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91.
随着我国加入WTO以后对汽车金融服务业的进一步开放,国外汽车金融公司纷纷进驻这个极具潜力的庞大市场.2003年底我国先后颁布了<汽车金融公司管理办法>和<汽车金融公司管理细则>,至2005年1月,通用、大众、丰田汽车金融(中国)公司相继开业.本文在介绍成熟汽车金融公司特点的基础上,针对我国汽车金融公司的具体情况,提出一些对策与建议,希望能够对我国的汽车金融公司的发展有所裨益. 相似文献
92.
现场总线是一种安装在生产过程区域的现场设备或过程仪表和控制室内的自动化控制系统之间的开放式、数字化、双向串行、多节点的数据通信总线。该技术是近年来随着计算机、通信、控制技术的进步,数字通信网络应用到工业过程现场控制后,逐渐发展.并得到广泛应用的现代控制技术,目前,比较有名的有FF、Profibus、LONWORKS、HART、CAN等总线。 相似文献
93.
Empirical evidence suggests that firms often manipulate reported numbers to avoid debt covenant violations. We study how a firm’s ability to manipulate reports affects the terms of its debt contracts and the resulting investment and manipulation decisions that the firm implements. Our model generates novel empirical predictions regarding the use and the level of debt covenant, the interest rate, the efficiency of investment decisions, and the likelihood of covenant violations. For example, the model predicts that the optimal debt contract for firms with relatively strong (weak) corporate governance (i.e., cost of manipulation) induces overinvestment (underinvestment). Moreover, for firms with strong (weak) corporate governance, an increase in corporate governance quality leads to tighter (looser) covenant, more (less) frequent covenant violations and lower (higher) interest rate. Our model highlights that the interest rate, which is a common proxy for the cost of debt, neither accounts for the distortion of investment efficiency nor the expected manipulation costs arising under debt financing. We propose a measure of cost of debt capital that accounts for these effects. 相似文献
94.
K. Fernández-Aguirre M. A. Garín-Martín J. I. Modroño-Herrán 《Quality and Quantity》2014,48(4):2209-2224
Principal axis methods such as principal component analysis (PCA) and correspondence analysis (CA) are useful for identifying structures in data through interesting planar graphic displays. However, some kinds of data sets can be dealt alternatively with PCA or CA. This paper focuses on methods, such as PCA and CA, and on visual displays. Our aim is to illustrate the implications for a potential user of selecting either method, and its advantages and disadvantages, from an applied point of view. This is a matter covered broadly in textbooks and elsewhere considering theoretical arguments. Our purpose is to contribute to the comparison between these methods, over the same data set, in order to illustrate them for the practitioner. In the first part of this paper we present a novel analytical study of a binary matrix associated with a non-oriented axis-symmetric graph and show that CA outperforms standardized PCA for the reconstitution and visualization of such kind of graphs. In the second part we present a case using real data dealing with the distribution of employees in different economic sectors for the countries of the European Union, analyzed by means of standardized PCA and two-way CA, in order to see the differences between the two methods in practice. 相似文献
95.
Journal of Industry, Competition and Trade - The vast empirical literature on strategic alliances has often overlooked their theoretical foundations. We pose a hypothesis: do small and medium... 相似文献
96.
"十八大"以后,中国进入新一轮改革时期。新一轮改革是一场问题导向式改革,新时期所出现的诸如经济增长乏力、效率低下、市场秩序混乱等新问题是新一轮改革的逻辑起点,放、激、管三管齐下是解决新问题的主要方式。新一轮改革的目标是处理好政府与市场的关系,而理顺政府与市场关系的关键在于充分发挥市场在资源配置中的决定性作用,通过市场发力形成中国经济增长的内生力,探索出一条具有中国特色的市场经济道路,这条道路就是中国模式。 相似文献
97.
José Ángel Zúñiga‐Vicente César Alonso‐Borrego Francisco J. Forcadell José I. Galán 《Journal of economic surveys》2014,28(1):36-67
This survey examines the empirical literature on the relationship between public R&D subsidies and private R&D investment over the past five decades. The survey reveals a considerable heterogeneity of empirical results that cannot be explained fully by methodological issues. We aim to provide further explanations of the possible causes of that heterogeneity. In particular, we emphasise a set of issues that, in our view, are critical to understanding the potential effect of public R&D subsidies on private R&D spending. Special attention is paid to the dynamic aspects and composition of firm R&D, the constraints faced by the firm (such as financial constraints), and the amount and source of public subsidies. None of these issues have been investigated in depth. We formulate a set of research assumptions to guide future empirical research in this field. 相似文献
98.
This research introduces the multi-product capacitated facility location problem with general production and building costs (MP-CFLPGC). The MP-CFLPGC extends previous problems found in the literature by including multiple products and general production and building cost functions that allow the modeling of different behaviors like economies of scale and congestion. The MP-CFLPGC is formulated as a mixed integer linear program (MILP). To evaluate the performance of the proposed formulation we analyze the results of a commercial optimizer on a set of 288 randomly generated test instances that resemble the Colombian cement industry supply chain. After one hour the optimizer achieved an optimality gap of 1.0 % or less in 55 % out of the 288 test instances. On average the optimality gap was 3.57 %. Additionally, we propose a randomized mathematical-programming-based heuristic for the test instances where the MILP formulation presents significantly high optimality gaps. 相似文献
99.
Adela del-Río-Ortega Manuel Resinas Amador Durán Antonio Ruiz-Cortés 《Enterprise Information Systems》2016,10(2):159-192
Process performance management (PPM) aims at measuring, monitoring and analysing the performance of business processes (BPs), in order to check the achievement of strategic and operational goals and to support decision-making for their optimisation. PPM is based on process performance indicators (PPIs), so having an appropriate definition of them is crucial. One of the main problems of PPIs definition is to express them in an unambiguous, complete, understandable, traceable and verifiable manner. In practice, PPIs are defined informally – usually in ad hoc, natural language, with its well-known problems – or they are defined from an implementation perspective, hardly understandable to non-technical people. In order to solve this problem, in this article we propose a novel approach to improve the definition of PPIs using templates and linguistic patterns. This approach promotes reuse, reduces both ambiguities and missing information, is understandable to all stakeholders and maintains traceability with the process model. Furthermore, it enables the automated processing of PPI definitions by its straightforward translation into the PPINOT metamodel, allowing the gathering of the required information for their computation as well as the analysis of the relationships between them and with BP elements. 相似文献
100.
Juan Camilo Galvis Ciro 《Applied economics letters》2016,23(14):984-990
This article relates to the literature on sovereign risk in developing countries. In particular, we present empirical evidence to address the effect of inflation targeting credibility on sovereign risk based on the Colombian experience. The findings denote that credibility is an important improvement in the institutional framework to reduce the sovereign risk premium. 相似文献