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941.
The purpose of this article is to contribute to an understanding of the impact of the Lebanese economic crisis on fashion buying behavior. It uses a qualitative approach by conducting semi-structured interviews with 29 Lebanese consumers. The study reveals that consumer fashion purchases are motivated by emotional, social, and functional drivers. It also indicates that subjective norms, such as societal and cultural values dictate buying behaviors. The findings provide further insights into social media and highlight its influence on shaping trends and making fashion products desirable. The article concludes that Lebanese consumers exhibit impulsive buying behavior, and explains how fashion brands can remain relevant amidst a wrenching economic crisis. 相似文献
942.
Identification of the causal effect that foreign aid has on the quality of institutions in recipient countries has been elusive in the aid effectiveness literature. The main reason is that aid is endogenous with respect to the development of institutions. Our paper examines the impact of foreign aid on economic freedom in the recipient countries at a disaggregated level using an innovative identifying strategy. To do so, we use recently innovated instruments for aid, exploiting the long lags between loan approval and disbursements by official creditors to developing countries. Using plausibly exogenous variations in predicted loan disbursements as instruments for actual aid, we find that foreign aid has a significant positive effect on the quality of economic institutions in recipient countries. The results are robust to alternative specifications and samples. By establishing the existence of a strong link between aid and the quality of economic institutions, we identify the main channel through which aid affects economic growth and development. 相似文献
943.
Economic freedom (freedom from the intervention of government) is essential for doing business, so economic freedom of both the home country and the host country are important for bilateral foreign direct investment. However, though some literature has investigated the role of host country's economic freedom in bilateral direct investment, no literature has studied the role of home country's economic freedom. This paper has studied this issue in a gravity model with a sample of 155 countries. This paper has also employed some effective estimation techniques of gravity model to incorporate the zero observations and adopted quantile regression method. The findings indicate that economic freedom of both the home country and the host country are positively correlated with bilateral direct investment, and the economic freedom of home country has even stronger explanatory power for foreign direct investment. Hence, promoting the economic freedom may encourage more outward foreign direct investment than inward direct investment. 相似文献
944.
We propose a North-South model that reconciles trade and production strategies, flows of innovators and the path of economic divergence, or convergence, between countries. We explain the mechanisms behind these forces and show how the technological and economic gaps can be reversed if southern countries stop imitating northern goods and, instead, produce complementary goods. Such a strategy of complementarity on production yields the necessary incentives to innovators to engage in research in southern countries, which enhances the catching-up process between countries. It is also shown that migratory movements of unskilled labor between countries are also relevant to understand the dangers and benefits of different trade strategies for economic growth. This paper suggests a positive (negative) correlation between technological innovation in the North (South) and the level of substitutability in production, while under complementarity, technological innovation catches up in the South, therefore fostering the economic catching up process. A positive correlation between inflows of skilled and unskilled labor and substitutability of production between countries is also verified. 相似文献
945.
《International Journal of Forecasting》2019,35(4):1193-1210
This paper introduces a new forecasting model for VIX futures returns. The model is structural in nature and parsimonious, and contains parameters that are relatively easy to estimate. The forecasts of next day VIX futures returns based on this model are superior to those produced by a linear forecasting model that uses the same set of predictors. Moreover, the profits to a market-timing model based on the proposed forecasts are statistically and economically significant, and are robust to both the method used for adjusting for risk and transaction costs (up to around 15 basis points). In contrast, the forecasts generated by the linear forecasting model are not. 相似文献
946.
Richard Bourke 《Review of social economy》2019,77(1):29-32
AbstractJohn Roemer has argued in favour of rehabilitating Kanitanism as an antidote to the kind of utilitarian incentivisation theories associated with neoliberal economics. This article asks whether the ethical thought of Kant is in fact fit for purpose. Placing Kant in dialogue with other contemporary enlightenment thinkers, it also questions whether ‘solidarist’ social theories solve the problems Roemer associates with their ‘selfish’ competitors, and indeed whether the two approaches can be so neatly distinguished. 相似文献
947.
