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991.
Modelling regime shift behaviour in Asian real interest rates   总被引:1,自引:0,他引:1  
In this paper we investigate whether real interest rates for a number of Asian economies are constant but subject to occasional jumps using the Markov switching technique. We find evidence that all six rates under consideration have generally been stable, only shifting in response to either international or country-specific shocks.  相似文献   
992.
It is widely acknowledged that while technical regulations can improve welfare and facilitate markets, they can also impede trade. The trade impeding effects of technical regulations are especially worrisome for developing countries: they frequently lack the human and capital resources necessary to satisfy technical measures, and thus are more likely to be excluded from markets by technical measures. This paper uses highly disaggregated US data on agricultural, mining and manufacturing imports to examine the impact of technical regulations on trade patterns. Using instrumental variables estimation to correct for the potential endogeneity of technical regulations, the analysis suggests that technical regulations substantially impinge on poor countries' exports: their weaker capacities to satisfy technical regulations lead them to specialize away from industries with heavier regulatory burdens.  相似文献   
993.
994.
Food safety issues and fresh food product exports from LDCs   总被引:6,自引:0,他引:6  
Fresh food products have a high income elasticity of demand and few traditional trade barriers in high income markets. As such, they represent an important opportunity for less developed country (LDC) exporters. Fresh food product exports account for half of all food and agricultural exports from LDCs to high income countries. But these products may be subject to greater food safety risks and potential trade barriers arising from sanitary regulation. This paper reviews the challenges and issues facing LDCs in meeting food safety standards for export. These issues include: (a) the importance of fresh food product trade by region and the kinds of issues that arise from those products; (b) the role of farm to table approaches and hazard analysis critical control points (HACCP) in ensuring safety; (c) the role of the public sector in LDCs in facilitating trade; (d) the potential role of the SPS Agreement in resolving disputes and determining equivalency of standards between high and low income countries.  相似文献   
995.
This paper assesses the recent changes in rural employment in the OECD countries, highlighting the growing role of employment in services and, in some cases, manufacturing activity. In many, but not all, rural areas the secular decline in agricultural employment has been more than counterbalanced by growing employment in these other sectors. However, the diversity of employment growth within and between rural areas is stressed, as are the implications of this diversity for policy. A range of explanations for the relative economic success of some rural areas is explored. These include the impacts of globalisation; restructuring of the labour market; new‘consumption’ demands on the rural areas; and human mobility. The paper concludes that traditional theories do not explain the diversity of outcomes in rural areas. New approaches are needed. Recent analyses under the banner of‘the new economic geography’ has advanced our understanding of the pre‐conditions for rural development to occur, but understanding the diverse pattern of rural employment outcomes within the same kind of geography remains a challenge which needs to be addressed by inter‐disciplinary approaches and methods.  相似文献   
996.
This study compares the performance of the widely used risk measure, value at risk (VaR), across a large sample of developed and emerging countries. The performance of VaR is assessed using both the unconditional and conditional tests of Kupiec and Christoffersen, respectively, as well as the quadratic loss function. The results indicate that VaR performs much more poorly when measuring the risk of developed countries than of emerging ones. One possible reason might be the deeper initial impact of the global financial crisis on developed countries. The results also provide evidence of the decoupling of the market risk of emerging and developed countries during the global financial crisis.  相似文献   
997.
998.
Most global energy models are developed by institutes from developed countries, focusing primarily on issues that are important in industrialized countries. Evaluation of the results for Asia of the IPCC/SRES models shows that broad concepts of energy and development, the energy ladder and the environmental Kuznets curve, can be observed in the results of the models. However, improvements can be made in modeling the issues that underlie these concepts, like traditional fuels, electrification, economic structural change, income distribution, and informal economies. Given the rapidly growing importance of energy trajectories of developing countries for global sustainability, the challenge for the future is to develop energy models that include all these aspects of energy and development.  相似文献   
999.
本文通过整理西双版纳州国家级自然保护区尚舅管理所多年的内部资料.了解亚洲泉(Elaphas maximus)和其他野生动物在周边村寨附近活动的情况,并使用“双8”技术即G18地理信息系统和GP8全球卫星定位系统进行分析,了解和掌握亚洲象活动分布及时问。由此对人与亚洲泉等野生动物冲宪的现状度其原因进行了讨论,并提出了管理对策。  相似文献   
1000.
This paper investigates whether changes in U.S. and Japanese banks’ risk aversion, measured by changes in the relative risk aversion (RRA) coefficient, are associated with the 1997 Asian financial crisis. It finds that an increase in U.S. banks’ risk aversion is unambiguously associated with the Asian crisis, while an increase in Japanese banks’ risk aversion is only weakly associated. The results suggest that, in addition to deteriorating fundamentals of the affected countries, investors’ (banks’) increased risk aversion appears to have reinforced observed capital outflows.  相似文献   
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