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81.
徐笑丁 《上海金融学院学报》2007,(5):66-74
本文对东亚货币一体化的研究建立在最优货币区理论和OCA指数计量模型的基础上,目的在于判断东亚经济中起主导作用的中日韩三国是否可能展开双边或者多边的货币合作。经测算发现,在排除了原模型中部分不适用的决定因素后,中日韩三国货币的共同组合似乎是比较合适的选择。 相似文献
82.
劳动力市场是市场经济的重要组成部分,我国要继续深化经济体制改革。必须要建立一个高效、有序的劳动力市场。本文在阐述了劳动力市场理论之后,分析了原苏联、东欧国家在经济转轨过程中关于劳动力市场的经验和教训,并以此提出了进一步完善我国劳动力市场的几点建议。 相似文献
83.
国外促进就业的财政政策及借鉴 总被引:6,自引:0,他引:6
宋其超 《中央财经大学学报》2003,(3):14-16,33
面对日益严峻的就业形势,世界各国十分重视发挥财政在促进就业中的作用。本文着重通过考察世界各国在促进就业方面所采取的财政政策, 探讨我国财政应如何在促进就业工作中更好地发挥作用。 相似文献
84.
美、德、日等发达国家在城市环境治理过程中,对空气污染、水污染、废弃物污染、噪声污染等采取了行政、经济、立法、技术与教育等措施,有效地控制了主要污染的肆意蔓延,从根本上改善了环境质量。发达国家城市环境治理的经验主要有:完善环境保护法律制度,保证治理措施的有效实施;健全环境管理体系,强化环境行政管理;注意推动自愿性行动来保护环境,积极推动公众参与环境治理;运用经济手段,制定激励奖惩措施,提高环境治理的效率;合理划分环境治理权限,建立权威性的管理机构;大量发展环境教育,通过民众环境保护意识,形成民族心理。这些经验及其教训留给人们诸多启示,值得中国学习与借鉴。 相似文献
85.
Leiser Silva Eugenio Figueroa B. Jennifer Gonzlez-Reinhart 《Information and Organization》2007,17(4):232-265
This paper centers on the interpretation attributed by organizational members to the information systems (IS) alignment concept. Its objective is to study IS alignment in professional organizations. Specifically, it reports on an interpretive study conducted in five Chilean organizations; four professional and one entrepreneurial, of which two are private and three are public. The theoretical background of our study is derived from three IS strategic alignment conceptualizations: managerial, emergent and critical. These concepts formed our theoretical framework that guided data collection and analysis. The study centers on the meanings organizational members assigned to IS strategic alignment, as well as their views on the barriers that hinder achieving this level of organizational integration. The analysis results are summarized in seven hermeneutic themes that point out the different connotations the organizations assigned to IS alignment. The significance of the findings are summarized in four insights that formulate theoretical and practical implications. These insights refer to: (1) the difficulties of achieving alignment for professional organizations, particularly public ones, (2) the limitations these organizations have in being agile, (3) the rationale for acquiring technology and determining IT skills, and (4) the imperative meaning that CIOs attribute to IS alignment. The paper concludes with a reflection on the limitations and relevance of the research. 相似文献
86.
Using a panel dataset of 105 developing countries for the period 2003–15, this paper assesses the effects of Aid for Trade (AfT) on greenfield FDI flows to the aid‐recipient countries. Particularly, this paper classifies the total dollar value of greenfield FDI flows to each recipient country in terms of four different layers: the extensive and intensive margins of projects as well as the extensive and intensive margins of source countries. Applying the system GMM estimator, this paper finds that AfT not only increases the dollar value of FDI flows to the recipient countries but also helps diversify the greenfield projects and source countries. In addition, this paper finds that AfT has a greater effect for greenfield FDI from donor (developed) countries than from non‐donor (developing) countries. Among the three components of AfT, aid for trade‐related infrastructure and aid for trade policy regulations are found to have positive links with greenfield FDI, irrespective of source‐country groups, yet their effects are larger for developed source countries. In contrast, aid for building productive capacity hinders greenfield FDI flows from non‐donor countries, while it promotes greenfield FDI from donor countries. We offer some explanations for this finding. 相似文献
87.
