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931.
当前我国正处于改革开放深入发展的社会转型时期,各种矛盾和问题冲击着大学生的信仰。大学生出现了信仰危机,特别是道德信仰的危机。社会转型时期的环境、教育的薄弱以及大学生自身的缺陷共同导致了大学生道德信仰危机。文章认为应当从实践和教育两方面共同努力,去化解大学生道德信仰危机。  相似文献   
932.
This essay calls for a systematic investigation of the financial‐economic crisis as a source of new urban governance rationalities across Europe. We propose combining an understanding of neoliberalization as a variegated social phenomenon with a cultural political economy approach sensitive to the discursive dimension of variegation and the evolutionary mechanisms through which discursive variation is translated into geo‐institutional differentiation. We illustrate how this theoretical framework may help to analyse the impact of the crisis on urban governmental rationalities. Rather than offering a complete cultural political economy account of the responses of European cities to the financial‐economic crisis, we analyse how the crisis and the responses to it have been represented in discourses on urban policies and development by focusing on two discursive sites that are of strategic importance, namely OECD LEED and URBACT. Our preliminary findings suggest a re‐assemblage of existing discourses rather than the emergence of a new post‐neoliberal urban government rationality.  相似文献   
933.
This article extends the previous literature on the Tobin tax. We find that very roughly, a doubling in transaction costs would reduce trading volume by 25% to 40% in the Forex. Most importantly, this article is the first contribution to specify the trading volume of the Forex through different (low and high volatility) regimes. Our results show evidence of nonlinear patterns for trading volumes and transaction costs on the Forex. Thus, the Tobin tax would not have a monotonic impact on trading activity across market conditions. The change in elasticity between low and high volatility regimes would be slight but significantly different. We may suggest that the high-variance regime might be the fundamentalist regime and the low-variance regime might be the chartist regime. It is a first step towards understanding which categories of agents would react to the introduction of a tax. Our results seem consistent with Tobin’s underlying thinking; since a tax would penalize chartists more than fundamentalists, it could reduce exchange rate volatility.  相似文献   
934.
This study empirically identifies the impact of various macroeconomic factors on the default risk premium. Using monthly data for the period 1970–2010 for the US, our estimations indicate that the monetary policy aggregates, risk-free interest rate, term structure of interest rates, inflation, and the state of the business cycle influence the risk premium. The results also provide some evidence in support of the hypothesis that the development of information technology has had a decreasing impact on the risk premium. As expected, various financial crises have had substantial and long-lasting effects on the premium. The results suggest that the direct impact of the subprime crisis and Lehman’s collapse on the risk premium was as large as two and a half percentage-points for a sustainable period. Foreign financial crises, in turn, have lowered the risk premium in the US market, suggesting a flight-to-safety phenomenon.  相似文献   
935.
Development economics was the study of how to create the plumbing that would allow developing economies to become developed. The financial crisis leads us to question whether industrialized countries have the plumbing problem solved and thus leads us to question whether we need a development economics that is separate from macroeconomics. Indeed, it even leads us to question whether development economics should take as its goal the creation of the institutional plumbing that industrialized countries currently have. The consequence will be a blending of concerns that have been central in developing economies with the standard macro models. The blending can be seen as either the death of development economics or the hegemony of development economics.  相似文献   
936.
企业信用危机预警系统包括企业信用危机信息收集、信息加工、防范、警报等子系统。信用危机预警根据设置的指标体系进行量化综合考量后进行预警决策。  相似文献   
937.
近年来,随着我国社会经济的迅猛发展,突发危机事件的发生率也在上升。如何处置突发危机事件?成为各级公安机关领导面对的紧迫课题。在此,笔者对突发危机事件的特征及如何处置突发事件进行论析,以求起到抛砖引玉之效。本文论述了突发危机事件的特征及其产生的原因,并指出了应对突发危机事件的策略和技巧,对提高公安领导处置突发危机事件的能力有所裨益。  相似文献   
938.
This paper examines the ability of auditing regulation to protect bank shareholders’ wealth during the time of normal growth and during the 2007–2009 global financial crises. The study uses the bank regulation database available at the World Bank website. We select a sample of 2467 banks from 107 countries for the years 1999–2009. We perform multivariate regression analyses and find that while auditing regulations enhance bank equity prices in normal growth periods, there is no evidence that auditing regulations are associated with bank share prices during the period of financial crisis. We observe similar results for both developed and emerging countries and for the common and code law countries. Our results suggest an immediate need to strengthen audit regulations so that investor confidence is more likely to persist during periods of financial downturn.  相似文献   
939.
Abstract

This paper describes the events of 2001 in South West England and explores their wider messages for the management of tourism in the region. The year 2001 was an annus horribilis for the region, witnessing as it did, first of all, an outbreak of Foot and Mouth Disease (FMD) and later, as the region began to emerge from its first crisis, the unfolding events of 09/11. This sequence of events is used as a lens through which to inspect the interaction of three sets of obviously overlapping tourism management approaches. This fusion reveals that important contradictions and tensions exist between the claims, assumptions and practices of contemporary tourism governance. A more strategic approach to the concept of risk is required in the UK tourist “industry” since the prevailing principles and imperatives of tourism governance may have frustrated the response to events in 2001.  相似文献   
940.
ABSTRACT

ICT-intensive firms are often found to have a better performance than their non-ICT-intensive counterparts. Along with investing in ICT capital they have to adapt their production and business processes in order to reap the potentials implied by the use of ICT. Are these firms also more resilient in times of crisis? We study this question by exploiting a novel and unique data set from the Micro Moments Database. Covering 12 countries, 7 industries and the period from 2001 to 2010, the data allow us to distinguish between ICT-intensive and non-ICT-intensive firms within industries. We find evidence that indeed during the crisis in 2008 and 2009, ICT-intensive firms were hit less hard with respect to their productivity. This holds in particular for firms from service industries. Moreover, ICT-intensive firms were also more successful in introducing process innovations during that period which could explain their better productivity performance compared to non-ICT intensive firms.  相似文献   
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