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41.
This paper explores theoretically and empirically the medium- and long-run relation of the terms of trade (ratio of traded goods prices) and economic growth of a pair of countries—one of which experiences a major catch-up process towards the other. Two theoretical interdependencies between the terms of trade and economic growth are offered: the home-market effect and the productivity-shock effect. These two effects are tested against each other in a cointegration analysis on data for Japan and the US from 1971 until 1997. Income is cointegrated with the terms of trade. The relevant empirical channel is the home-market effect. However, financial-market effects appear also to be relevant. J. Japanese Int. Economies 21 (4) (2007) 470–488. 相似文献
42.
Qi Jianhong Zheng Yingmei Zhao Yong 《生态经济(英文版)》2007,3(3):234-242
As a growing number of countries, including both developed and developing countries, have in recent yearstaken environmental regulation at different levels, a question of great concern has been raised: can the regulation alterthe existing trade volume and trade pattern, and ultimately drive pollution-intensive industries to countries with low-levelregulations or even those without regulations at all? Starting from the three different propositions concerning therelationship between environmental regulation and trade pattern, this paper applies cointegration analysis and errorcorrection model to empirically testing the relationship between environmental regulation and trade in China during theperiod of 1985-2005. Our empirical results indicate that in the short run the collection of pollution discharge fees bearsa positive impact on the export share of clean products of total exports. Thus, higher pollution discharge fees raise theratio of clean products exports to total exports. This further indicates that more stringent environmental regulationpromotes the exports of clean products. In the long run pollution discharge fees are positively correlated with the exportshare of clean products but negatively associated with their import share. Such correlations imply that environmentalregulation tends to facilitate the international specialization in line with comparative advantages. 相似文献
43.
This paper reexamines the causality between the dollar and the yen in a multivariate framework with the aid of cointegration and error-correcting modeling for the 1951–94 period. The Phillips-Perron tests and Johansen's tests are performed. While causality from interest rates to exchange rates is found in the short run, no causality between prices and exchange rates is found in the short run. However, causality is found running from relative prices to exchange rates along with interest rates between the U.S. and Japan in the long run, which supports the long-run PPP hypothesis. 相似文献
44.
靳庭良 《数量经济技术经济研究》2015,(4):149-160
分析了实践中应用Granger因果关系检验存在的一些问题,如信息遗漏,变量变换改变因果关系的性质、变量单整性对检验程序的影响以及检验模型的选择等,并提出在线性投影上有初步证据的因果概念。进而,应用单整变量之间Granger因果关系的一般检验程序对1978~2013年我国货币供给量与价格水平、产出之间的Granger因果性重新进行检验。 相似文献
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文章采用现代计量经济学的分析方法--协整分析和格兰杰因果关系检验,对广东省改革开放以来对外贸易与经济增长的相互关系进行实证分析,结论表明:广东省对外贸易与经济增长之间存在着相互促进的关系,其中,广东省GDP增长对进、出口增加的促进作用大于进、出口增加对GDP增长的促进作用. 相似文献
48.
人民币实际汇率与贸易条件的实证研究 总被引:1,自引:0,他引:1
基于均衡汇率理论,应用协整模型,采用真实变量分析了1980-2003年的人民币实际汇率及其与均衡汇率的失调情况,进而研究了不同时期人民币实际汇率与贸易条件的关系。结果表明:贸易条件与中长期以及短期的实际汇率存在显著的关系,贸易条件的恶化或改善是导致人民币实际汇率升值或贬值的重要原因之一。并且,在不同的发展时期,贸易条件对实际汇率的影响呈现出不同的特点。 相似文献
49.
针对高运胜(2004)的病态计量模型,本文通过协整分析认为:我国对美出口与美国GDP增长率之间不存在长期均衡关系,但是我国对美出口与美国GDP之间存在一个正相关的长期均衡关系,美国经济发展有利于我国扩大出口。另一个结论是:美国GDP每增加1美元,我国对美出口增加量是减少的,我国对美出口收入弹性大于0小于1。后面的结论支持了高运胜的分析:我国对美出口产品中劳动密集型产品占有较大比重,需求弹性相对较低。Granger因果关系检验表明:美国GDP是我国对美出口的Granger原因,我国对美出口却不是美国GDP的Granger原因,我国对美出口对美国经济产生不了威胁。通过进一步分析,提出了几个政策建议。 相似文献
50.
In this work we empirically assess the weak and strong forms of purchasing power parity (PPP) hypothesis for the economies of Japan and US. Monthly data for the, traded-goods price indices and the JPY/USD exchange rate are employed for the, period from January 2000 to October 2012. This period includes large shocks, such as, the US subprime crisis and the 2011 Tsunami in Japan. We take into account possible, structural shifts and breaks by employing the class of Lee and Strazicich, 2003, Lee and Strazicich, 2004 unit, root tests. Empirical analysis suggests that a break corresponding to the start of the US subprime crisis is not rejected. Furthermore, utilizing the Gregory and Hansen (1996) and, Hatemi (2008) cointegration methodologies, the weak form of PPP is not rejected. We, also test the strong PPP hypothesis by using Dynamic Ordinary Least Squares, (DOLS). The empirical evidence rejects the strong form of PPP for the period, preceding the US subprime crisis in contrast to the period after. 相似文献