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851.
This paper proposes a novel method to analyze multidimensional poverty by using a large set of feasible weights to summarize the information about the poor, which enables remaining agnostic about the relative importance given to different poverty dimensions. This method allows for the calculation of the individual probability of being poor in a multidimensional perspective. The distribution of individual probabilities can then be combined with Generalized Lorenz dominance techniques to derive unanimous consent for a wide class of social welfare functions with a minimum load of value judgments. The innovations proposed here allow to move from a dual definition of poverty, where poor and non-poor individuals are classified in a mutually exclusive context, to a continuous measure of deprivation capturing both the extensive and intensive margin of multidimensional poverty. The empirical application of the method consists of measuring multidimensional poverty in ten selected countries using four waves of EU-SILC data (2008–2014). 相似文献
852.
Shiva Rajgopal 《European Financial Management》2022,28(1):3-58
I ask whether European firms' investments in stakeholder welfare come at the cost of lower shareholder value. Focusing on the largest 50 public firms in four European countries, I find a valuation discount in the Tobin's Q of continental European firms relative to matched US firms. The valuation discount is correlated with presence of large block holders in European firms but not with the poorer disclosure record of US firms on the environmental (E) and social (S) dimensions. In sum, poorer governance (G) in continental Europe appears to destroy more shareholder value than better E and S disclosure can add. 相似文献
853.
《Economic Systems》2022,46(3):100998
CDM (Crépon, Duguet and Mairesse, 1988) is a workhorse model in the economics of innovation, which explains productivity in a three-stage procedure driven initially by R&D and leads to patents and then to productivity improvements. Based on the logic of this model, an increasing number of papers applies it to emerging economies but modifies the original model without being explicit about the nature and implications of this modification. We argue in this paper that, in its original form, CDM does not capture stylized facts of the determinants of productivity in emerging economies and that we need alternative models. Accordingly, we are critical of papers that try to maintain the validity of the model but actually change it. For that purpose, we test the original CDM model and its two alternatives: investment and production capability–driven models. Our research is based on a large sample of firms in Central and Eastern Europe, former Soviet republics and Turkey, and we show that the alternative models are much closer to the stylized facts of innovation activities and technology upgrading in these and other emerging economies. Our conclusions have important policy implications, which we discuss. 相似文献
854.
《Socio》2023
The present study postulates distinctive land-use dynamics along the economic cycle, and tests against diverging trends over time of urban and non-urban land-uses with characteristic economic potential. Short-term land-use changes over seven time windows encompassing the last three decades (1992–2020) were investigated in metropolitan Athens (Greece), a mono-centric region experiencing complex economic downturns. Based on diachronic land-use maps with homogeneous spatial resolution and nomenclature derived from ESA Climate Change Initiative (ESA-CCI), a change detection analysis was run considering mean patch size, distance from downtown, and specific entropy-based metrics of landscape diversification (Shannon-Wiener H’ diversity index and Pielou J evenness index). Results of a canonical correlation analysis document differential intensity and spatial direction of change during expansions and recessions associated with distinctive socio-demographic profiles. Metropolitan growth followed a radio-centric (land-saving) model during economic expansions with intense urbanization of fringe land. A more dispersed settlement model – reflecting urban sprawl – was associated with economic stagnations, involving land at progressively distant locations from downtown. Landscape diversification was higher under stagnations and lower during expansions. 相似文献
855.
《Telecommunications Policy》2022,46(4):102286
This paper offers a detailed analysis of selected regulatory parameters used as instruments to promote efficiency with fairness for all stakeholders (in the legal sense of equity) in 5G spectrum auctions. Data were collected from sixteen auctions for the C-band that took place in the Member States of the European Union (EU) and in the United Kingdom (UK) between 2017 and 2020 for the introduction of the fifth generation (5G) of mobile communication technology. The selected instruments of intervention are: spectrum packaging, spectrum caps, set-asides, geographical scope of the license, license duration, various forms of license obligations, reserve prices and auction format.Significant differences were observed in national approaches to spectrum packaging, license obligations and reserve prices for efficiency purposes. Our analysis also shows that European national regulators are paying increasing attention to concerns over fairness of decisions on spectrum, or equity, especially by creating opportunities for local private networks to access the spectrum and by imposing requirements on network operators to guarantee more uniform population coverage of newly created 5G networks. 相似文献
856.
中东欧国家未来的经济发展在很大程度上将取决于能否有效利用数字化带来的机遇,实现经济的数字化转型。中东欧国家除爱沙尼亚之外,其经济的数字化水平均落后于欧盟老成员国。中东欧国家工业化离不开数字化。近年来,中东欧国家高度重视工业4.0,通过了工业4.0战略或倡议,希望实现工业的数字化,提升各自国家工业的竞争力,避免成为第四次工业革命的落伍者。数字化能否成为中东欧国家的增长引擎非常值得关注。 相似文献
857.
Antonella D’agostino Giovanni De Luca Dominique Guégan 《Review of Income and Wealth》2023,69(2):419-442
This article provides an innovative method for measuring the dependence between pairs of poverty dimensions using a semiparametric copula approach that permits us to account for the importance of extreme low values. The association between pairs of poverty dimensions at the lower tail is easily measured using the parameter estimates of the specified parametric copula, and no further calculations are needed. This approach is used to measure the bivariate lower tail dependence between the dimensions of the AROPE rate in Europe at two time points (2009 and 2018). The findings reveal a statistically significant increase in the lower tail dependence between 2009 and 2018 in several European countries. 相似文献
858.
Antonio Somoza 《Business Strategy and the Environment》2023,32(1):462-483
The assurance of sustainability information by small and medium-sized entities (SMEs) has not attracted much research interest to date. To rectify this, we draw on a sample of European firms (from the EU, the United Kingdom and Norway) extracted from the Global Reporting Initiative (GRI) database and explore the disclosure variable in relation to country-specific factors. Assurance rates are found to be low among SMEs, and moreover, the level of disclosure is limited. The assurance market is dominated by accounting firms, above all by the Big Four. Legal origin is found to be a highly relevant factor, with Scandinavian countries presenting the highest percentage rates of sustainability report assurance. Among the cultural variables analysed, power distance, masculinity and uncertainty avoidance have a significant negative impact on the decision to assure sustainability information. Overall, the study serves to enhance understanding of SME practices in different countries of origin. 相似文献