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301.
Alexandre Garel 《Journal of Business Finance & Accounting》2017,44(9-10):1194-1213
This paper develops a firm‐level measure of myopic market pricing, which captures the extent to which the market overvalues short‐term expected abnormal earnings relative to longer‐term ones. The empirical analysis shows that myopically priced firms manage earnings more actively and invest less in R&D. The impact of myopic market pricing is concentrated in firms where managers cater more to market pricing, that is, in firms with greater short‐term investor ownership, with CEO compensation that is more sensitive to the firm share price, and with higher equity dependence. Additional tests show that these findings are robust to the consideration of market (under)overpricing. The results suggest that when managers cater to market pricing, market myopia encourages managerial myopia. 相似文献
302.
在介绍经济民族主义起源与思想本质的基础上,阐述了金融危机下经济民族主义的三种主要手段:保护贸易、保护资金、保护就业。在对经济民族主义展开理性分析的同时,结合金融危机下国际经济民族主义现状提出了我国的应对建议。 相似文献
303.
Alexandros Kontonikas Alexandros Kostakis 《Journal of Business Finance & Accounting》2013,40(7-8):1009-1042
This study utilizes a macro‐based VAR framework to investigate whether stock portfolios formed on the basis of their value, size and past performance characteristics are affected in a different manner by unexpected US monetary policy actions during the period 1967–2007. Full sample results show that value, small capitalization and past loser stocks are more exposed to monetary policy shocks compared with growth, big capitalization and past winner stocks. Sub‐sample analysis, motivated by variation in the realized premia and parameter instability, reveals that the impact of monetary policy shocks on these portfolios is significant and pronounced only during the pre‐1983 period. 相似文献
304.
Richard Holt Dr Angela Phelps Professor Barrie Houlihan Lincoln Allison Dr David Muggleton Neels van Heerden 《Leisure Studies》2013,32(1):59-62
Abstract This article examines the cultural field of fitness as a network of producers, consumers, products and practices that has developed around the care of the body through physical exercise. Drawing on a thematic text analysis of US exercise manuals, the paper focuses on how the commercial fitness field naturalizes associations between physical exercise and leisure, and between leisure and self‐work. In particular, the analysis examines three themes and their relevance to our broader understanding of leisure in contemporary consumer society: the management of leisure time; the use of leisure for self‐investment strategies; and the promotion of consumption as the framework for leisure and an accompanying notion of pleasure. The fitness field casts light on how leisure more generally is constructed as a sphere of obligations to make productive use of one’s time, to improve one’s body and self, and to do so through the wares of the consumer marketplace. The cultural imaginary of leisure as a time of freedom from work and responsibility is thus recast, in an age of individualization, as a time of freedom to accomplish the work of self‐production. 相似文献
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307.
This paper adds to the literatures on socially responsible investment (SRI), investment management, regulation of financial services and social accounting by providing a comprehensive survey of investment methods used in SRI products and regulated social reporting in financial services. Australian and New Zealand regulations require issuers of self‐declarative SRI products to provide details on methods used in portfolio construction. Regulators' objectives to standardize the reporting of portfolio construction and thus improve its comparability were identified by examination of parliamentary debates and other public reports. Portfolio construction styles of 86 SRI products managed by 63 financial institutions in Australia and New Zealand were chosen for analysis. Statistical analysis was conducted to identify associations between styles, construction methods and assessment techniques over a four‐year period: 2004–2007. These aspects were further examined in 18 case studies. Over the period, diversity and intensity of construction methods had increased both within and between investment managers. The non‐standard nature of management consultation used in SRI products, marketing needs to distinguish rather than standardize investment methods and the types of information thought relevant to clients did not reconcile easily with the types of information required by regulation. The more recent products in the sample tended to reference market indexes in portfolio construction, separate social considerations from financial considerations and delegate qualitative assessments of invested companies. Consumer policy implications arise from questions bearing on the integrity of information attached to investment products and the effective monitoring of delegated investment processes. Copyright © 2008 John Wiley & Sons, Ltd and ERP Environment. 相似文献
308.
张宝贵 《技术经济与管理研究》2012,(2):102-106
人力资本是现代社会生产的决定因素.人力资本提高可使社会生产效益指数增长.各个学龄阶段的生均教育投入,都应随着科技知识的指数增长而增长.我国走科技先行、可持续发展的道路,2020年的高等教育毛入学率应达到50%,实现高等教育的普及化,公共教育经费占GDP的比重要在2012年达到4%的基础上继续提高,并在2020年达到4.6%至4.7%,以带动全社会的教育投入占GDP比重提高到7%. 相似文献
309.
王萌萌 《浙江工商职业技术学院学报》2010,9(3):18-20,39
宁波中小企业具有集群化、块状化、市场化以及劳动密集等特点,提供的就业岗位占全市从业人员总量的70%以上,针对中小企业融资难的问题,近年宁波创新了城乡小额贷款保证保险、银企合作、银行专营服务、金融租赁、融资洽谈会等六种融资模式,今后解决融资难问题,关键是抓好善用民间资金、善用征信体系、善于科技创新、善于提升管理、善于金融创新。 相似文献
310.
大国的经济外交时代已然到来,而外商直接投资在中国实现工业化和经济发展的过程中起着至关重要的作用。因此,应从中国自身的区域一体化协议的发展特点出发,将外商直接投资因素包含到制定区域经济一体化的战略过程中去,在此基础上研究并制定适合中国的区域一体化协议发展战略,主要是:有选择地开展与发达国家的区域一体化谈判,加强与西亚地区的区域经济合作和在区域一体化协议中重点突出服务业投资自由化。 相似文献