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151.
This paper focuses on an emissions permit market dominated by one firm and with a government concerned about social efficiency and permits revenue. In this setting, it is shown that the dominant firm's market power reduces the opportunities for the government to raise non-distortionary revenue from permits without loss of consumer surplus. Since the government's objectives are thus hampered in auctioning permits, the dominant firm should be excluded from the auction. Specifically, the regulator should sell permits directly, through bilateral negotiation, to the dominant firm, and auction off the remaining permits to the fringe firms.  相似文献   
152.
韩松 《经济研究导刊》2009,(30):112-114
粮食应急供应链的主要功能是为应对自然灾害和突发事件提供有力的粮食物资保证。河南省是中国重要的粮食主产区之一,在保障国家安全方面具有不可替代的特殊地位,这必然要建立、健全粮食应急供应链。研究粮食应急供应链体系的建设问题,对于提高政府危机管理的水平,增强应对自然灾害和突发事件的能力,具有重要而深远的意义。  相似文献   
153.
文章根据江西省提出的建设"鄱阳湖生态经济区"的战略构想,结合鄱阳湖生态经济区的区位、资源、产业等优势,对所依托的可持续理论、系统工程理论、增长极理论、创新理论、产业群理论进行深入分析,以期凸显科学理论的指导作用,为推动鄱阳湖生态经济区的规划、建设提供有力的决策参考。  相似文献   
154.
This study examines the sources of labor productivity growth dynamics in Japan (1970–2010) and investigates the extent to which Japanese economic performance has been affected by Baumol's growth disease (BGD). We find that BGD silently undermines Japanese economic growth. However, the magnitude is miniscule, and consequently the aggregate labor productivity growth rate has not been decreasing monotonically. We also explore how BGD is arising and why it is small in the Japanese economy. BGD is weak because (1) the positive Baumol growth effect is also working in certain services sectors and (2) BGD is not a durable phenomenon: even if a sector begins to suffer from BGD, it is likely to recover quickly.  相似文献   
155.
印浩  田贵良  钱晓燕 《技术经济》2019,38(11):109-116
本文构建了一个两部门DSGE模型,同时考虑了创新扩散的一般规律(“S型扩散”)与企业绿色技术创新扩散的独特作用(节能作用和减排作用)。基于人口老龄化的预测,模拟随着企业绿色技术创新扩散的波动,经济系统所做出的响应。结果表明:经济变量对于企业绿色技术创新扩散的波动呈现出不同的响应路径,其中资本存量的响应具有滞后性;资本报酬率为首的相关经济变量对于正向冲击的响应出现了“翘尾效应”。最后,本文给出了稳定、正向引导市场预期和在资本市场采取预调机制的政策建议。  相似文献   
156.
In the recent decade, there has been observed across the Central and Eastern European states the regulatory trend towards the increase of the non-financial (first) pension pillar size at the expense of the financial (second) pillar. It tends to question the consequences of this shift for the future retirement benefits. Applying the portfolio approach we address this issue by running a series of simulations to find out how to allocate pension contributions between both pillars in an optimal way. Our study contributes to the existing literature as follows. First, we do not perform the assessment of the predetermined regulatory solutions, but we look for an optimal one. Moreover, we allow our optimal rule to be time-varying, if necessary, which would be a true novelty in this research area. Second, we do not base our estimates on historical trends; rather, we apply the long-term economy’s projection to account for the society’s ageing impact, which is a crucially important factor for the solvency of the pension system. Adapting some of the simulation assumptions to fit the Polish case, our results confirm that current regulations underestimate the role of the capital pillar and the optimal allocation between both pillars should be time-varying.  相似文献   
157.
This paper examines the impact of economic policy uncertainty on firm-level capital investment, by not only delving into the long-term investment-uncertainty relation like previous studies, but also analyzing the short-term investment-uncertainty relation for the U.S. market. The empirical investigations show that firms decrease short-term, long-term, and total firm investments when encountering higher economic policy uncertainties. The research also explores the non-linear investment-uncertainty relation based on various theories. Our findings present a U-shaped relationship between short-term, long-term, and total investments and uncertainties. Policy implications are provided from our empirical results.  相似文献   
158.
Even when the neoliberal ideology of the free market was more dominant than it now is, the state was involved in economic activities that could be undertaken by private firms. State capitalism takes increasingly diverse forms, including beyond direct, partial or even indirect ownership. This paper briefly reviews some of these forms without claiming to be exhaustive as the shape state capitalism takes differs widely across the institutionalized contexts of countries. We assess state capitalism using Polanyi’s double movement framework and argue that this framework needs adaptation to novel forms of state capitalism that include, e.g., state-owned multinationals and sovereign wealth funds.  相似文献   
159.
声誉效应可以缓解代理冲突并抑制过度投资,但其效果却随任期期限临近而衰退。本文理论分析了企业过度投资与经理任期之间的U型关系。以中国A股上市公司为样本,运用门限自回归实证模型,进行实证分析。本文研究发现:作为声誉效应的代理变量,经理任期对过度投资的影响呈U型。在经理任期达到特定门限值42个月之前,经理任期与过度投资呈负相关关系。在门限值之后,声誉效应逐渐失去作用,随着经理任期的增加,过度投资程度提高。  相似文献   
160.
This paper explores the relationship between globalization and party positions accounting for potential differences between left- and right-wing parties. The analysis is based on a panel model of 36 political parties in 18 Western European countries between 1970 and 2015. We find that right-wing parties move leftward in response to globalization, while left-wing parties do not alter their position. Additionally, we find that ideological party positions are affected by foreign parties’ positions of the same ideological bloc. These findings indicate that there is a convergence towards the left of the political spectrum due to right-wing party moderation.  相似文献   
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