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211.
A new estimator for estimating the proportion of a potentially sensitive attribute in survey sampling has been introduced by solving a linear equation. The proposed estimator has been compared with the estimator proposed by Odumade and Singh (2009) with equal protection to all of the respondents. The asymptotic properties of the proposed estimator are investigated through exact numerical illustrations for different choices of parameters. A non randomized response approach has been suggested. A scope for further research has also been pointed out. 相似文献
212.
Samuel Adomako Joseph Amankwah-Amoah George Obeng Dankwah Albert Danso Francis Donbesuur 《Journal of International Management》2019,25(4):100666
Much of the existing scholarly works portray institutional voids (IVs) in emerging economies as impeding forces against the development of new ventures. However, little attention has been paid to how such voids generate positive outcomes in emerging market new ventures. Drawing on the institutional theory, we propose IVs as crucial enablers of new venture internationalization. In addition, we investigate both how and when IVs enhance the degree to which new ventures internationalize by examining international learning effort (ILE) as a mediator and two domestic market environmental factors (i.e., environmental dynamism and competitive intensity) as important contingencies. We test our moderated mediation model using primary data gathered from 211 new ventures from Ghana. We found that ILE mediates the relationship between IVs and new venture internationalization and that both environmental dynamism and competitive intensity moderate the indirect relationship between home-country IVs and new venture internationalization. We discuss the theoretical and practical implications of this study. 相似文献
213.
《Omega》2015
Banks occasionally employ frontier efficiency analyses to objectively identify best practices within their organizations. Amongst such methods, Data Envelopment Analysis (DEA) was found to be one of the leading approaches. DEA has been successfully applied in many bank branch performance evaluations using traditional intermediation, profitability and production approaches. However, there has been little focus on assessing the growth potential of individual branches.This research presents five models that examine three perspectives of branch growth. Each model was applied to the branch network of one of Canada׳s top five banks to gauge the growth potential of individual branches and to provide tailored improvement recommendations. Using various analysis methodologies, the results of each model were examined and their functionality assessed. 相似文献
214.
产品与服务融合缓解了"供需错位"矛盾,使得产品服务供应链探索成为"供给侧结构性改革"下供需结构性匹配的重要路径。本文刻画产品服务视角下供应链组织结构的本质特征,构建产品服务供应链合作模型,探讨合作机制下"帕累托改进"区间存在性,揭示合作机制对产品服务供应链效率的作用机理。核心研究发现:供应链多元化组织结构加剧收益分配冲突,并导致服务规模与供应链效率"倒挂"现象,而合作机制下"双重收益共享"合作模型能提升产品服务供应链效率。 相似文献
215.
Ibrahim Mike Okumu Edward Bbaale 《Development policy review : the journal of the Overseas Development Institute》2019,37(6):735-749
This article undertakes a diagnostic study of the Technical and Vocational Education and Training (TVET) sub‐sector in Uganda, with a view to characterizing the sub‐sector and identifying its potential strengths and weakness. We undertook a cross‐sectional pre‐survey of purposively selected key stakeholders in the TVET sub‐sector. We selected performance indicators following their importance in influencing the TVET reform process. Both qualitative and quantitative data was solicited from the stakeholders. Quantitative data was collected through stakeholder‐specific structured questionnaires, whilst qualitative data was collected through desk review and field visits, individual focused interviews and focus group discussions. Our findings indicate that financing and planning constraints have resulted in poor quality equipment, under‐ and ill‐trained staff, limited adoption of a competence‐based education and training (CBET) curriculum, not to mention the supervision inadequacies of TVET institutions. Besides, the limited TVET sub‐sector interaction with the private sector has incapacitated TVET curriculum development to nurture skills demanded by the private sector. Furthermore, backward technology use in the private sector has equally inhibited the success of student attachment programmes. Finally, legal ambiguities have perpetuated a qualification jungle and overlapping curricula. 相似文献
216.
首先对公平与效率做出了精确定义,确定其指标,然后测度由于收入分配总量和结构引致的公平与效率的变化量,在此基础上构建了一个公平效率指数,用来反映中国二者关系的变化及其协调程度,最后采用目标优化的方法对收入分配总量和结构进行了优化,根据优化结果提出了改善收入分配关系的建议。 相似文献
217.
In this article, we consider the problem of estimation of mode using two-phase sampling. Ratio- and difference-type estimators in two-phase sampling are proposed. The asymptotic properties of the proposed estimators are studied analytically as well as empirically for different situations for the given cost of surveys. The use of two-phase sampling has been found to be cost saving design while estimating mode by making a proper use of auxiliary information. 相似文献
218.
在“五位一体”框架中,探讨支撑国家整体发展战略的基本价值原则,乃是当代中国化马克思主义文化战略学的重要课题之一。中共十八届三中全会《决定》强调“让一切劳动、知识、技术、管理、资本的活力竞相迸发”,要做到这一点,在市场之内的初次分配中,必须让“资本-劳动”分享利润,与此相对应的是一种与“平等”等密切相关的“分享”价值原则。《决定》有关“多渠道增加居民财产性收入”“保障农民公平分享土地增值收益”等重大举措,同样是在市场之内贯彻分享价值原则,而以民生为主的社会建设、以公共服务为主的文化事业则是在市场之外推行分享价值原则的主要方式。全面推行分享价值原则,既有利于坚定地推进新型市场化改革,同时也有利于保障平等、促进和谐、拓展自由,对内可以凝聚社会共识,激发国民创造力,对外则有助于在价值制高点上展现社会主义中国的文化魅力和感召力。 相似文献
219.
通过聚类分析将改革开放以来的中国金融-经济系统分为传统金融时期、金融转型初期、金融转型中期三个阶段,然后选取资本存量、劳动力、金融机构人民币资金来源、M2、贷款余额作为投入变量,GDP作为产出变量,采用非径向超效率分析模型测度中国金融效率。研究表明:中国的金融-经济系统存在结构变化,金融的绝对效率较低,但相对效率水平较高,中国已经顺利完成了金融体系的转型。 相似文献
220.
《Journal of Statistical Computation and Simulation》2012,82(3-4):259-267
The robustness of an extended version of Colton's decision theoretic model is considered. The extended version includes the losses due to the patients who are not entered in the experiment, but require treatment while the experiment is in progress. Among the topics considered are the effects of risk of using a sample size considerably less than the optimum, use of an incorrect patient horizon, application of a modified loss function, and use of a two point prior distribution. It is shown that the investigated model is robust with respect to all these changes with the exception of the use of the modified prior density. 相似文献