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111.
Summary Factor models can cope with many variables without running into scarce degrees of freedom problems often faced in a regression-based analysis. In this article we review recent work on dynamic factor models that have become popular in macroeconomic policy analysis and forecasting. By means of an empirical application we demonstrate that these models turn out to be usefu in investigating macroeconomic problems.  相似文献   
112.
Collapse of the Shah's regime has transformed Iran's attitude regarding oil production policy. The nature of OPEC leadership is changing as well. Three models examine the nature of this leadership inside OPEC: (1) the conventional price leadership model, (2) a model emphasizing a concept of egalitarian leadership, and (3) a team model composed of coalitions. The three models establish the limits within which OPEC leadership is exercised. A composite model drawing upon all three sets of results suggests that Saudi Arabia shapes cartel policy not by itself, but through a dominant coalition of states. For most of the period 1969–1978 this coalition has been stable. Following the unsettling changes of 1973, cooptation of Iran into the dominant coalition in 1974 was an important step in achieving a new level of stability. But during the turbulence of regime transformation in Iran, the nature of the governing coalition appears to have changed. One consequence may be that in the future Saudi Arabia will yield more willingly to arguments heard within OPEC on behalf of upwards price pressure, especially in an atmosphere of growing political isolation and overall tight supply.  相似文献   
113.
This article analyzes the effects of debt management and its consequence for the control of base money in a small open economy (Belgium). The study compares the effects obtained from a small theoretical model with the results of a larger empirical model.The theoretical model focuses on the financing of government by money operation, on the bond rate, and on the international reserve of the Central Bank.The empirical model is a medium-term one, including the demand and the supply sectors of the economy and permitting simultaneous analysis of real and financial variables.The effects of an endogeneous or exogenous debt management have been studied by numerical simulation of modification in the public expenditure, the world trade, and the discount rate.  相似文献   
114.
Aspects of socioeconomic development in Turkey between 1948 and 1977 are studied through the use of obliquely rotated principal compenents. The results indicate that long-term developmental trends, which appear in the cross-sectional studies of Adelman and Morris, were slowed down by problems of sociopolitical integration during the sample period. In addition, the analysis shows that multivariate techniques such as compenent analysis can be used at the initial stages of theory construction in the field of socioeconomic development. The hypotheses developed via these methods are testable by others that use the deductive approach.  相似文献   
115.
The evaluation of decision trees under uncertainty is difficult because of the required nested operations of maximizing and averaging. Pure maximizing (for deterministic decision trees) or pure averaging (for probability trees) are both relatively simple because the maximum of a maximum is a maximum, and the average of an average is an average. But when the two operators are mixed, no simplification is possible, and one must evaluate the maximization and averaging operations in a nested fashion, following the structure of the tree. Nested evaluation requires large sample sizes (for data collection) or long computation times (for simulations).  相似文献   
116.
This note reviews and evaluates Taşıran's (1995) claim that estimated female wage effects on Swedish fertility dynamics reported by Heckman and Walker (1990) are not robust to the use of microwage data. The results reported here indicate that once individual wage measures have been purged of measurement error, estimated female wage effects are not sensitive to the introduction of microwages. The results reported by Heckman and Walker (1990) persist even with the use of microwage data. Received: 8 March 1996/Accepted: 4 December 2001 I thank Tom MaCurdy, Eric French and two anonymous referees for useful comments. This research was supported by NICHD grants HD-19226 and HD-28685. The usual disclaimer applies. Responsible editor: Klaus F. Zimmermann.  相似文献   
117.
118.
In this paper we study empirical Bayes (e.B.) rules from a viewpoint which has not yet got any attention in the literature. Since an e.B. estimator can be seen as an estimate of an unknown function, namely the true Bayes estimator, it is natural to consider e.B. estimators as stochastic processes. In this paper we make a first attempt in the direction of this approach. For a certain class of e.B. estimators for the continuous one-parameter exponential family, we investigate the global behaviour on finite intervals. It is shown that the difference between the e.B. and the true Bayes estimator can be represented as a certain type of Gaussian process plus a remainder which is uniformly of smaller order. Several applications of this result are given.  相似文献   
119.
A general equilibrium model of an open economy in which there are ad valorem texes on domestic production and export activities, and import activities are subject to both tariffs and quotas is constructed. A domestic monetary asset, foreign exchange, and a corresponding nominal exchange rate are introduced and a numerical example of the model is constructed. The example is solved via the Scarf fixed point algorithm, first with taut quotas and then after having relaxed quotas. Various price indices are then used to guide programs designed to stabilize the trade balance against the quota liberalization. An empirical example, using Argentine data, is carried out to find the quota equivalent of a particular tariff.  相似文献   
120.
This paper explores the interrelationship between agricultural policies and development by means of a dynamically recursive, computable general equilibrium model applied to Sri Lanka. The agricultural policies investigated include elimination of the food subsidy, land reform, and technical change in agriculture. The goals considered are the levels and growth rates of GNP and employment, the distribution of income, and the real income level of the lowest income group. The study provides a quantitative assessment of the association between policies and goals and identifies the key economic mechanisms in this association.  相似文献   
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