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81.
82.
Nach der Euro-Umstellung Anfang 2002 entwickelte sich das Preisempfinden deutlich anders als der gemessene Verbraucherpreisindex. Inwieweit wird auch heute noch die Preisentwicklung von den Konsumenten übersch?tzt? Wie zuverl?ssig misst der von Hans Wolfgang Brachinger entwickelte „Index der wahrgenommenen Inflation“ dieses Ph?nomen? Zu welchen Ergebnissen kommen die von der EU-Kommission beauftragten Verbraucherumfragen? Die Verfasser geben ihre pers?nliche Auffassung wieder, die nicht unbedingt mit derjenigen der Deutschen Bundesbank übereinstimmen muss.  相似文献   
83.
The choice between specialisation and diversification of income is driven by multiple, interacting factors, such as economies of scale and scope, risk considerations, context, and household characteristics. Using panel data from Ethiopia, we investigate the role of social capital and the covariate risk of climate change and their interaction. We find that households with greater social capital tend to be more specialised, implying that diversification and informal insurance are substitutes in the mitigation of risk. We also find that this effect is significantly weaker in regions more prone to climate change, which is consistent with the average farmer being aware that informal insurance is not an effective protection against risks that affect the entire social network. We use instrumental variable random effects estimation to account for the plausible endogeneity of social capital and we also establish that our results do not depend on the poorest and most constrained individuals in our sample.  相似文献   
84.
The paper suggests that consumers and their behaviors deserve (much) more attention in our field. After a few website references (about ethical shopping and ethical trade initiatives) and after a brief literature review of recent business ethics and consumer behavior literature conceptual frameworks are suggested. As an open end, the paper contains some empirical references, related to consumer honesty, tax loyalty and to motives for buying organic food, and suggests the development of a consumer morality measurement instrument.  相似文献   
85.
As agricultural policies affect land use, they have effects on the amount of soil erosion in agricultural regions through changes of the economic conditions of agricultural production. Prices of inputs and outputs, regulations and incentives can change, forcing or encouraging farmers to adopt new crop rotations. This paper shows how a bio-economic model can be used to describe and estimate the effects of policies on agricultural production and the risk of soil erosion at the example of a region in North-Eastern Germany. The model uses both an assessment tool that is based on a fuzzy-logic approach for the estimation of soil erosion risk of cropping practices, and a linear programming model, that simulates farmers’ economic behaviour under the assumption of gross margin maximisation being the main goal of farmers’ actions.The analysed policy options were both a targeted and an untargeted incentive programme for reduced tillage, and a restriction option where high erosive crops are not allowed on high erodible field types. The results show that policy changes can have an impact on soil erosion. Furthermore, soil conservation policies are shown to have different levels of efficiency in terms of reduced soil erosion related to the costs of the policy. In the case of this study, a restriction option was more efficient than the incentive options. The results of such simulations can serve as a decision support for the development of soil conservation policies and help to foresee the effects of general changes of agricultural policies.  相似文献   
86.
Intereconomics - The sugar industry is a major provider of jobs and income for sugar-exporting countries in Africa. The lower sugar prices that were caused by the recent liberalisation of the EU...  相似文献   
87.
This paper examines the relationship between dynamic structural econometric models (SEM) and time series (TS) models. It extends the work of others by suggesting a reconciliation of SEM and TS models based on classical linear parameter restrictions in regression models rather than on time series methods. The paper demonstrates that in a number of common economic contexts there exist sets of plausible restrictions on the stochastic properties of the disturbances and on the dynamic adjustment processes in a SEM such that familiar structural models take on the form of univariate TS models. Consequently, it is argued that TS models should not be arbitrarily dismissed as being devoid of economic content.  相似文献   
88.
Summary In this paper we try to clarify whether the use ofBox-Jenkins methods would have improved the forecasting performance in Austria during the recession of 1975. For this purpose we estimate ARIMA models for gross national product, private consumption, investment in plant and equipment, and inventory investment. We then compare the forecasts derived from these models with the results of more convential forecasting techniques. It can not be expected that Box-Jenkins methods predict a business cycle turning point. But, as soon as the recession was under way Box-Jenkins methods were faster in adapting to the new situation than conventional forecasting techniques. We found that the accuracy of Box-Jenkins predictions depends to a large extent on the length of the forecasting horizon. Our results suggest that the forecasting horizon should not exceed one year. All in all, Box-Jenkins methods applied together with the forecasting techniques already in use could further improve the forecasting performance.  相似文献   
89.
In this paper, we use survey data to analyze the accuracy, unbiasedness and efficiency of professional macroeconomic forecasts. We analyze a large panel of individual forecasts that has not previously been analyzed in the literature. We provide evidence on the properties of forecasts for all G7-countries and for four different macroeconomic variables. Our results show a high degree of dispersion of forecast accuracy across forecasters. We also find that there are large differences in the performances of forecasters, not only across countries but also across different macroeconomic variables. In general, the forecasts tend to be biased in situations where the forecasters have to learn about large structural shocks or gradual changes in the trend of a variable. Furthermore, while a sizable fraction of forecasters seem to smooth their GDP forecasts significantly, this does not apply to forecasts made for other macroeconomic variables.  相似文献   
90.
This article explores project management offices (PMOs) through community of practice theory. Preliminary results from a national health care case study are used to confirm the legitimacy of this approach. Today's knowledge‐based economy calls for mechanisms to share knowledge. The issue of making more with less is at stake in order to reuse good practices, support innovative practice, and prevent the reinvention of the wheel. Members of these communities are at the heart of the learning process. The originality of this research is that it sheds light on PMOs in a new theoretical perspective within the field of knowledge management.  相似文献   
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