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991.
Ángela González-Moreno Francisco J. Sáez-Martínez 《Journal of Management and Governance》2008,12(3):261-285
Strategic group literature has generated a significant amount of research over recent decades. However, the rivalry implications
of strategic group have remained unclear. This paper analyses rivalry and strategic groups in the house building industry
in a small town from a cognitive approach. We consider rivalry as a subjective and directional phenomenon. Estimating rivalry
as the direct identification of competitors we try to explain whether similarity affects rivalry and what factors make a company
a “rival”. Results show that perceived rivalry is strongly related to size, past performance, subjective similarity and strategic
group structure.
ángela González-Moreno is Professor of Strategic Management at the Faculty of Economics, University of Castilla-La Mancha, Spain, where she is Vice-Dean of the Faculty of Economics. She got a degree in Economics and Business Administration from the University of Valencia and a PhD in Management from the University of Castilla-La Mancha. Her research interests include innovation in the service sector, corporate entrepreneurship and strategic analysis. Francisco J. Sáez-Martínez is Professor of General Management at the Faculty of Economics, University of Castilla-La Mancha, Spain, where he is Academic Director of the Vice-Rectorship of Students. He received a degree in Economics and Business Administration from the University of Valencia and a PhD in Management from the University of Castilla-La Mancha. His research interests include strategic analysis, managerial and organizational cognition, entrepreneurship and innovation. 相似文献
Francisco J. Sáez-Martínez (Corresponding author)Email: |
ángela González-Moreno is Professor of Strategic Management at the Faculty of Economics, University of Castilla-La Mancha, Spain, where she is Vice-Dean of the Faculty of Economics. She got a degree in Economics and Business Administration from the University of Valencia and a PhD in Management from the University of Castilla-La Mancha. Her research interests include innovation in the service sector, corporate entrepreneurship and strategic analysis. Francisco J. Sáez-Martínez is Professor of General Management at the Faculty of Economics, University of Castilla-La Mancha, Spain, where he is Academic Director of the Vice-Rectorship of Students. He received a degree in Economics and Business Administration from the University of Valencia and a PhD in Management from the University of Castilla-La Mancha. His research interests include strategic analysis, managerial and organizational cognition, entrepreneurship and innovation. 相似文献
992.
Triangulation is a comparative strategy for examining data that strengthens qualitative and multi-method research. Despite the benefits of triangulation noted in the research methods literature, few concrete models for operationalization of protocols exist. Lack of documentation of explicit triangulation procedures is especially true in the area of bereavement research. This article describes how an interdisciplinary research team implemented a triangulation protocol in a study of the needs of bereaved parents. Triangulation enabled the integration of diverse data sources, methods, and disciplinary perspectives. These processes yielded a more meaningful typology of bereaved parents' needs than would have otherwise been possible. Extending the use of triangulation will enhance multi-faceted understandings of bereavement. 相似文献
993.
A generalisation of the Farrell cost efficiency measure applicable to non-fully competitive settings
This paper enhances cost efficiency measurement methods to account for situations where the input prices can depend on negotiation or tend to qualitatively differentiate the resources available at each decision making unit. In these circumstances, there are some shortcomings in the cost efficiency measure described in the data envelopment analysis (DEA) literature. This paper proposes new models and measures for cost efficiency evaluation that overcome the limitations of the existing DEA models. The applicability of the measures developed is illustrated in the context of the analysis of bank branch performance. 相似文献
994.
Bryan S. Graham 《Econometrica : journal of the Econometric Society》2008,76(3):643-660
This paper proposes a new method for identifying social interactions using conditional variance restrictions. The method provides a consistent estimate of the social multiplier when social interactions take the “linear‐in‐means” form (Manski (1993)). When social interactions are not of the linear‐in‐means form, the estimator, under certain conditions, continues to form the basis of a consistent test of the no social interactions null with correct large sample size. The methods are illustrated using data from the Tennessee class size reduction experiment Project STAR. The application suggests that differences in peer group quality were an important source of individual‐level variation in the academic achievement of Project STAR kindergarten students. 相似文献
995.
Vendor managed inventory systems are becoming increasingly popular. An important issue in implementing a vendor managed inventory scheme is the contracting terms that dictate the ownership of the inventory and the responsibility of inventory replenishment decisions. Thus the performance of a vendor managed system crucially depends on these terms and on how inventory‐related costs are shared in a supply chain. We consider a system where a manufacturer supplies a single product to a retailer who faces random demand in a competitive market. The retailer incurs a fixed cost per order, inventory holding cost, and a penalty cost for a stockout (unsatisfied demand is back‐ordered). Further, the manufacturer incurs a penalty cost when there is a stockout at the retailer and a fixed replenishment cost. We assume that the players are rational and act noncooperatively. We compare the performance of retailer managed inventory systems, where the retailer places orders and makes replenishment decisions, with vendor managed inventory systems, wherein the vendor or manufacturer makes inventory and replenishment decisions. Specifically, in the vendor managed inventory system, we propose and evaluate holding cost subsidy‐type contracts on inventories offered by the retailer to improve system performance. We evaluate this contract in the context of three widely used inventory systems—deterministic economic order quantity, continuous review (Q, r) policies, and periodic review policies—and show when such contracts may improve channel performance. 相似文献
996.
This article investigates the role of commonly specified control variables in moderating the relationship between corporate social performance (CSP) and corporate financial performance (CFP). In addition, there are separate measures for positive (strengths) social actions, and for negative (concerns) social actions. The results support the positive relationship between CSP and CFP. The best model, as determined using factorial analysis of variance, is one which has the following control variables: size, industry, risk, and research and development expenditures. In examining the CSP/CFP relationship, researchers must control for these variables, in order to properly specify the model. 相似文献
997.
S. Darolles Y. Fan J. P. Florens E. Renault 《Econometrica : journal of the Econometric Society》2011,79(5):1541-1565
The focus of this paper is the nonparametric estimation of an instrumental regression function ϕ defined by conditional moment restrictions that stem from a structural econometric model E[Y−ϕ(Z)|W]=0, and involve endogenous variables Y and Z and instruments W. The function ϕ is the solution of an ill‐posed inverse problem and we propose an estimation procedure based on Tikhonov regularization. The paper analyzes identification and overidentification of this model, and presents asymptotic properties of the estimated nonparametric instrumental regression function. 相似文献
998.
Marina S. Paez Dani GamermanFlávia M.P.F. Landim Esther Salazar 《Journal of statistical planning and inference》2008
In this work we present a flexible class of linear models to treat observations made in discrete time and continuous space, where the regression coefficients vary smoothly in time and space. This kind of model is particularly appealing in situations where the effect of one or more explanatory processes on the response present substantial heterogeneity in both dimensions. We describe how to perform inference for this class of models and also how to perform forecasting in time and interpolation in space, using simulation techniques. The performance of the algorithm to estimate the parameters of the model and to perform prediction in time is investigated with simulated data sets. The proposed methodology is used to model pollution levels in the Northeast of the United States. 相似文献
999.
1000.