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21.
Previous research has considered the psychologist’s professional transition from trainee to independent practitioner. However, this work has generally focused on the experiences of psychotherapists or general psychologists. The purpose of the current commentary is to reflect on the experiences of early professional forensic evaluators. This commentary addresses four specific areas including difficulties with adversarial allegiance, perceptions of professional competency, balancing responsibilities associated with “expert” status, and roadblocks to standard test administration and scoring. When applicable, we reference empirical literature and professional ethical guidelines. We also offer suggestions for coping with these experiences. We hope this commentary will normalize these experiences for other early career evaluators as well as aid graduate students’ transition into the independent evaluator role.  相似文献   
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Abstract: The University of Mississippi has a contract with the National Institute on Drug Abuse (NIDA) to carry out a variety of research activities dealing with cannabis, including the Potency Monitoring (PM) program, which provides analytical potency data on cannabis preparations confiscated in the United States. This report provides data on 46,211 samples seized and analyzed by gas chromatography‐flame ionization detection (GC‐FID) during 1993–2008. The data showed an upward trend in the mean Δ9‐tetrahydrocannabinol (Δ9‐THC) content of all confiscated cannabis preparations, which increased from 3.4% in 1993 to 8.8% in 2008. Hashish potencies did not increase consistently during this period; however, the mean yearly potency varied from 2.5–9.2% (1993–2003) to 12.0–29.3% (2004–2008). Hash oil potencies also varied considerably during this period (16.8 ± 16.3%). The increase in cannabis preparation potency is mainly due to the increase in the potency of nondomestic versus domestic samples.  相似文献   
24.
Educational planning, in the modern sense of the term, goes back in Thailand no further than 1962, when the Second Economic and Social Development Plan (1962/66) was launched. The Second Plan included a plan for the educational system as did the Third Plan (1967/71) which is now drawing to a close. These two educational plans were based on a variety of methods, including those of making long‐term forecasts of manpower requirements. Between 1963 and 1967, five different groups prepared manpower forecasts for Thailand, some of which looked no further than 1970, while others projected manpower requirements up to 1968. In this paper we will try to assess the quality of these forecasts and, so far as it is possible, to cmmpare prediction with outcome.

The paper consists of four parts. We begin with a brief review of background data in order to highlight the problems of manpower forecasting in an economy such as that of Thailand. The second section is devoted to a detailed discussion of the first and most ambitious of the five forecasts that have been made in Thailand. This is followed by brief evaluations of the remaining four forecasts. In the fast section, we will consider the influence that these forecasts actually exerted on educational planning in Thailand.  相似文献   

25.
Abstract: Immature blow flies (Calliphoridae) are typically the first colonizers of cadavers. Identification of the early instars using traditional, morphology‐based keys is difficult because of their small size, similarity, and simplicity in external morphology. Information derived from molecular genetic data would augment the accurate identification of immature flies. Nine species of blow flies commonly found in southeastern Nebraska were used to examine the utility of molecular‐based keys. Polymerase chain reaction–restriction fragment length polymorphisms (PCR–RFLP) were investigated with 10 common, inexpensive, restriction enzymes from an amplicon of approximately 1500 bp spanning the mitochondrial cytochrome oxidase I gene. A simple molecular taxonomic key, comprising RFLP from the restriction enzymes HinfI and DraI, enabled the differentiation of all species used. Further development of PCR–RFLP, including more extensive and intensive examination of blow flies, would benefit forensic laboratories in the accurate identification of evidence consisting of immature blow flies.  相似文献   
26.
According to conventional wisdom, associations that are closely linked with and penetrated by an authoritarian state are significant chiefly as symbols of state domination of society. Yet a review of empirical evidence suggests that the nature and significance of incorporated or co-opted associations varies much more widely than the conventional perspective suggests. Not only are close association-state linkages sometimes looked upon favorably by societal participants, but some independent societal associations actually seek to be co-opted by an authoritarian state. Moreover, incorporated associations often have more to do with strategies by state agencies and officials to accomplish parochial goals than with state efforts to control society. This article elucidates a new analytical perspective for understanding the dynamics and functioning of incorporated associations, citing a wide range of empirical cases to show how this perspective facilitates a better understanding of the kinds of state-society engagement that occur within and through incorporated associations. The article concludes with a brief analysis of associations in contemporary China that builds on the preceding discussion, illuminating the importance of local-level interactions in determining the character of incorporated associations. Kenneth W. Foster is a Ph.D. candidate in the department of political Science at the University of California, Berkeley. His research interests include state-society relations in developing countries, comparative public administration and organizational behavior, and the politics of China and Taiwan. His Ph.D. dissertation focuses on the relationship between bureaucratic processes and the emergence of associations in contemporary China.  相似文献   
27.
ABSTRACT

This paper develops expectations about the likelihood of diversionary conflict initiation by parliamentary democracies with single-party majoritarian (SPM) governments. While most of the literature on diversion and governmental arrangement claims that SPMs have little incentive and/or limited capacity to execute diversionary gambits, we contend that the structural and environmental impetuses for diversion in such states are in fact largely indeterminate. We posit that the psychological attributes of prime ministers under SPM – in particular, their level of distrust – is the most important predictor of how they view structural and environmental constraints, and thus of whether they will militarily divert from poor economic conditions. Distrustful prime ministers are predisposed to the use of force, will dwell on the costs of economic problems, and fear that co-partisan MPs (especially in the cabinet) have designs on their office. Thus, despite having a legislative majority, these leaders will choose diversionary conflict over economic policy fixes. We conduct a partial test of this hypothesis in the British case from 1945 to 2007, and our analyses provide robust support.  相似文献   
28.
The federal government passed legislation in the 1960's and 70's to increase physician supplies and reduce spatial inequalities in access to physicians. A major policy was to aggressively continue increasing the overall supply of physicians on the assumption that market forces would eventually divert physicians from areas of high physician density to those of low density. Using state-level, annual data collected over a 21-year period, this paper investigates the macro-scale spatial diffusion of physicians as an essential element in evaluating this policy. The results provide evidence of the policy impacting locational trends relating to primary care physicians, but not specialists. They also indicate that the Medicaid/Medicare programs may have adversely affected the maldistribution problem.  相似文献   
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Inequality in both income and wealth has grown rapidly in the United States since the 1970s. Over the same period, homeownership rates increased in step with expansionist government policies and the development of subprime and other exotic loan products, and housing affordability challenges emerged as the most prevalent housing problem for owners and renters alike. The subprime lending and foreclosure crises of the 2000s stretched households financially, threatening the traditional economic benefits of homeownership, bringing into stark relief the ways in which housing and inequality mutually influence one another, and implicating homeownership, housing affordability, and subprime lending in the widening gap between the rich and the poor. This article examines the changing roles of homeownership, housing affordability, and subprime lending in contemporary U.S. inequality by, first, describing trends in county inequality and housing characteristics and, second, modeling inequality as a function of the previous decade's housing characteristics over the period of 1980–2010. We build upon past models of county inequality by more explicitly considering causal order, place characteristics, and state and regional fixed effects. The results confirm that homeownership, affordability, and subprime lending not only reflect existing inequalities but also perpetuate those inequalities over time. Homeownership promotes equality, affordability problems undermine it, and subprime lending has the potential to ameliorate inequality in certain contexts, but these effects shift significantly over time, particularly as a result of widespread foreclosures and economic recession. Our analysis establishes the importance of housing in explaining contemporary inequality, highlights how place characteristics and causal ordering may improve county inequality models, and provides a foundation for future studies examining inequality in light of the Great Recession and the foreclosure crisis.  相似文献   
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