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61.
A large body of literature points to sharply growing income inequality over the past half century. The Piketty and Saez dataset that measures income distribution provides empirical support for this claim. Our article evaluates three prominent criticisms of this dataset as well as the responses of Piketty and Saez to these criticisms. One key argument against using their dataset is that Piketty and Saez do not control for income shifting by top income earners in response to the Tax Reform Act of 1986 (TRA86) and thus overstate income inequality. In evaluating this criticism we find that a segment of their dataset likely understates income inequality; this is just the opposite of what critics assert. This implies that the Piketty–Saez dataset is a valuable resource for income inequality research and that scholars can use it to build more refined, accurate and insightful measures of income inequality. 相似文献
62.
This paper uses a large panel of data with up to 19 time-series observations for almost 150 countries to estimate models of arms imports. Qualitative evidence suggests a non-linear relationship. As income and military expenditure grow, the propensity to import first rises and then falls as a domestic arms industry develops. We face the difficulty that there is virtually no data on domestic arms procurement or production capability. We respond to this difficulty by adopting a random coefficient approach in order to identify any systematic influences on import propensity, through the impact of military expenditure, size of the armed forces or income on unobserved domestic production capability. While a clear non-linear pattern is apparent in the cross-section relationship, once one allows for parameter heterogeneity such a pattern is not apparent in the time-series. 相似文献
63.
This paper utilizes a thought experiment conducted by the Bank of Italy to estimate absolute and relative risk aversion along with absolute and relative prudence for a broad cross-section of Italian households. Upper and lower bounds are calculated for each parameter, and comparisons are made across socio-demographic groups. Evidence is found of decreasing absolute risk aversion, decreasing absolute prudence, increasing relative risk aversion, and increasing relative prudence. 相似文献
64.
We use microdata on a large number of European countries from the Survey of Health, Ageing and Retirement in Europe (SHARE) to examine the wealth accumulation (saving) behavior of the retired elderly in Europe. We find that less than half of the retired elderly in Europe are decumulating their wealth and that the average wealth accumulation rate of the retired elderly in Europe is positive though relatively moderate (6.6 percent over a 3-year period). These findings suggest that the Wealth Decumulation Puzzle (the tendency of the retired elderly to not decumulate their wealth or to decumulate their wealth more slowly than expected) applies in the case of Europe. Moreover, our regression results suggest that bequest motives, generous public pension systems, and the reluctance of retired elderly homeowners to sell or borrow against their owner-occupied housing are the primary explanations for the existence of the Wealth Decumulation Puzzle in Europe. 相似文献
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Without complete and accurate status information, a project manager’s ability to monitor progress, allocate resources effectively,
and detect and respond to problems is greatly diminished, and this can lead to impaired project performance. Many different
factors can contribute to intentional misreporting of status information by project members to the project manager. In this
study, the impact of organizational ethical climate was assessed through the analysis of responses from 228 project members
drawn from a variety of ongoing information systems projects. Our results revealed that project members who perceived their
organization to be one in which rules are followed strictly tended to misreport less, while those operating in an environment
dominated by personal self-interest tended to misreport more. Somewhat surprisingly, the existence of a caring, team-spirited
environment did not appear to have an impact on misreporting behaviors. Implications for researchers and project managers
are discussed. 相似文献
69.
This study presents a signaling model of advertising for horizontally differentiated products. The central ingredients of
the model are two important characteristics of advertising—targeting, and noisy information content. The theory yields interesting
results about the informational role of targeted advertising, and its consequences. First, targeting can itself serve as a
signal on product attributes. Second, the effectiveness of targeting depends not only on firms knowing consumer preferences,
but on consumers knowing that firms know this. This creates a distinction between strategies of targeting and personalization.
Third, the effectiveness of targeting in equilibrium may (far) exceed the information contained directly in the targeted message.
Fourth, information content is not, however, superfluous. Specifically, when ads contain no information, a targeting equilibrium does not exist. Together, these results reveal how advertising conveys information both
through the content of the message and the firm’s choice of advertising medium. Furthermore, the model is robust to the various
critiques of prior work on ads-as-signals: namely, that ad content is irrelevant, ad exposure is unnecessary, and the choice
of ads as signals is inherently arbitrary.
相似文献
Ron Shachar (Corresponding author)Email: Email: |
70.
资本市场发展影响货币需求的实证研究 总被引:1,自引:0,他引:1
从理论上分析,资本市场发展对货币需求存在正向影响的财富效应和负向影响的替代效应,但对中国的资本市场发展及货币需求数据进行实证分析发现,资本市场发展提高了经济体的货币需求;股票成交金额的变动有助于我们对于狭义货币供应量的预测,不过在统计上无助于我们对于广义货币供应量的预测。考虑到资本市场发展因素,货币政策从紧的力度应该比单纯考虑实体经济货币需求的从紧力度略松。 相似文献