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排序方式: 共有279条查询结果,搜索用时 343 毫秒
1.
消费者在购买商品之前,信息搜集是一个必不可少的阶段。消费者的信息搜集过程是比较复杂的。文章通过构建信息搜寻模型,并对影响信息搜集的因素进行分析,认为产品的价格是影响信息搜集量及其持续时间的主要因素,即消费者在购买高价商品时花费的时间远远大于购买低价商品所花费的时间,并用实例进行验证。  相似文献   
2.
利率变动下的存续期缺口管理和流量比例调整   总被引:5,自引:0,他引:5  
在金融自由化和利率市场化的浪潮下,商业银行所面临的利率风险防范问题日益突出。利率风险管理成为商业银行经营管理中极其重要的环节。马考勒存续期缺口管理是现代西方商业银行的主要风险管理手段之一,合理构造存续期缺口可使商业银行净值不受市场利率影响,而流量比例调整可以克服存续期缺口受制于利率变动的不足,综合利用存续期缺口管理对我国商业银行建立风险管理机制起着重要的作用。  相似文献   
3.
作为邓小平理论萌芽的标志不是某一具体的时间、论著、观点。对邓小平理论萌芽应作出系统的、全面的科学界定。邓小平理论萌芽的标志应该是时间段、论著链、观点网  相似文献   
4.
针对随机波动条件持续期模型(SCD模型)对于金融超高频数据的模拟优势,采用股票交易的分笔数据,在模型中引入消息指标变量、交易量和买卖价差三类微观结构变量,通过分析价格持续期与这些结构变量之间的相关性,以研究价格形成过程中的信息传递过程。研究结果表明:利好消息通常导致交易强度增加,利空消息通常会导致交易持续期延长,价格变化对交易持续期造成的影响有限;小盘股买卖价差影响后续价格交易持续期,但大盘股的影响并不明显;交易量的增加具有信息含量。  相似文献   
5.
Of the 324 petroleum refineries operating in the U.S. in 1982, only 149 were still in the hands of their original owners in 2007. Using duration analysis, this paper explores why refineries change ownership or shut down. Plants are more likely to ‘survive’ with their original owners if they are older or larger, but less likely if the owner is a major integrated firm, or the refinery is a more technologically complex one. This latter result differs from existing research on the issue. This paper also presents a split population model to relax the general assumption of the duration model that all refiners will eventually close down; the empirical results show that the split population model converges on a standard hazard model; the log-logistic version fits best. Finally, a multinomial logit model is estimated to analyze the factors that influence the refinery plant's choices of staying open, closing, or changing ownership. Plant size, age and technology usage have positive impacts on the likelihood that a refinery will stay open, or change ownership (rather than close down).  相似文献   
6.
Whether testosterone replacement therapy (TRT) is a lifelong treatment for men with hypogonadism remains unknown. We investigated long-term TRT and TRT withdrawal on obesity and prostate-related parameters. Two hundred and sixty-two hypogonadal patients (mean age 59.5) received testosterone undecanoate in 12-week intervals for a maximum of 11 years. One hundred and forty-seven men had TRT interrupted for a mean of 16.9 months and resumed thereafter (Group A). The remaining 115 patients were treated continuously (Group B). Prostate volume, prostate-specific antigen (PSA), residual voiding volume, bladder wall thickness, C-reactive protein (CRP), aging male symptoms (AMS), International Index of erectile function – erectile function (IIEF-EF) and International Prostate Symptoms Scores (IPSS) were measured over the study period with anthropometric parameters of obesity, including weight, body mass index (BMI) and waist circumference. Prior to interruption, TRT resulted in improvements in residual voiding volume, bladder wall thickness, CRP, AMS, IIEF-EF, IPSS and obesity parameters while PSA and prostate volume increased. TRT interruption reduced total testosterone to hypogonadal levels in Group A and resulted in worsening of obesity parameters, AMS, IPSS, residual voiding volume and bladder wall thickness, IIEF-EF and PSA while CRP and prostate volume were unchanged until treatment resumed whereby these effects were reversed. TRT interruption results in worsening of symptoms. Hypogonadism may require lifelong TRT.  相似文献   
7.
国内学术界将“中产阶层”视为社会政治“稳定—缓冲”器的认知看似符合静态的中国社会结构,但就现实而言,却忽略了转型期中国政治社会情境的复杂性和过渡性。近年来,城市中产业主引发的愈演愈烈的邻避运动,更是挑战这一传统认知。基于R市“核邻避运动”的视域,我们发现中国城市中产阶层的社会政治功能在某一特定时间流下会发生转变,甚至出现了“稳定器”和“动荡器”两个相对立的社会、政治功能。而差别阶层特质、中产精英上台等内部中介机制,以及怨愤情绪生产、政府内部分歧等外部中介机制,是中产阶层社会政治功能演化的深层机制。此外,值得注意的是,由于“身份限制”和“制度限制”的二重性,中产阶层的社会政治功能往往并不会演变为“颠覆—异化”器。  相似文献   
8.
Single cohort stage‐frequency data are considered when assessing the stage reached by individuals through destructive sampling. For this type of data, when all hazard rates are assumed constant and equal, Laplace transform methods have been applied in the past to estimate the parameters in each stage‐duration distribution and the overall hazard rates. If hazard rates are not all equal, estimating stage‐duration parameters using Laplace transform methods becomes complex. In this paper, two new models are proposed to estimate stage‐dependent maturation parameters using Laplace transform methods where non‐trivial hazard rates apply. The first model encompasses hazard rates that are constant within each stage but vary between stages. The second model encompasses time‐dependent hazard rates within stages. Moreover, this paper introduces a method for estimating the hazard rate in each stage for the stage‐wise constant hazard rates model. This work presents methods that could be used in specific types of laboratory studies, but the main motivation is to explore the relationships between stage maturation parameters that, in future work, could be exploited in applying Bayesian approaches. The application of the methodology in each model is evaluated using simulated data in order to illustrate the structure of these models.  相似文献   
9.
《Journal of Policy Modeling》2021,43(5):1016-1030
In many countries, jobseekers are entitled to unemployment benefits (UBs) only if they have previously worked a minimum period of time. This institutional feature creates a sharp change in the disutility from unemployment at UB eligibility and may distort the duration of jobs. In this paper, we evaluate this eligibility effect using a regression discontinuity approach. Our evidence is based on longitudinal social security data from Portugal, where jobseekers are required to work a relatively long period to collect UBs. We find that monthly transitions from employment to unemployment increase by 10% as soon as the eligibility condition is met. This result is driven entirely by transitions to subsidised unemployment, which increase by 20%, as non-subsidised unemployment is not affected. The effects are even larger for the unemployed with high UB replacement ratios or those who meet the eligibility condition from multiple short employment spells. These transitions deserve greater attention from UB agencies and public employment services.  相似文献   
10.
基于凸度缺口模型的商业银行利率风险最优控制及其应用   总被引:2,自引:0,他引:2  
对商业银行利率风险的管理和控制,传统的久期模型仅适用于利率变化较小和利率期限结构平移条件下的线性近似估计,否则就需要运用凸度进行调整。根据Markowitz现代组合投资理论,构造一个目标规划模型,通过合理确定其中决策变量的值,使商业银行在决策期末满足最小化利率风险和银行资产负债组合的凸度为非负的条件下收益最大化。计算实例表明,凸度缺口模型对于给定的初始值和约束条件,可以较好地减少利率风险的暴露头寸和提高收益;同时,利率风险较大时凸度缺口模型比久期缺口模型更好地减少风险暴露,鲁棒性(robustness)更强。  相似文献   
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