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排序方式: 共有423条查询结果,搜索用时 125 毫秒
81.
Rubina Rasheed Muhammad Saeed Meo Rehmat Ullah Awan Farhan Ahmed 《Asia Pacific Journal of Tourism Research》2019,24(4):325-332
The current study is intended to analyze the long-run relationship between deficit in balance of payments (BOPs) and tourism for the period of 1976–2015 using the autoregressive distributed lag (ARDL) model. The findings of the paper exposed an indirect relationship between tourism and BOP deficit in the context of Pakistan economy, while deficit balance of trade, real effective exchange rate, and deficit in fiscal balance have a positive and significant association with the deficit in the BOPs in the long run. Based on the findings, it is recommended that policies should be devised that promote the tourism industry of Pakistan as it would be helpful in reducing the deficit in the BOPs. 相似文献
82.
Anwer S. Ahmed Brant E. Christensen Adam J. Olson Christopher G. Yust 《Contemporary Accounting Research》2019,36(2):958-998
We investigate the effect of executives and directors with prior banking crisis experience on bank outcomes around the global financial crisis (GFC). Executives and directors with previous experience leading banks through a bank crisis may have been uniquely able to understand the risks, recognize the warnings signs early, and thus respond more effectively to the GFC. Controlling for other executive, director, and bank‐level characteristics, we examine whether bank performance, risk taking, and accounting quality in the period immediately before and during the GFC are affected by having executives or directors who previously served as bank executives or directors during the 1980s/1990s banking crisis (80s/90s crisis). Overall, we find that banks led by these crisis‐experienced executives and directors exhibit stronger performance, lower risk taking, and higher accounting quality in the period around the GFC. These effects are strongest among bank leaders for whom the 80s/90s crisis was most salient. Results are robust to propensity‐matched samples and other analyses performed to rule out alternative explanations. Our results suggest these individuals were able to learn from prior crisis experience. 相似文献
83.
Husain Salilul Akareem Ahmed Shahriar Ferdous Mikala Todd 《International Journal of Research in Marketing》2021,38(2):501-517
Subsistence consumers, representing almost half the global population, live on low incomes, possess low levels of literacy, and generally experience poor health. Technology is a tool used to facilitate stronger connections between consumers and support services, including for subsistence consumers. Given the unique characterization of subsistence marketplaces, research needs to examine potential associations between subsistence consumers' individual resource integration and wellbeing via their behavioral engagement with technologies. Research is also warranted that investigates the factors that can moderate this association. A 45-day customized patient portal app was delivered via 26 healthcare service providers, resulting in the surveying of 336 subsistence consumers who used the portal. The results indicate positive associations between subsistence consumers' individual resource integration, patient portal behavioral engagement, and wellbeing. They also indicate that these associations are strengthened by service provider's resource support and subjective norms, and weakened by medical mistrust. Theoretical and managerial implications from this study's findings are discussed. 相似文献
84.
This paper presents evidence on the price effect of US firms announcing the implementation of a multidivisional management structure (M-form) and whether these effects are contingent on the existing diversification strategy (either unrelated, related, or vertical integration). Differnt patterns of excess returns and systematic risk (beta) changes are associated with different diversification strategies. 相似文献
85.
Philip Karpik Ahmed Belkaoui 《Journal of International Financial Management & Accounting》1989,1(3):259-276
The objective of this study is to determine whether value added variables possess incremental information beyond both accrual earnings and cash flows in the context of explaining market risk. The evidence points to the superior explanatory power of value added variables in explaining the variability in market betas. A case can be made for the disclosure of value added reports. 相似文献
86.
87.
Ahmed Riahi-Belkaoui 《Journal of Business Finance & Accounting》1997,24(5):615-628
This study examines the relationship between multidivisional (M-form) structure and productivity. The relationship is hypothesized to vary with diversification strategy. Findings based on longitudinal analysis of productivity data from 62 firms in industries, indicate that following M-form implementation, productive efficiency decreases for vertically integrated firms and increases for related diversified firms. For unrelated diversifiers the moderate increase in productivity is not significant. 相似文献
88.
89.
Ahmed Saber Mahmud 《Economics of Governance》2017,18(3):239-273
What leads to the stability of a particular regime and what causes its demise? With the aid of formal modeling, the paper illustrates the necessary and sufficient conditions for different political regimes to exist. The game involves two factions representing the differing interests of the civil society and the armed forces of a nation. We illustrate the emergence of political regimes that includes both unconstrained and constrained democracies, both military and civilian autocracies and an alliance formed by a segment of the civil society and the military. 相似文献
90.
The paper empirically examines the effects of trade liberalisation on income inequality in China and the South Asian Association for Regional Cooperation countries. Panel data analysis is conducted for the period of 1973 to 2012. The results show that liberal trade policies have increased income inequality in these countries. These results are robust to alternative liberalisation measures. The control variables used have differing effects on income distribution. Per capita income has an increasing effect on income inequality, while education, financial development, financial openness, democracy, and government size are shown to reduce income inequality. These outcomes can be expected to have important policy implications for the use of trade liberalisation in these countries. 相似文献