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   12630篇
  免费   525篇
  国内免费   174篇
财政金融   1838篇
工业经济   513篇
计划管理   1596篇
经济学   3404篇
综合类   1503篇
运输经济   142篇
旅游经济   195篇
贸易经济   1269篇
农业经济   1215篇
经济概况   1654篇
  2024年   39篇
  2023年   268篇
  2022年   208篇
  2021年   328篇
  2020年   565篇
  2019年   412篇
  2018年   335篇
  2017年   506篇
  2016年   426篇
  2015年   450篇
  2014年   752篇
  2013年   1164篇
  2012年   763篇
  2011年   1008篇
  2010年   786篇
  2009年   796篇
  2008年   901篇
  2007年   763篇
  2006年   717篇
  2005年   499篇
  2004年   373篇
  2003年   281篇
  2002年   208篇
  2001年   200篇
  2000年   127篇
  1999年   83篇
  1998年   62篇
  1997年   57篇
  1996年   40篇
  1995年   29篇
  1994年   24篇
  1993年   24篇
  1992年   19篇
  1991年   11篇
  1990年   4篇
  1989年   9篇
  1988年   3篇
  1987年   1篇
  1986年   2篇
  1985年   21篇
  1984年   30篇
  1983年   22篇
  1982年   11篇
  1981年   2篇
排序方式: 共有10000条查询结果,搜索用时 203 毫秒
941.
In this paper we study how the impact of a foreign monetary shock is transmitted between two monopolistically competitive economies engaging in intra-industry trade with differentiated products. Intra-industry trade is the only international link that works through the flexible exchange rate affecting national price levels and a product's internal and external relative prices. While national price levels are subject to purchasing power parity, the two relative prices are determined by the interaction between macro and micro variables. In this context, the exchange rate can insulate a national economy perfectly from a foreign monetary shock provided that monopolists adjust prices. Even if monopolists keep prices rigid, this shock only affects domestic real balances and aggregate demand, leaving domestic aggregate output unchanged because the real balances effect is just offset by the resulting unfavorable relative prices effects under the assumption of Spence-Dixit-Stiglitz preferences.  相似文献   
942.
We examine the relationship between fiscal deficits and per-capita income growth in a panel of 27 European countries, allowing for perceived risks, in terms of fiscal sustainability, associated with additional government spending. Such risks are proxied by the conditional variability of manufacturing production and stock market returns and by the unconditional variability of two survey-based economic-sentiment indicators. To help clarifying how fiscal variables impact on growth and to provide a point of reference for the interpretation of the empirical results a structural growth model is first identified. We find evidence of an asymmetric relationship, in that fiscal deficits give rise to adverse growth effects if they coincide with high uncertainty regarding the prospects of the economy and no significant negative growth effects in the low-uncertainty case.  相似文献   
943.
Mainstream economists and liberal politicians are criticizing the Third Way as it is being applied in the Netherlands. They argue that mutual consultation precludes an efficient adaptation to disturbances. The present study analyzes changes in wage and income policy in the Netherlands until 2005. It finds that wage and income policy has proven to be flexible enough to address “new” challenges in the Netherlands. The flexibility is rooted in a culture of tolerance that allows for some breaking of working rules. The latter arises from bounded socialization, that is, the imperfect transmission of information with respect to social working rules that result in similar but not identical copies of institutions.  相似文献   
944.
本文认为,保险业是现代经济的重要产业,是现代金融业的重要支柱,是社会保障体系的重要组成部分,具有经济补偿、资金融通和社会风险管理等重要功能,它是社会的"稳定器",是经济发展的"助推器",是维护国家金融安全和经济安全的重要力量.目前从总体上来说,我国保险业安全状况良好.文章提出,保险产业安全是一个动态变化的过程,因此,要进一步完善防范、化解保险风险和保护被保险人利益的机制和制度.进一步完善促进可持续发展的政策措施,进一步改进保险监管,切实建立维护保险产业安全的长效机制.  相似文献   
945.
The financial crisis showed, once again, that neglecting real estate booms can have disastrous consequences. In this paper, we spell out the circumstances under which a more active policy agenda on this front would be justified. Then, we offer insights on the pros and cons as well as implementation challenges of various policy tools that can be used to contain the damage to the financial system and the economy from real estate boom–bust episodes. These insights derive from econometric analysis, when possible, and case studies of country experiences. Broadly, booms financed through credit and involving leverage are more likely to warrant a policy response. In that context, macroprudential measures can be targeted more precisely to specific sources of risk, but they may prove ineffective because of circumvention. In that case, monetary policy may have to be used to lean against the wind.  相似文献   
946.
This article traces the movement of the concept of ‘defensible space’ from New York City in the 1970s, where it was developed by the Canadian architect/planner Oscar Newman, to London in the 1980s and into design interventions in British public housing in the 1990s, through British geographer Alice Coleman, who acted as an especially powerful transfer agent. In focusing on this urban design ‘concept’ on the move we contribute to existing scholarship on policy mobility and city building in a number of ways. First, we explore an instance of the movement/mobility of a planning concept in a historical period (the recent past) largely overlooked to date. Secondly, we demonstrate that this movement was the result of a disaggregated series of expert knowledge transfers and localized translations of pre‐policy expert knowledge, generated through university‐based research work and networks. We theorize this instance of urban planning mobility by way of the interlinked insights offered by the sociology of science and policy‐mobilities literatures. As this is an instance of university research shaping public policy it also offers an opportunity to reflect upon the meaning of ‘evidence‐based policy’ and the impact agenda in contemporary higher education.  相似文献   
947.
张爽  李静文 《特区经济》2009,(6):162-163
中部崛起是新世纪我国战略性发展的一项重要内容。确定经济发展目标是实现中部地区战略性发展的第一步。本文首先根据以往的统计数据分析了农业、工业、金融等产业及教育对中部地区GDP总值的不同贡献,进而确定未来经济发展目标,从而使中部地区能更快更好地发展。  相似文献   
948.
It is well known that central bank policies affect not only macroeconomic aggregates, but also their distribution across economic agents. Similarly, a number of papers demonstrated that heterogeneity of agents may matter for the transmission of monetary policy to macro variables. Despite this, the mainstream monetary economics literature has so far been dominated by dynamic stochastic general equilibrium models with representative agents. This paper aims to tilt this imbalance towards heterogeneous agents setups by surveying the main positive and normative findings of this line of the literature, and suggesting areas in which these models could be implemented. In particular, we review studies that analyse the heterogeneity of (i) households’ income, (ii) households’ preferences, (iii) consumers’ age, (iv) expectations and (v) firms’ productivity and financial position. We highlight the results on issues that, by construction, cannot be investigated in a representative agent framework and discuss important papers modifying the findings from the representative agent literature.  相似文献   
949.
国内学者对中国资产价格和货币政策的相关性进行了大量的实证研究,对货币政策的制定具有一定指导意义。这些研究成果在变量计量、研究方法等方面进行了大量探索,为该领域的理论研究做出了积极贡献。但是目前的成果也存在对中国资产结构、资产市场演变等研究背景考虑不足和成熟计量模型缺失等缺陷。  相似文献   
950.
本文在对“模糊决策”进行深入研究的基础上,给出了多层次综合择优决策数学模型。首先提出了“效果值”的概念,解决了模糊排序中的一个难题,从而使决策结果择优更具科学性与合理性。该模型可广泛应用于社会、经济诸领域.  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