首页 | 本学科首页   官方微博 | 高级检索  
文章检索
  按 检索   检索词:      
出版年份:   被引次数:   他引次数: 提示:输入*表示无穷大
  收费全文   4551篇
  免费   99篇
  国内免费   19篇
财政金融   742篇
工业经济   47篇
计划管理   893篇
经济学   1375篇
综合类   392篇
运输经济   87篇
旅游经济   47篇
贸易经济   422篇
农业经济   170篇
经济概况   494篇
  2024年   3篇
  2023年   35篇
  2022年   107篇
  2021年   166篇
  2020年   196篇
  2019年   152篇
  2018年   118篇
  2017年   149篇
  2016年   193篇
  2015年   130篇
  2014年   231篇
  2013年   274篇
  2012年   408篇
  2011年   543篇
  2010年   321篇
  2009年   291篇
  2008年   300篇
  2007年   320篇
  2006年   253篇
  2005年   170篇
  2004年   77篇
  2003年   64篇
  2002年   34篇
  2001年   30篇
  2000年   19篇
  1999年   9篇
  1998年   9篇
  1997年   12篇
  1996年   2篇
  1995年   2篇
  1994年   3篇
  1993年   5篇
  1992年   5篇
  1991年   3篇
  1990年   4篇
  1989年   2篇
  1988年   3篇
  1987年   2篇
  1986年   1篇
  1985年   5篇
  1984年   15篇
  1983年   1篇
  1981年   1篇
  1978年   1篇
排序方式: 共有4669条查询结果,搜索用时 0 毫秒
1.
The community of statisticians and statistics educators should take responsibility for the evaluation and improvement of software quality from the perspective of education. The paper will develop a perspective, an ideal system of requirements to critically evaluate existing software and to produce future software more adequate both for learning and doing statistics in introductory courses. Different kinds of tools and microworlds are needed. After discussing general requirements for such programs, a prototypical ideal software system will be presented in detail. It will be illustrated how such a system could be used to construct learning environments and to support elementary data analysis with exploratory working style.  相似文献   
2.
MONEY 2000? is a successful consumer education programme that was implemented by Cooperative Extension personnel in over two dozen states of the USA between 1996 and 2002. One of the unique features of this programme is that it was based on the Transtheoretical Model of Change (TTM), a framework that has been widely used to study health‐related behaviour changes such as smoking cessation. This paper first describes how the MONEY 2000? programme was developed around major constructs contained within the TTM. Findings are reported from a survey conducted with participants in the first two states that delivered the programme. The findings suggest that several change processes used by MONEY 2000? participants are associated with specific stages of change. In addition, there may be differences in behavioural changes between participants who increased their savings and those who reduced their debts.  相似文献   
3.
Cross‐docking replaces traditional warehousing, enabling continuous flow of items without storage. Here we model location‐distribution networks, that include cross‐docking facilities, to obtain the latter's impact on the supply chain. We formulate optimization models to minimize total cost in three multi‐echelon networks, each model generalizing the preceding one. The first includes a single manufacturer, one product type, and multiple customers. Cross‐docks are to be located between origin and destinations. Besides solving optimally, a tool for quantitative analysis of direct‐shipment decisions is developed. The second model considers more than one product: We determine a cost‐effective sequence of items for indirect shipment (via cross‐docks). Finally, in a network with multiple origins, optimal solutions are obtained for 40 medium‐sized and larger examples.  相似文献   
4.
费太安 《特区经济》2008,235(8):296-297
面对不断飙升的房价,从理论界到政策层面对其原因都有不同的解读,但从实践结果来看对房价的治理并不理想。本文在综合分析理论研究与国家调控政策的基础上,认为创新措施采取网络型的政府市场供给模式是解决房价过快上涨的有效途径。文章着重对这一模式进行了分析,并认为此举对缓解供需矛盾、解决市场的信息不对称、市场操控、改变预期、稳定房价等都有非常重要的作用。  相似文献   
5.
