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111.
China's Regional Disparity and Its Policy Responses 总被引:3,自引:1,他引:2
Minjia Chen Yongnian Zheng 《中国与世界经济(英文版)》2008,16(4):16-32
The fruits of China's rapid economic development over the 3 decades have not been distributed fairly across different regions. Using data from a sample of 815 Chinese listed firrns during 1998-2004, our error-correction investment model showes evidence of different financial constraints on firms' investment in different regions. We argue that China's regional development policies have contributed greatly to the regional inequalities. To control the rising inequality, China has shifted its focus from the coast to the interior regions. However, it is becoming increasingly difficult for the government to direct the economy, as market mechanisms now have afar greater influence on the economy than the government does. The people-centered approach of the current leadership has meant that substantial attention has been placed on regional development disparities in an attempt to build a "harmonious society. " China needs further extensive reforms if all the measures for reducing regional disparity are to be effective. 相似文献
112.
股权结构是公司治理结构的基础,其设置状况是否合理对公司治理结构的效率有着决定性的影响.文章针对当前上市公司股权治理的弊端,设计出一种股权持有者多元化、股权集中程度分散化的股权结构,并提出我国上市公司应建立以法人股东为主导的治理模式. 相似文献
113.
This paper utilizes a Ricardian model to test the relationship between annual net revenues and climate across Israeli farms. The study finds that it is important to include the amount of irrigation water available to each farm in order to measure the response of farms to climate. With irrigation water omitted, the model predicts climate change is strictly beneficial. However, with water included, the model predicts that only modest climate changes are beneficial while drastic climate change in the long run will be harmful. Using the AOGCM Scenarios we show that farm net revenue is expected to increase. Although Israel has a relatively warm climate a mild increase in temperature is beneficial due to the ability to supply international markets with farm product early in the season. 相似文献
114.
王艳平 《桂林旅游高等专科学校学报》2008,(5):157-161
针对旅游者对将要访问的城市比较陌生、选择旅游对象物时出现茫然的现象,为了更好地服务于旅游者,基于旅游行政管理的立场,提出了城市旅游标志物概念,认为其核心成员的确定需要基于遗产性、规模性、便捷性和公益性4个原则,并给出了核心成员、支持成员和外围成员的认知结构。 相似文献
115.
加拿大银行业具有健全的风险管理体系与机制、制度与流程、计量工具与技术以及不良资产处置方式。在开放经济条件下,借鉴加拿大银行业成熟的风险管理经验,对加快我国商业银行风险管理体系建设,推行全面风险管理有着重要的理论和现实意义。 相似文献
116.
基于协整分析的东北区域产业结构优化与金融支持关系研究 总被引:1,自引:0,他引:1
基于1978—2003年的统计数据,采用协整关系检验法和格兰杰(Granger)因果检验法对东北地区金融发展与产业结构优化之间的关系进行了实证检验。分析结果表明东北区域产业结构优化与金融发展之间存在长期动态均衡关系及单向因果关系,即金融发展对东北区域产业结构优化具有支持作用,从而为政府经济决策提供了政策依据。 相似文献
117.
In horticultural markets, trade barriers often apply to the processed products whereas domestic support applies to farm-produced raw commodities. Here we assess the effects of such trade barriers and domestic support by simulating the effects of policy reform on global processing tomato markets, which are faced with modest processed product tariffs and high domestic support in the European Union (EU). Both protection and EU subsidy drive down world welfare, but we find that reducing import tariffs for tomato products would yield greater effects on markets and larger welfare impacts outside Europe than would reductions in EU domestic support. 相似文献
118.
LV Zhan-feng ZHOU Yi-fan ZHANG Zhong-jun 《美中经济评论(英文版)》2008,7(3):16-21
In modem enterprises, a separation of the right of ownership and management results in asymmetric information problems between stockholders and managers. In conditions of principal-agency relationship, the game behaviors between principle and agency within enterprises are impacted by asymmetric information. This study discusses the game behaviors between stockholders and managers by using information economic theories from the perspective of asymmetric information. Based on the model of the principal-agency relationship between stockholders and managers, our research uses quantitative analysis to reveal how to achieve maximum profit expected of stockholders through an incomplete contract, under asymmetric information condition. 相似文献
119.
蒙代尔-弗莱明模型在发展中大国的适用与延伸 总被引:1,自引:0,他引:1
M-F模型是开放经济宏观经济学的基本模型,其存在的缺陷和局限是理论拓展的主要方向。本文对M-F模型的前提假定和分析过程作出了放松和修正,使其适用于发展中大国的情形。并在M-F模型的货币政策效应分析基础上,提出M-F模型在发展中大国的延伸分析方法,即Semi-M-F模型分析方法,指出发展中大国的货币政策是部分起作用的。最后,对Semi-M-F模型分析方法在中国的应用进行评述。 相似文献
120.
This paper investigates the responses of market interest rates to US monetary policy announcements for the US and two emerging economies, Hong Kong and Singapore which are similar on many respects but have experienced opposite exchange rate regimes in the last twenty years. Our results, based on market expectations extracted from federal fund futures rates, document that FOMC announcements significantly affect the term structure of interest rate in the US and both Asian countries. Further, international interest rate differentials around FOMC meeting dates tend to be negative for short maturities with the impact gradually dissipating as bond maturity increases. Finally, for the case of Singapore, we find that domestic interest rates react to both external and domestic monetary policy announcements with a magnitude that is larger over the full bond maturity spectrum for domestic announcements. These results are robust to time-varying futures risk premia and alternative measures of interest rates expectations. 相似文献