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1.
中国民营企业因其独特的成长环境与发展传统,在市场竞争中面临更大挑战,品牌成为企业发展的生命线。从工商人类学的文化视角切入,以湖南省华文食品股份有限公司的“劲仔”品牌为典型个案进行剖析,首先梳理处于系统成长期的“劲仔”品牌三个发展阶段特征,发现民营企业在品牌管理中应处理好的三组平衡——引领消费需求与追随需求之间的平衡、管理商品实体形态与构建品牌符号体系之间的平衡、维护企业利益与消费者和劳动者利益之间的平衡。同时,地方文化、行业前景、时代召唤,也为民营企业品牌成长注入历史机遇。  相似文献   
2.
今天,网络文化与我们息息相关,深刻影响着国家经济社会发展。网络文化在不断更新,网络文化管理的手段和方法也要与时俱进。网络文化管理主体是指政府行政主管部门、互联网企业及其从业人员、网民,理清网络文化管理的主体、客体及其相互关联机制,有助于促进我国网络文化管理日趋完善。  相似文献   
3.
特色小城镇作为新型城镇化和乡村振兴战略背景下推动城乡融合和农村城镇化的新模式,对于地方实现特色发展和典型引领,实施基层治理创新具有重要靶向功能。围绕"多源化-差异化-依赖互补-生态系统平衡"的要素耦合与"动态化-调试化-创新化-可持续发展"的行动建构整合思路,对地方生态特色化发展进行理论阐释和政策建构。基于江苏省南京市Y镇的生态发展经验,依据"政治合法-政策合理-行动合意"的路径对该镇复合生态治理的机制进行分析,提炼出特色小城镇内生聚合发展的新模式,即特色小城镇生态复合发展应基于复合生态系统治理的特征诉求,协调好经济、社会和生态的平衡关系,推动"三生"空间体系建设,促进民生保障与经济发展,创新治理体系,引导城镇更新和社会有序发展。对于现实存在的结构化困境问题,需运用复合生态治理的要求加以矫正和规范,培育多源要素耦合的基础,将其重新整合最为关键的要素及对应体系,发挥内生聚合效应,重新实现新的生态均衡。  相似文献   
4.
Damage models for natural hazards are used for decision making on reducing and transferring risk. The damage estimates from these models depend on many variables and their complex sometimes nonlinear relationships with the damage. In recent years, data‐driven modeling techniques have been used to capture those relationships. The available data to build such models are often limited. Therefore, in practice it is usually necessary to transfer models to a different context. In this article, we show that this implies the samples used to build the model are often not fully representative for the situation where they need to be applied on, which leads to a “sample selection bias.” In this article, we enhance data‐driven damage models by applying methods, not previously applied to damage modeling, to correct for this bias before the machine learning (ML) models are trained. We demonstrate this with case studies on flooding in Europe, and typhoon wind damage in the Philippines. Two sample selection bias correction methods from the ML literature are applied and one of these methods is also adjusted to our problem. These three methods are combined with stochastic generation of synthetic damage data. We demonstrate that for both case studies, the sample selection bias correction techniques reduce model errors, especially for the mean bias error this reduction can be larger than 30%. The novel combination with stochastic data generation seems to enhance these techniques. This shows that sample selection bias correction methods are beneficial for damage model transfer.  相似文献   
5.
当前我国以损害管理为主的生物安全法律规制范式尚未全面、系统地贯彻风险预防理念,条块分割的管理体制导致主管部门与地方政府以及部门之间存在信息壁垒,缺乏协调与合作,且生物安全规制机制仍体现出浓重的行政规制色彩,生物安全风险预防制度体系也出现严重缺失,无法适应风险社会中保障生物安全的迫切需要。生态风险的客观性与不确定性,以及从环境管理向环境治理转型的实践需求则为生物安全法律规制范式从损害管理向风险治理的转变奠定了正当性基础。在具体进路上,生物安全法律规制范式从损害管理到风险治理的转变应当从风险预防原则的引领、生物安全风险合作治理、生物安全风险治理的制度建设等方面展开。  相似文献   
6.
