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Zusammenfassung Die ⋯holl?ndische Krankheit”: Der kanadische Befund. — Der Autor betrachtet detailliert das Ausma\ der sektoralen Verschiebungen und untersucht die strukturellen Anpassungsprozesse in der kanadischen Volkswirtschaft. Er zeigt, da\ das Wachstumsmuster nicht nur zwischen den Sektoren asymmetrisch ist, sondern auch zwischen zwei Phasen des Konjunkturzyklus. Dementsprechend scheint der Strukturwandel einem zyklischen Pfad gefolgt zu sein. Diese Hypothese wird empirisch getestet unter Verwendung von Vierteljahresdaten aus der Zeit zwischen 1962 und 1983. Eine disaggregierte Analyse der Lohnentwicklung zeigt eine ?hnliche Asymmetrie. Dies wird zum gro\en Teil auf die Rohstofflastigkeit der kanadischen Wirtschaft zurückgeführt. In einem verallgemeinerten Rahmen für die ⋯holl?ndische Krankheit” l?\t sich daraus entnehmen, da\ die Rohstofflastigkeit zum strukturellen Wandel beigetragen und auch die zyklischen Charakteristika bestimmt hat.
Résumé La maladie néerlandaise: l’évidence canadienne. — Cette étude jette un coup d’oeuil sur la dimension des déplacements sectoriels et examine le processus d’ajustement structurel dans l’économie canadienne. Il est constaté que la croissance se développe d’une manière asymétrique en ce qui concerne les secteurs et les deux phases consécutives du cycle conjoncturel. Pour cette raison le changement structurel semble avoir suivi une voie cyclique. Cette hypothèse est examinée par un test empirique en utilisant des dates trimestrielles pendant la période 1962–83. Une analyse désagrégée du développement des salaires démontre une asymétrie similaire. Ce fait est largement attribué au caractère de l’économie canadienne basée sur des ressources naturelles. Dans un cadre généralisé de la maladie néerlandaise cela peut être expliqué d’avoir contribué au changement structurel et aussi d’avoir déterminé le caractère cyclique.

Resumen La enfermedad holandesa: evidencia para el Canadá. — En este trabajo se analiza detalladamente la magnitud de cambios sectoriales y se examina la naturaleza del proceso de ajuste estructural de la economía canadiense. Se encuentra que además de ser asimétrica entre los sectores, la pauta de crecimiento también es asimétrica entre dos fases del ciclo económico. Por ello, el cambio estructural parece haber seguido una trayectoria c?clica. Esto se estudia emp?ricamente utilizando datos trimestrales correspondientes al período 1962-1983. El análisis desagregado del comportamiento salarial muestra una asimetría similar. Esto es atribuído en gran parte a la importancia de los recursos naturales para la economia canadiense. En el marco generalizado de la enfermedad holandesa esto puede haber contribuído al cambio estructural y a determinar sus características cíclicas.
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Business and Marketing ethics have come to the forefront in recent years. While consumers have been surveyed regarding their perceptions of ethical business and marketing practices, research has been minimal with regard to their ethical beliefs and ideologies. In addition, no study has examined the ethical beliefs of Austrian consumers even though Austria maintains a unique status of political neutrality, nonalignment, stability, economic prosperity and geographical proximity to the East- and West-European countries. This research investigates the relationship between Machiavellianism, ethical ideology and ethical beliefs of Austrian consumers. The results indicate that Austrian consumers are mostly situationists who, while rejecting moral rules, judge the ethics of a behavior by the consequences and outcomes of the situation. Mohammed Y.A. Rawwas is an Assistant Professor of Marketing at the University of Northern Iowa. His research has appeared in the Journal of Business Ethics, Marketing Educational Review, Advances in International Marketing, European Journal of Marketing, Journal of Hospital Marketing, Health Marketing Quarterly, Medical Marketing and Media,among other journals and proceedings.  相似文献   
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Based on the quarterly data from four open economies (the US, the UK, Canada, and Italy) and estimated correlations and impulse responses within the traditional vector autoregressive (VAR) analysis, we find that inflation, both in the short and long term, negatively affects consumption and investment, and has a positive influence on the current account. We propose an infinite-horizon optimizing model of an open economy with a fixed rate of time preference that explains these empirics. In this type of economy, households consume both durable and non-durable goods, firms operate under costly investment, and all the transactions involving consumption and investment are subject to cash-in-advance (CIA) constraints. Employing the new ‘sign restriction’ identification procedure due to Uhlig (J Mone’t Econ 52(2)381–419, 2005), we corroborate the empirical validity of the proposed model. In order to verify the robustness of our results, we consider another shock, namely, productivity shock in our empirical analysis and find that while productivity shock dominates in the case of the US, inflationary shock has a dominating effect in the case of the UK, Canada, and Italy.  相似文献   
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Using an experimental design, we tested whether viewers with differing levels of religious commitment have differing unaided recall, aided recall and attitudes towards non-contentious and contentious TV commercials in terms of their perceived message cues. The study, using Bahrani Muslim interviewees, demonstrates that religiously stricter Muslims have significantly lower recall and a more negative attitude towards messages perceived as contentious, while their recall and attitude scores for non-contentious messages are similar to those of subjects with lower levels of religious commitment. We recommend that international marketers show increased sensitivity to the cultures and traditions of submarkets by manipulating message cues, like music and dancing, to strengthen the brand communication while retaining its strategic integrity.  相似文献   
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"股神"巴菲特卖出中国股票的做法显然并未博得所有人的认同。前不久,巴菲特将仍有很大获利后劲的中石油股票脱手的举动引起外界的极大关注。上周他在中国对媒体表示,投资中国股票的人应保持谨慎。  相似文献   
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This paper analyses the profit persistence of African banking sector, focusing on the role of the level of competition and banks earnings management. We apply Markov chain to analyse the extent and mobility of profit persistence, dynamic auto regressive model to assess the speed of convergence and the quantile regression technique to examine the determinants of profit persistence of banks in Africa. The results show a high level of profit persistence and relatively low speed of convergence. There is also evidence that regulation and banks earnings management affect both the level and persistence of banks profitability. We also find that competition as well as 2007/2008 financial crisis reduce the level and the speed of profit persistence.  相似文献   
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We examine the impact of mispricing on corporate investments and its components: capital expenditures, research and development, acquisitions, and asset sales. By decomposing the market‐to‐book ratio into mispricing and growth components, we show that corporate investments are linked to mispricing through market‐timing and catering, after controlling for growth and financial slack. This investment‐mispricing link is more pronounced in financially constrained firms and in firms with short‐horizon shareholders. Overall, our study indicates that the sensitivity of investments to mispricing is a function of the nature of mispricing, the type of investment, and the firm's characteristics.  相似文献   
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