. Finally, evidence based on panel data Granger causality tests suggests that
house price changes are helpful in predicting changes in rents and vice versa.
CERGE-EI is a joint workplace of the Center for Economic Research and Graduate Education, Charles University, and the Economics
Institute of the Academy of Sciences of the Czech Republic. 相似文献