姚正海 《现代财经》2005,25(10):61-64
业绩评价已成为政府、市场和企业普遍关注的现实问题,指标体系是业绩评价的基础,指标体系构建的好坏直接影响到业绩评价的效果。高技术企业业绩的评价应结合高技术企业的特点,构建财务、产品与技术创新、智力资本开发、价值链流程、可持续发展五个维度的评价指标体系。  相似文献   
6.
This paper will introduce, discuss and illustrate two contemporary extensions of theRasch model: the one parameter logistic model (Verhelst and Glas, 1995) and theMultidimensional Rasch model (Hoijtink et al., 1999). Using data with respect tothe measurement of schizotypy (Vollema and Hoijtink, 2000) the most importantfeatures of both models will be illustrated. For the one parameter logistic modelthese include: a (discrete) discrimination parameter for each item; a test for itembias; and, estimation of the location of a person on the (latent) trait that is beingmeasured. For the multidimensional Rasch model these include: specification ofthe model; and, model selection. All analyses presented in this paper can be executedusing either OPLM (Verhelst et al., 1995), TESTFACT (Wilson et al.,1984) or ConQuest (Wu et al., 1998). At the end of the paper some features ofmodels and software that have not been discussed will be summarized.  相似文献   
7.
Nine macroeconomic variables are forecast in a real-time scenario using a variety of flexible specification, fixed specification, linear, and nonlinear econometric models. All models are allowed to evolve through time, and our analysis focuses on model selection and performance. In the context of real-time forecasts, flexible specification models (including linear autoregressive models with exogenous variables and nonlinear artificial neural networks) appear to offer a useful and viable alternative to less flexible fixed specification linear models for a subset of the economic variables which we examine, particularly at forecast horizons greater than 1-step ahead. We speculate that one reason for this result is that the economy is evolving (rather slowly) over time. This feature cannot easily be captured by fixed specification linear models, however, and manifests itself in the form of evolving coefficient estimates. We also provide additional evidence supporting the claim that models which ‘win’ based on one model selection criterion (say a squared error measure) do not necessarily win when an alternative selection criterion is used (say a confusion rate measure), thus highlighting the importance of the particular cost function which is used by forecasters and ‘end-users’ to evaluate their models. A wide variety of different model selection criteria and statistical tests are used to illustrate our findings.  相似文献   
8.
根据中小企业的特点,提出中小企业在选择供应链合作伙伴时,首先需要选择目标产业,然后在目标产业中选择具体企业作为供应链合作伙伴。分别采用了模糊评价法和层次分析法评价目标产业和选择合作伙伴。  相似文献   
9.
CPA审计质量评价体系研究   总被引:3,自引:0,他引:3  
随着以“安然”、“世通”为代表的国内外一系列的财务造假舞弊案的曝光,CPA的审计质量也成为社会各界关注的焦点,人们对CPA的审计质量、甚至CPA行业的信誉和存在的必要都提出了质疑。本文对社会关注的焦点——CPA审计质量进行研究,运用规范研究的方法,对影响我国CPA审计质量的诸因素进行分析,从被审计单位、事务所、CPA、审计收费、审计过程等方面展开分析,并构建了针对CPA审计质量进行评价和衡量的体系,以量化的方式来反映审计质量,并就这一提出了自己的观点和看法。  相似文献   
10.
杨海维  侯成琪 《金融研究》2023,511(1):57-74
宽松的货币政策会通过估值、收入和现金流机制,追逐收益机制以及中央银行沟通和反应机制等渠道增加银行风险承担,通过风险转移机制降低银行风险承担,从而导致货币政策与银行风险承担之间可能存在复杂的非线性关系。本文使用面板阈值模型,基于我国银行业数据研究了货币政策对银行风险承担的影响,发现我国货币政策对银行风险承担的影响存在门限效应,即货币政策对银行风险承担的影响取决于货币政策基准利率偏离泰勒规则利率的程度。当这种偏离小于门限值时,宽松货币政策会增加银行风险承担;当这种偏离大于门限值时,宽松货币政策会降低银行风险承担。本文研究对更好地理解我国货币政策对银行风险承担及金融稳定的影响有一定参考意义。  相似文献   
设为首页 | 免责声明 | 关于勤云 | 加入收藏

Copyright©北京勤云科技发展有限公司  京ICP备09084417号