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101.
Edward Best Head of Unit European Institute of Public Administration Maastricht The Netherlands Ian Cooper Postdoctoral Fellow Munk Centre for International Studies University of Toronto Canada J. Andrés Faíña Jean Monnet Chair in European Industrial Economics University of Coruña Spain Stefan Voigt Professor for Economic Policy University of Kassel Germany 《Intereconomics》2005,40(4):180-200
The rejection of the treaty establishing a European constitution by French and Dutch voters has thrown the EU into a deep crisis. What developments in the EU contributed to these referenda results? What consequences are to be drawn for the continuation of integration and the integration goal, the governance of the EU-25 and the further planned enlargements? What flaws are there in the present draft constitution and how can these be dealt with? 相似文献
102.
Rodrigo Valdes Stephan Von Cramon‐Taubadel Alejandra Engler 《Agricultural Economics》2016,47(5):571-580
This article explores the drivers of regional stock market integration with a focus on the agribusiness sector across relevant regional trade blocs around the world. We implement panel cointegration models to analyze the stock indices of agribusiness firms in the Southern Common Market (MERCOSUR), European Union (EU), Asia‐Pacific Economic Cooperation (APEC), and North American Free Trade Agreement (NAFTA). Based on the literature on market integration and stock return pricing, we identify nine possible determinants of stock market integration, which we separate into three categories: individual market performance, macroeconomic conditions, and agricultural trade. In our analysis, we account for agriculture‐specific factors to control for possible structural shifts in financial markets regimes by including the two main commodity price bubbles during last 20 years. Our results show that most of the variables included in our categories have been important factors in promoting regional stock market integration. Moreover, integration among regional stock markets was strengthened by the implementation of trade agreements. This effect is stronger in trade blocs with fewer members, such as NAFTA and MERCOSUR, compared with larger and more heterogeneous blocs, such as the EU and APEC. 相似文献
103.
Perspectives on the Sources of Heterogeneity in Indian Industry 总被引:3,自引:0,他引:3
Somik V. LallG. Chris Rodrigo 《World development》2001,29(12)
This paper examines technical efficiency variation across four industrial sectors in India using a stochastic production frontier technique. The results obtained are comparable to technical efficiency distribution patterns obtained in other countries. Heterogeneity in firm-level efficiency is examined against internal, firm-level and external, industry and location characteristics. The results suggest that managerial effectiveness significantly influences efficiency and that there are considerable benefits deriving from location within established industrial clusters for particular industries. The methodology and findings indicate that the study of industry-specific technical efficiency patterns is a useful analytic tool for tracking firm response to ongoing liberalization. 相似文献
104.
尹柳营 《国际技术经济研究》1999,2(2):24-28
在进入信息时代和市场需求呈现多样化的今天,工业生产和生产研究依然是创造物质财富和市场需求最重要的基础。信息时代和需求多样化给生产研究领域带来了诸多全新研究课题。下一个世纪生产研究的大趋势将是管理和技术并驾齐驱,二者紧密结合。制约因素管理能够充分利用管理人员的智慧,靠抓住关键因素进行系统整体管理,不断在新的层次上加强管理和技术的密切结合,事半功倍地提高企业经济效益 相似文献
105.
Hui Peng PhD Postdoctoral program of scientific research Industrial Commercial Bank of China Yulu Chen Professor School of Finance Renmin University of China 《中国与世界经济(英文版)》2005,(2)
I. NPL Asset Settlement in China’s State-Owned Banks Non-performing loans(NPLs)represent the most serious problem hindering China’sbankingsystem, especially the fourstate-owned banks (SOBs).According to statisticsfrom China’sBanking Regulatory Commission (CBRC), the banking system has accumulated NPLs tothevalueof3,158 billion RMB,whilethefourSOBsaccountedfor51 percentofthattotalbytheend of 2003 (seeTable 1). While the banking sector disposeslessthan 300 billion NPLevery year… 相似文献
106.
Summary This paper considers the prediction of the sample mean by extreme order statistics when the population distribution is known.
The predictor and its mean square error are found. The problem is studied in details for the normal model. 相似文献
107.
108.
Summary The null density of the multiple correlation coefficient when sampling from a mixture of two normal populations has been derived
by Srivastava (1983). However, he does not express this density in a rather standard form. The present paper obtains the nonnull
densities of the multiple correlation coefficient and the partial correlation coefficient in a rather standard form when sampling
from a mixture of two normal populations. 相似文献
109.
Efficiency wages and income taxes 总被引:1,自引:0,他引:1
Professor Michael Hoel 《Journal of Economics》1990,51(1):89-99
The paper was written during a visit at the Ludwig-Maximilian-University of Munich in the summer of 1988. The hospitality of this institution, as well as the financial support from a Ruhrgas Scholarship under the West German Norwegian Scholarship Scheme, is gratefully acknowledged. Participants at various seminars have given useful comments and criticism. I am also grateful to two anonymous referees for their comments to an earlier version of the paper. 相似文献
110.