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101.
本文简要回顾了小额信贷在中国的发展历程,指出小额信贷在我国发展缓慢的现实,分析了阻碍小额信贷发展的问题,并提出了相应的对策建议。  相似文献   
102.
在构建了适合中国国情的房地产价格与汇率关系模型的基础上,利用该模型并结合2000年第三季度至2008年第二季度的最新数据,对中国35个城市房地产价格与汇率的关系进行实证研究。研究结果显示,汇率对房地产价格有负影响,这与理论和当前实际情况都比较相符,说明人民币汇率已能发挥一定经济调节的功能。  相似文献   
103.
在合作网络中,网络结构特性对企业的创新活动有很大影响。利用仿真建模论证了全球生产网络具有明显的无标度性,在此基础上分析了网络结构对企业创新战略选取的影响,并从创新积极性和知识可获得性两个维度出发,讨论了网络中不同企业多样化的创新要求和创新战略选取。  相似文献   
104.
通过引入三种均值方差都可能不同的区制,并基于改进的马尔科夫区制转换模型对1989年2月至2010年4月中国真实利率演变的考察,结果表明不同阶段的真实利率的确存在不同的均值和方差;考虑到区制转换特征之后,真实利率大体平稳,有均值回复趋势。而以往的应用中,忽略了这种区制转换特征可能导致对真实利率预测值的系统性偏差。  相似文献   
105.
In this paper we study market environments where information is costly to acquire and is also useful to potential competitors. Agents may sell, or buy, reports over the information acquired and choose their trades in the market on the basis of what they learnt. Reports are unverifiable – cheap talk messages – hence the quality of the information transmitted depends on the conflicts of interest faced by the senders. We find that, when information has a prevalent horizontal differentiation component, in equilibrium information is acquired when its costs are not too high and in that case it is also sold, though reports are typically noisy. The market for information is in most cases a monopoly, and there is underinvestment in information acquisition. We also show that regulatory interventions, in the form of firewalls, only make the inefficiency worse. Efficiency can be attained with a monopolist selling differentiated information, provided entry is blocked.  相似文献   
106.
We propose two characteristics of beliefs and study their role in shaping the set of rationalizable strategy profiles in games with incomplete information. The first characteristic, type-sensitivity, is related to how informative a player thinks his type is. The second characteristic, optimism, is related to how “favorable” a player expects the outcome of the game to be. The paper has two main results: the first result provides an upper bound on the size of the set of rationalizable strategy profiles; the second gives a lower bound on the change of location of this set. These bounds are explicit expressions that involve type-sensitivity, optimism, and payoff characteristics. Our results generalize and clarify the well-known uniqueness result of global games (Carlsson and van Damme, 1993). They also imply new uniqueness results and allow us to study rationalizability in new environments. We provide applications to supermodular mechanism design (Mathevet, 2010b) and information processing errors.  相似文献   
107.
房地产还原利率的构成与测算   总被引:7,自引:0,他引:7  
从分析投资的风险补偿入手,提出了房地产还原利率的构成和测算公式,同时指出了构成房地产还原利率的银行利率应是复利计算方式下,相应年期的利率,然后探讨了房地产还原利率各构成部分的测算过程,并以中国房地产市场个人住房抵押贷款市场为例,给出了不同收益年限的房地产还原利率参考数据。  相似文献   
108.
随着旅游业的发展,生态旅游认证特别是绿色环球21认证的作用越来越重要。文章概述了绿色环球21认证的基本情况,分析了我国实施绿色环球21认证的现状及存在的问题,总结了我国企业实施绿色环球21认证的效果,针对我国绿色环球21认证制度的建设提出了相应对策。  相似文献   
109.
This study seeks to test for inflation persistence in Nigeria using the recently developed fractional cointegration VAR model by Johansen and Nielsen (2012) and complemented with univariate fractional integration techniques. The empirical results suggest evidence of high inflation persistence in Nigeria albeit with a lower trend after the global financial crisis. Also, the major classes of inflation – headline, core and food inflation rates, share long run properties regardless of the sample used. This suggests that any policy action directed at a particular class of inflation will have a spill-over effect on the other classes given the strong association among them. The ability to also exploit the fractional cointegration in a multivariate set-up when modeling inflation is a major contribution of this study and ignoring same may lead to wrong conclusions. However, the results are sensitive to the choice of data frequency.  相似文献   
110.
Previous studies have investigated asymmetries in the effects of monetary policy on the real economic activity by using either vector autoregressive (VAR)-based regime-switching models with smooth transition technique or Gaussian functions to parameterise the dynamic effects of structural shocks on the economy. These kinds of VAR models assume asymmetry as a short-run relationship between the series since the long-run neutrality hypothesis of money states that monetary policy can only affect productive capacity of the economy in the short run, but not in the long run. The recent theoretical literature shows that this hypothesis is not quite right. Thus, this paper examines the extent to which monetary policy has a long-run asymmetric effect on output in a number of Organisation for Economic Co-operation and Development countries by using a nonlinear hidden cointegration analysis within a likelihood-based panel framework. The findings indicate that there is a long-run relationship between the real interest rate as an indicator of monetary policy and the growth rate of real output in five countries out of nine under review. This gives support for the view that output has responded asymmetrically to the real interest rate changes. The economic implication of our results is that monetary policy affects positive and negative output fluctuations differently.  相似文献   
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