Abdullah Gulcu 《The journal of international trade & economic development》2019,28(6):668-685
This study aims to explore the empirical validity of the real interest rate parity (RIP) hypothesis for East Asian countries using Japan as the base country. To this end, we employ the recently proposed unit root tests of Christopoulos and Leon-Ledesma that account for both multiple smooth structural breaks of unknown form and nonlinear mean reversion in the series. Our empirical results uncover overwhelming evidences in favor of the RIP hypothesis for the whole countries in our sample. More specifically, through a Fourier approximation, it is observed that all real interest rate differentials display a mean-reverting behavior around an infrequently smooth-breaking mean, with the breaks being in accordance with the financial reforms and economic crises witnessed by the countries. Moreover, the degree of mean reversion appears to vary nonlinearly with the size of real interest rate appreciations and depreciations. 相似文献
88.
The objective of this article is to summarize and review the literature on the determinants of road traffic injuries and fatalities, to identify the relevant research gaps in particular for low and middle income countries. We also present a cross-country analysis of the determinants of road traffic injuries and fatalities that take into account a wide range of potential environmental, economic and social factors. The present study focused on differences based on the level of development. The goal was to identify relevant commonalities that may assist in the creation of road safety policies common to countries at a similar level of development. The countries were divided according to the level of gross national income per capita, and these income-level groups were the primary units of interest. The results presented here focus on the differences by income level. 相似文献
89.
We argue that the pressure MNE subsidiaries face to engage in corrupt practices in their host country varies positively with the institutionalization of corrupt practices in both host and home country environments. We further argue that the relationship between an MNE's home country environment and the pressure it faces in the host country is moderated by its localization strategy. Results suggest a positive relationship between the host country corruption environment and the pressure subsidiaries face to engage in bribery locally. Mixed results emerged concerning MNEs from home countries participating in the OECD Convention for Combating Bribery. Results concerning the impact of the home country corruption environment are best viewed in light of significant moderating effects. When MNEs did not have local partners, firms from less corrupt home countries reported less pressure to engage in corrupt practices locally; however, the presence of local partners eliminated this relationship. Results will help managers understand the pressures their firm is likely to face when operating in corrupt host country environments, and also offer guidance concerning how the firm might reduce its exposure to those local institutional pressures. Copyright © 2010 John Wiley & Sons, Ltd. 相似文献
90.
中国与“一带一路”沿线中东欧国家物流绩效对比分析 总被引:1,自引:0,他引:1
“一带一路”沿线国家间物流合作对“设施联通、贸易畅通”意义重大,如何加强物流合作,需要进行科学决策。世界银行发布的物流绩效指数(LPI)已成为评价各国跨境物流绩效综合水平的工具,利用该工具进行分析研究,可以为跨区域物流合作提供决策参考。中国与“一带一路”沿线中东欧国家的合作是目前最具区域板块价值的合作机制,即“17+1合作”,需要进行系统性的合作机制研究。利用“一带一路”沿线中东欧17国的LPI,通过多维分析,可探索中国加强与中东欧国家之间的跨境物流合作新路径。在验证LPI6个子要素衡量一个国家物流绩效水平合理性的基础上,通过对中东欧17国LPI的平均值、增长率和变异系数进行分析发现,影响中东欧与中国物流绩效的重要因素依次为基础设施水平、物流质量和服务能力、货物追踪性、国际运输能力、海关效率、货物运输时效性。另外,对中东欧17国LPI的6个子要素进行聚类,并对不同群类进行针对性分析。在“一带一路”建设背景下,中国应充分发挥亚洲基础设施投资银行平台和丝绸之路基金的主导优势,提升跨境物流通道设施水平,加快建设“一带一路”自贸区,构建物流大数据信息中心,打造中东欧物流枢纽网络,促进中国与中东欧国家之间的跨境物流、供应链合作。 相似文献