This paper explores the case of peripheral settlement growth in the Greater Frankfurt (Main) region within current debates on global suburbanization. Within Germany’s sophisticated spatial planning regime, Greater Frankfurt’s system of regionalized land-use planning marks an ambitious initiative to contain urban sprawl. Nonetheless, expansive peripheral settlement growth, and socio-spatial polarization remain distinct characteristics of the booming region. Analyzing state regulation vis-à-vis dynamics of capitalist urbanization and private authoritarianism, we decipher the complex governance arrangements producing this, at first sight, contradictory simultaneity. We uncover the rationales of local growth politics of autonomous municipalities and the region’s multiplied institutional fragmentation that undermine planning ambitions to contain suburban growth. We conclude by critically assessing the political economies of suburbanization in Greater Frankfurt and point to prospects for regional reform. 相似文献
948.
This study examines the relationship between economic policy uncertainty and mergers and acquisitions (M&As) in China. Using all listed Chinese companies on the Shanghai and Shenzhen Stock Exchanges as well as 4188 M&A deals from the period of 2001–2018, we show that Chinese firms are more likely to make acquisitions during periods of high economic policy uncertainty, which contradicts the behavior of US firms. We further show that state-owned enterprises (SOEs) are less likely than non-SOEs to make acquisitions during periods of high economic policy uncertainty. SOEs are less likely to use only cash for their acquisitions during periods of high economic policy uncertainty. These results indicate the prudence of SOEs regarding acquisitions relative to non-SOEs during periods of high economic policy uncertainty. Moreover, acquisitions during periods of high economic policy uncertainty are associated with an increase in shareholder wealth for acquirers, and this wealth effect is more pronounced for SOEs. 相似文献
949.
Katharina Bluhm 《New Political Economy》2020,25(4):642-659
ABSTRACTRussia, Hungary and Poland have been at the forefront of the illiberal counter-movement to neoliberalism. However, while there is increasing knowledge about how ‘populism’ as a discursive strategy has brought illiberals to power, especially in Poland and Hungary, we know surprisingly little about the socioeconomic programme and guiding principles of illiberals. In this article, we argue first that there is such a programme and that – notwithstanding the differences between countries – it features a similar programmatic core in the three countries that took shape in conservative think tanks and guides socioeconomic policy recommendations. Second, this programmatic core is best understood not so much as populism, but as a combination of economic nationalism – subordinating the economy to national interests and to the imperative of protecting national identity – and conservatism, reorienting economic policies to serve the traditional family and undo the perceived wrongdoings of post-communist elites, in particular, privatisation. We call this core conservative developmental statism. Thus illiberalism is reducible neither to populism nor to the whims of the power-holders of the day, and in these countries it needs to be seen in a wider context in which rightwing intellectuals have been working in parallel with politicians to give illiberalism a conservative content. 相似文献
950.
中国沿海经济结构的研究对海洋环境的发展意义重大,然而二者之间的定量关系及内在机理尚不完全清楚。以2007-2016年为研究时段,我国沿海11省(区、市)为研究区域,借助固定效应以及门槛模型,测度经济结构变动与海洋环境之间的关系。结果表明:①在经济结构中产业结构(-0.099)对海洋的弹性系数最大,其次是经济增速(-0.058),投资对象为正向影响,但不显著;非经济结构中,技术进步(0.052)的弹性系数最大,其中环境规制(-0.045)、人口规模(-0.045)抑制海洋环境的改善。②区域对比北部、东部海洋经济圈产业结构对海洋环境起抑制作用,另外,东部海洋经济圈环境规制、人口规模与海洋环境水平呈明显的负相关性;南部海洋经济圈相对于其他两个区域,结果不显著。③将产业结构、技术进步作为门槛变量,在各自的作用下分别存在双重门槛和单一门槛。产业结构门槛值为0.533、0.462,仅河北,福建未跨越第二门槛;科研能力门槛值为40,仅河北、福建、海南未跨过门槛值。因此,应适度调整产业结构,注重经济增长的质量,合理控制城镇人口的流动,积极鼓励科研创新,实现经济与海洋环境协调发展。 相似文献