This paper analyses impression management (IM) during the global financial crisis (GFC). It examines the differences in multiple textual characteristics and attributions between a highly positive performance period (2002–2007) and the GFC period (2008–2012), within the setting of Spain, where these two economic cycles were extreme. In contrast to previous research, companies' extreme poor performance in our sample is driven by an exogenous event. The findings do not show clear evidence of IM based on textual characteristics specifically linked to the GFC. Companies tried not to use overt IM and, to some extent, tried to clarify the impact of the crisis on performance. They were under great scrutiny and probably preferred to tell a more careful story. However, a general pattern of IM was still present during the GFC in the form of consistent positive attributions, favourable benchmarks and enhancement practices. In essence, the crisis did not fully stop IM practices, but rather influenced the way IM was produced. Overall, our results show that IM was lower during the GFC than in the case of poor performance in normal macroeconomic conditions found by previous literature. The results also show that the narratives of firms in the finance and real estate sectors were the most reactive to the GFC, probably linked to their key role in the crisis.  相似文献   
7.
ABSTRACT

This study examines the environmental protests that occurred in Tunisia after the 2011 uprisings. It analyses the factors underpinning the rise of the environmental networks during the period of transition (2011–2014). It details the mobilising strategies that were crucial for the networks’ growth or survival during this period of institutional instability. The study shows how networks leaders were able to bring together social and political actors from different backgrounds and ideological orientations. It is argued that the ability of networks to develop new distinctive collective identities was crucial for network sustainability. Those networks and actors who did not develop new clearly defined environmental identities and continued to rely importantly on pre-existing (authoritarian) structures and practices were more negatively impacted by ideological cleavages and political calculations. Empirically, the contribution builds on interviews and observations, as well as documents collected from Tunisian municipalities between 2013 and 2015. Conceptually, the research proposes a bottom-up perspective that highlights the interplay between micro- and macro-dynamics and strategies during a political transition. The analysis details the actors’ capacity to build alliances via interpersonal relations at the micro level, and their strategies to engage with institutional actors and processes.  相似文献   
8.
客户处在供应链的下游,对企业存货的采购、生产和销售都会产生重要影响,而多变的市场环境也在无形当中影响着客户与企业之间的关系。从企业所处行业、地区产品市场和客户三个角度所带来的市场环境变化入手,采用2011—2017年我国沪深两市A股制造业上市公司的数据,实证分析客户集中度与企业存货管理效率之间的关系。研究发现:(1)客户集中度越高,企业存货管理效率越高;(2)产品市场竞争力度越强,客户集中度对企业存货管理效率的影响越大;(3)产品市场发育越好,客户集中度对企业存货管理效率的影响越大。进一步研究发现,当企业因客户生产经营原因导致需求发生较大变化时,客户集中度对企业存货管理效率的正向影响更加显著。研究结论表明,政府应当注重市场竞争力的提升和良好经营环境的建设,使得企业在维护客户关系的同时充分发挥客户集中度对企业存货管理效率的积极作用。  相似文献   
9.
随着互联网时代大数据及人工智能技术的发展,高校财务管理信息化建设面临诸多问题。高校财务管理信息化建设,既要借助大数据技术,也要积极应对大数据技术应用所带来的挑战。大数据背景下,高校财务管理信息化建设的具体措施包括:增强财务管理人员信息化建设意识;提升财务管理人员的信息化素养;建立健全数据安全保护机制;推动财务管理智能化转型。  相似文献   
10.
This research proposes a multi-criteria decision-making (MCDM) framework and demonstrates the impact of competitive conditions on supplier evaluation process for construction supply chains. The paper focuses on the supply chain of a large-scale housing project in order to illustrate the role of competitive capability and suppliers’ profile and its influence on supplier evaluation based on prevailing supply/market conditions. Various scenarios are investigated to demonstrate the impact of competition on supplier evaluation. The contribution of the study lies in highlighting the impact of supply/market conditions on MCDM decisions causing supplier evaluation ‘imbalance’ and MCDM usage. It is expected that the study will be useful for project management, construction, supply chain management, sourcing professionals. The findings of the study are generalisable to projects-based situations such as petroleum refinery and ship building where bill of materials typically consists of thousands of items and a large number of suppliers are involved.  相似文献   
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