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排序方式: 共有249条查询结果,搜索用时 15 毫秒
1.
结合涉外企业投入与产出所处市场的分割程度或一体化程度,分析了当地企业、进口企业、出口企业或全球经营企业所面临的货币经营风险;对计量涉外企业货币经营风险的方法进行比较,认为管理层估计法对于计量货币经营风险以及制定相应的竞争对策有着重要作用;分别从金融性套期保值、经营性套期保值和营销策略等视角讨论货币经营风险的管理。笔者认为:金融性套期保值通过锁定涉外企业的外币现金流出或流入,可部分抵消涉外企业的货币经营风险暴露;经营性套期保值通过调整企业的经营业务并尽可能多地增加经营现金流,可从根本上提高涉外企业适应汇率变化的能力;通过影响涉外企业及其竞争对手所处的经营环境,营销策略有助于降低涉外企业的货币经营风险暴露。 相似文献
2.
金融危机对中国发展碳金融的影响及对策分析 总被引:3,自引:0,他引:3
2007年以来,席卷全球的金融危机已经对世界各国的金融体系造成了或大或小的影响,这对于全球碳金融市场——这个刚刚起步并稍显呈现欣欣向荣之势的市场无疑是一个利空消息。本文总结了国际碳交易市场在金融危机来袭时的表现,着重分析了中国通过清洁发展机制参与国际碳金融市场并受金融危机影响的表现,探讨了在金融危机的大环境中,中国作为发展中国家如何在危机中寻求生存并发展。 相似文献
3.
Ulrich Oberndorfer Peter Schmidt Marcus Wagner Andreas Ziegler 《Journal of Environmental Economics and Management》2013
This paper empirically analyzes the effect of the inclusion of German corporations in the Dow Jones STOXX Sustainability Index (DJSI STOXX) and the Dow Jones Sustainability World Index (DJSI World) on stock performance. In order to receive robust estimation results, we apply an (short-term) event study approach that is based on both a modern asset pricing model, namely the three-factor model according to Fama and French [24], and additionally a t-GARCH(1,1) model. Our empirical results suggest that stock markets may penalize the inclusion of a firm in sustainability stock indexes. This finding is mainly driven by a strongly negative effect of the inclusion in the DJSI World. In contrast, we do not find significant average cumulative abnormal returns for the inclusion in the DJSI STOXX. This suggests that the inclusion in a more visible sustainability stock index may have larger negative impacts. 相似文献
4.
Lauren A. Patterson Jeffrey Hughes Glenn Barnes Stacey I. Berahzer 《Journal of the American Water Resources Association》2012,48(4):838-848
Patterson, Lauren A., Jeffrey Hughes, Glenn Barnes, and Stacey I. Berahzer, 2012. A Question of Boundaries: The Importance of “Revenuesheds” for Watershed Protection. Journal of the American Water Resources Association (JAWRA) 48(4): 838‐848. DOI: 10.1111/j.1752‐1688.2012.00655.x Abstract: Watersheds transcend jurisdictional boundaries; raising important questions of who should pay for watershed protection, and how can watershed governance be funded? The responsibility and cost for watershed protection has progressively devolved to local governments, resulting in additional negative externalities and financing challenges. Watershed governance structures have formed at the scale of the watershed, but they often lack the financing mechanisms needed to achieve policy goals. Financing mechanisms via local governments provide a reliable source of revenue and the flexibility to address watershed specific issues. We develop a “revenueshed” approach to access the initial challenges local governments face when seeking to finance trans‐jurisdictional watershed governance. The revenueshed approach engages local governments into discussion and implementation of financial strategies for collaborative watershed governance. Legislation places water quality regulations primarily on local governments inside the watershed. The revenueshed approach extends the financial and stewardship discussion to include local governments outside the watershed that benefit from the watershed. We applied the revenueshed approach to the Mills River and Upper Neuse watersheds in North Carolina. Mills River had a partnership governance seeking revenue for specific projects, whereas the Upper Neuse sought long‐term financial stability to meet new water quality legislation. 相似文献
5.
Wan Kailiang Long Wenjun 《中国人口.资源与环境(英文版)》2007,5(4):42-48
The issue of agricultural insurance subsidy is discussed in this paper aiming to make it provided more rationally and scientifically. It is started with the connection between agricultural insurance and financial subsidy. It is really necessary and crucial to implement the financial insurance due to the bad operational performance, especially in the developing countries. But the subsidy should be provided more rationally because financial subsidy has lots of negative effects. A model in competitive insurance markets developed by Ahsan et al (1982) and a farmers' decision model are developed to solve the optimal subsidized rate. Finally, the equation is got to calculate it. But a quantitative subsidized rate is not made here because the calculation should be under some restricted conditions, which are always absent in the developing countries. So the government should provide some subsidy for the ex ante research and preparation to get the scientific probability and premium rate. 相似文献
6.
Christine L. Jocoy 《Journal of the American Water Resources Association》2000,36(4):811-821
ABSTRACT: Research on the condition of drinking water provision in the United States documents the inequitable financial impact of environmental regulations on small water systems (those serving 3,300 or fewer people). While a variety of federal and state financial assistance programs are available for water systems, few quantitative analyses have evaluated the success of these programs in alleviating the problems of small systems. A case study of the largest aid initiative for water supply infrastructure in Pennsylvania provides the empirical framework through which to analyze government funding opportunities for water systems. This study examines the allocation practices of the Pennsylvania Infrastructure Investment Authority (PENNVEST) to water systems of varying sizes. Utilizing data from PENNVEST applications and the Pennsylvania Department of Environmental Protection, the distribution of PENNVEST award recipients and denied applicants by size characteristics are compared. The study indicates that very small water systems (those serving 500 or fewer) do not apply for or receive funds with the same frequency as their larger counterparts. Understanding the allocation of awards from PENNVEST offers insight into the ability of small communities to access capital for water supply infrastructure. 相似文献
7.
Rudra P. Pradhan Mahendhiran S. Nair Mak B. Arvin John H. Hall 《Natural resources forum》2023,47(3):435-483
This article postulates strong endogenous relationships in lower income countries between institutional quality, financial development and sustained economic growth. These associations were investigated using the vector-error correction model (VECM) and Granger causality method for a sample of 79 countries from 2005 to 2022. The findings show that (1) these variables reinforce each other in the short run. (2) In the long run, both institutional quality and financial development can fuel economic growth. (3) The positive effect of institutional quality on economic growth is greater than that of financial development. Policy implications of these findings are that careful attention should be paid to co-development policies to enhance the institutional quality and the financial system in these economies. Policies should also consider economic growth strategies to enable sustainable economic growth rates. 相似文献
8.
9.
受全球金融危机的影响及我国新税政的实施,我国再生资源回收产业陷入前所未有的困境。针对当前我国再生资源回收产业所面临的突出问题和实际困难,提出扶持再生资源回收产业发展的若干建议。 相似文献
10.
欧盟国家开展节能减排较早,并积累了丰富的经验。比较了在金融危机影响下欧盟与中国在节能减排法律框架、管理方式、经济政策、产业政策和技术创新方面的异同,提出中国应该借鉴欧盟国家的先进经验,完善现有的节能减排政策体系,实现经济和社会的可持续发展。 相似文献