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Lawrence Klein 《Economic Systems Research》2003,15(3):269-277
Three major, interrelated accounting statements, at the frontiers of quantitative economic analysis, are three interrelated systems, namely: (1) National income and product accounts (NIPA), (2) The input-output tableaux, (IO), and (3) flow-of- funds accounts (FF). The third-mentioned system is somewhat less available and used in only limited areas of macroeconomic analysis. This paper is mainly concerned with use of FF accounting systems. This system shows where financial resources originate, and where they go in support of real capital formation. In this respect, interest rates and other market-based financial rates are of key importance. While much macroeconomic analysis is based on the rates that fit the yield curve, showing the interest rate structure over various maturities of debt associated with a given degree of risk. In contrast, the FF accounts throw light on the whole spectrum of interest rates, across maturities and debt qualities. For example, in analysis of the real estate market and funding of capital formation there, it is important to have a full understanding of the course of mortgage rates of different maturities and qualities. In short, it is necessary to develop a full appreciation of supply and demand forces in the mortgage market, which often is not obviously related to movements of the operative rate for monetary policy, such as very short-term inter bank rates or call money rates. This paper attempts to provide material from the flow-of-funds accounts that would make it possible to analyze the movement of relevant mortgage rates or whatever other rates are needed to understand the financing of capital formation in real estate. 相似文献
3.
Determinants of Current Account Imbalances in 16 OECD Countries: An Out-Of-Sample Perspective 总被引:1,自引:0,他引:1
We employ panel data as well as country-specific models to uncover empirically the determinants of current account imbalances.
We find evidence of slope heterogeneity likely rendering the fixed-effect estimator inconsistent. Mean group estimation is
followed to overcome the latter difficulty. Both estimation techniques are evaluated by means of in- and out-of-sample criteria.
The mean group estimator outperforms the fixed-effect approach and, moreover, only three economic variables are found to impact
on the current account balance significantly. These are the government budget balance, the domestic output gap and the changes
of the terms of trade. We finally propose a parsimonious dynamic model of the current account, including only these variables
and illustrate that it has similar predictive accuracy as country-specific benchmark models.
JEL no. F32, C23, C53 相似文献
4.
陈石松 《安徽工业大学学报(社会科学版)》2004,21(2):5-6
毛泽东具有高超的科学预见的能力。毛泽东的科学预见能力在于他掌握了社会调查的方法 ,正确地运用对立统一规律和量变到质变的规律 ,以及采取“从群众中来 ,到群众中去”的方法。学习毛泽东关于中国革命的科学预测理论与方法 ,对于处理当今国际国内的各种复杂问题有着十分重要的意义。 相似文献
5.
Statistical inference based on the Weibull distribution, a distribution widely used in reliability and survival analysis,
is usually difficult as it often involves numerical computation and approximation. However, this distribution can be transformed
to near-normality by a simple power transformation. Based on this transformation, a prediction interval (PI) for its median
can be easily constructed through an inverse transformation. The procedure for selecting the best power transformation through
minimizing Kullback-Leibler information is described. The property of this transformation-based PI is investigated. Simple
correction factors are also proposed. It is shown that the transformation-based PI with corrections performs well, irrespective
of the sample size and parameter values. Simulation results show that the new PI generally outperforms the existing PI. Numerical
examples are given for illustration. 相似文献
6.
本文首先由我国的CPI计算出通货膨胀率,综合分析了我国通货膨胀率和GDP增长率数据。其次,用带有动量项和自适应学习率的BP神经网络预测出2008~2009年我国CPI,从而推算出2008~2009年我国通货膨胀率分别是4.99%和4.91%左右。并提出了一些相应的政策建议。 相似文献
7.
In this paper, we provide a model for diffusion of products, which are available in limited quantity until a known expiration date, after which the unsold products have no value. We consider the case of a performing arts company. The model development is built on the foundation of classical product diffusion model by Bass (1969) and the psychological effect known as the scarcity principle (Cialdini, 1985). Our empirical analysis results show that the proposed model can provide significant improvement in prediction of the products characterized by the scarcity effect. 相似文献
8.
面向售后服务的汽车备品需求预测研究 总被引:1,自引:1,他引:1
根据面向售后服务的汽车备品需求特点的差异,本文将其分为专用配件和通用配件并分别选用不同的预测模型.对专用配件,采用基于时间序列相关的线性回归模型,并运用加权最小二乘法(WLS)估计参数.对通用配件,选用GM(1,1)模型进行需求预测. 相似文献
9.
水泥土搅拌桩复合地基承载力的灰色预测 总被引:3,自引:0,他引:3
详细阐述灰色模型的建立及调整过程,利用复合地基沉降实测数据,根据灰色系统理论,建立(1,1)模型,可模拟复合地基的P~s曲线,预测地基沉降的发展趋势,分析水泥土搅拌桩复合地基的承载性能。 相似文献
10.
基于偏离度分析法的江苏省旅游就业潜力预测 总被引:2,自引:0,他引:2
崔峰 《桂林旅游高等专科学校学报》2007,18(5):755-757
当前,旅游业的就业功能受到广泛关注和普遍重视,预测和把握旅游就业潜力对促进一个国家和地区旅游业的发展乃至国民经济的发展意义重大。在借鉴已有相关研究成果的基础上,以江苏省为例,运用偏离度分析法对其旅游就业潜力进行了具体测算,以期对江苏省旅游就业工作的发展有所裨益。 相似文献