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1.
ABSTRACTThe aviation e-service system is an important part of support for business communication in regions covered by Belt and Road initiative. In exploring the role of airline companies in this system, we examine the structure of the network, which consists of airlines interconnections based on small data of individual attributes of aviation companies in aviation e-services, and study these interconnections across different groups using block modeling. The heuristic solution of airline companies in development of international communication and cooperation is further discussed. Among our policy implications for global managers, we suggest the enhancement of cross-regional cooperation among airlines. 相似文献
2.
Zi‐Yi Guo 《Bulletin of economic research》2019,71(3):359-387
We introduce a new type of heavy‐tailed distribution, the normal reciprocal inverse Gaussian distribution (NRIG), to the GARCH and Glosten‐Jagannathan‐Runkle (1993) GARCH models, and compare its empirical performance with two other popular types of heavy‐tailed distribution, the Student's t distribution and the normal inverse Gaussian distribution (NIG), using a variety of asset return series. Our results illustrate that there is no overwhelmingly dominant distribution in fitting the data under the GARCH framework, although the NRIG distribution performs slightly better than the other two types of distribution. For market indexes series, it is important to introduce both GJR‐terms and the NRIG distribution to improve the models’ performance, but it is ambiguous for individual stock prices series. Our results also show the GJR‐GARCH NRIG model has practical advantages in quantitative risk management. Finally, the convergence of numerical solutions in maximum‐likelihood estimation of GARCH and GJR‐GARCH models with the three types of heavy‐tailed distribution is investigated. 相似文献
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From the expected‐utility approach, relative risk aversion being smaller than one and relative prudence being smaller than two emerge as preference restrictions that fully determine the optimal responses of decisions under uncertainty to certain shifts in probability distributions. We characterize the magnitudes of relative risk aversion and relative prudence in terms of the two‐parameter, mean‐standard deviation approach. We demonstrate that this characterization is instrumental in obtaining comparative static results in the two‐parameter setting. We further relate our findings to the results in the expected‐utility framework. 相似文献
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深圳市线路板蚀刻废液中铜、砷、铅、汞、镉含量调查 总被引:2,自引:0,他引:2
吴小令 《中国资源综合利用》2005,(6):21-23,28
对深圳市60家线路板企业含铜蚀刻废液中铜、砷、铅、汞、镉含量的检测结果显示:酸、碱性蚀刻废液铜含量范围分别为38.6~167.9g/L、53.7~171.8g/L,,通过测量比重推算铜含量适用于碱性废液但不适合酸性废液.56个样品可检出砷(大于3mg/L).56个样品未检出铅(小于5mg/L),其余4个铅含量偏高.所有样品汞、镉均未检出,含量分别小于4mg/L、0.3 mg/L.将各样品砷、铅、汞、镉含量实测值换算为铜含量100ga.时的相对值后发现,上述四元素在蚀刻废液中的正常值分别为<12mgAs/L、<5 mg Pb/L、<4 mg Hg/L、<0.3 mg Cd/L. 相似文献
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房地产交易中企业财务报告反映的房地产账面价值与实际市场价值的背离程度大,造成了企业资产价值的“低估”。该文试图分析引起企业房地产账面价值与实际市场价值背离的原因,提出了财务报告使用者了解企业房地产实际价值的几种可操作方法。 相似文献
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Tina Hviid Rydberg 《Finance and Stochastics》1997,1(3):251-257
Simple sufficient conditions for the existence of a unique equivalent martingale measure are provided. Furthermore, these
conditions give us a handle on situations where an equivalent martingale measure cannot exist. The existence of a unique equivalent
martingale measure is of relevance to problems in mathematical finance. Two examples of models for which the question of existence
was unresolved are studied. By means of our results existence of a unique equivalent measure up to an explosion time is proved. 相似文献
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介绍了未来高速移动通信新标准IEEE802.20的总体概况,具体分析了IEEE802.20的技术特性、系统参考结构以及系统的组成模型,并对IEEE802.20标准前景分析与展望进行了详细描述。 相似文献