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231.
Goran Arbanas Ph.D. Paula Marinović M.D. Nadica Buzina Ph.D. 《Journal of forensic sciences》2020,65(6):2042-2049
Studies on differences between individuals convicted of sexual offences and nonsexual offences are sparse and there is an on-going debate as to whether sexual offenders differ from other offenders. The primary aim of this study was to determine demographic characteristics, prevalence of mental disorders, alcohol and drug use at the time of the crime and the criminal responsibility of individuals charged with sexual offences, compared to nonsexual crimes, with the aim of bringing awareness to the similarities and differences between men charged with sex offences and those charged with other crimes. This is a single-institution retrospective study of subjects charged with sexual offences and sent for institutional psychiatric evaluation to a Forensic Psychiatric Centre in an urban, academic, tertiary-care center. The control group consisted of individuals charged with nonsexual offences referred to the same center. Results showed significant differences between individuals charged with sexual offences and nonsexual offences. Men charged with sex offences more frequently committed their crimes alone and victimized children equally as often as adults. They also less frequently pleaded guilty in court. They were more likely to be abused in childhood and more often had antisocial personality disorder and paraphilias and less often substance-related disorders. The majority were considered criminally responsible. Our results show that sex offenders are different from nonsex offenders in many characteristics of their personal history, offence characteristics and forensic evaluations and these particular differences warrant different approaches to the prevention of future re-offending, compared to nonsex offenders. 相似文献
232.
This paper’s main aim is to contribute to the debate on the impact of China’s rise on the established norms and practices in the field of international development. To do so, it zooms in on a single infrastructure project, the Jakarta-Bandung high-speed rail line, which involved intense competition between China and Japan. Specifically, it examines how competition between China, a non-Western emerging power, and Japan, an OECD member, led to a recalibration of both China and Japan’s approaches to infrastructure financing in the region. The findings suggest that rather than straight convergence or competition between diverging models, there is an ongoing process of two-way adjustment between China, and representatives of the dominant global norms and practices. We also argue that to understand the implications of China’s participation in the field of international development, and its impact on the ‘rules of the game’ of global governance, researchers should avoid positioning inquiries within the premises of China’s one-directional impact on the development assistance regime. Rather, it is necessary to take into account a complex set of relationships including China, host countries and other ‘socialised’ actors, and the process of negotiation between them. 相似文献
233.
Dušan Pavlović 《Communist and Post》2019,52(1):11-24
Why do presidents in semi-presidential regimes sometimes call early elections? Is the behavior of incumbent presidents different from the behavior of presidential contenders when the former do not need to run for office but face the loss of parliamentary majority in a semi-presidential system? Prospect theory claims that agents make risky choices when facing a loss. Consequently, if incumbent presidents face a loss of majority in the parliament, they will call for early election to try to shore up or salvage the majority. To provide empirical evidence supporting this claim, prospect theory has been applied to the two presidential elections in Yugoslavia and Serbia in which two incumbent presidents, Slobodan Milo?evi? (2000) and Boris Tadi? (2012), had lost early presidential elections. The expected contribution of the paper is to deepen our understanding of how semi-presidential regimes resolve the problem of temporal rigidity and offer novel empirical data in support of the application of prospect theory in political science. 相似文献
234.
235.
Dragan Bakić 《Diplomacy & Statecraft》2014,25(4):592-612
After the Great War, Yugoslavia found her most dangerous enemy in Italy, which made every effort to destabilise its Adriatic neighbour—Albania played an important role in this policy. This analysis examines the Yugoslav stance towards aggressive Italian policy, arguing that Belgrade firmly believed it a matter of utmost importance to prevent the Italians from creating a foothold in the Balkans from which they could stir Albanian irredentism in Kosovo and menace Yugoslavia in its strategically sensitive southern regions in conjunction with Bulgaria. To prevent Italian interference, Yugoslavia championed the independence of Albania with its 1913 frontiers from the Paris Peace Conference onwards: it dropped Serbia’s—Yugoslavia’s pre-war predecessor’s—territorial ambitions centred on the town of Shkodra. Yugoslav policy-makers, however, could not maintain the allegiance of Ahmed-bey Zogu, a major Albanian chieftain, who took power in Tirana with Yugoslav support; but he then turned to Rome, which was more capable of and willing to provide financial means for the maintenance of the Albanian administration than Belgrade. There were also a number of officials who favoured a more forward policy that would put northern Albania under Yugoslavia’s control and thus more efficiently keep Italian aggressive designs in check. 相似文献
236.
237.
Bojan Bilić 《Nationalities Papers》2013,41(4):607-623
The Belgrade-based activist group Women in Black has been for twenty years now articulating a feminist anti-war stance in an inimical socio-political climate. The operation of this anti-patriarchal and anti-militarist organization, which has resisted numerous instances of repression, has not been until now systematically approached from a social movement perspective. This paper draws upon a range of empirical methods, comprising life-story interviews, documentary analysis and participant observation, to address the question as to how it was possible for this small circle of activists to remain on the Serbian/post-Yugoslav civic scene for the last two decades. My central argument is that a consistent collective identity, which informs the group's resource mobilization and strategic options, holds the key to the surprising survival of this activist organization. I apply recent theoretical advances on collective identity to the case of the Belgrade Women in Black with the view of promoting a potentially fruitful cross-fertilization between non-Western activism and the Western conceptual apparatus for studying civic engagement. 相似文献
238.
Jelena Džankić 《Nationalities Papers》2013,41(6):1080-1082
239.
Veljko Strajina M.D. Vladimir Živković M.D. Ph.D. Slobodan Nikolić M.D. Ph.D. 《Journal of forensic sciences》2013,58(2):544-547
Anomaly in the anterior papillary muscle (APM) is known to cause left ventricle outflow tract (LVOT) obstruction, and this rare congenital condition could be a cause of sudden cardiac death. This anomaly and its hemodynamic effects is similar to valvular heart disease. In our two described cases, in which cause of death was, respectively, hypertrophic cardiomyopathy and suicide by hanging, the cephalad portion of the left APM was inserted directly into the ventricular surface of the anterior mitral leaflet and chordae tendineae were absent in the area of the direct anomalous muscle insertion; the aberrant papillary muscle was very large and showed an exaggerated anterior displacement within the left ventricular cavity. The described anomaly is a cause of LVOT obstruction. This condition is considered to be rare, although incidence estimates do not exist. In the absence of other possible causes, this finding may indicate arrhythmia as being the immediate cause of death. 相似文献
240.
Sanja Bogojević 《Law & policy》2013,35(3):184-207
The purpose of this article is to show it is only in light of legal culture that climate change jurisprudence in the European Union can be explained. Examining the case law concerning the EU Emissions Trading Scheme, this article demonstrates that climate change proceedings in the European Union raise questions that stand at the heart of the EU legal order; that is, they demand that the boundaries of the EU's regulatory competences are drawn. In effect, the EU courts focus on ensuring that EU climate change laws are in accord with the rule of law or, in the context of EU law, the borders of the EU's environmental regulatory powers. As such, this article shows that attention needs to be given to the interaction between climate change laws and the constitutional role of the EU judiciary. These interactions are considered here together with the contingency of EU climate change litigation on EU legal culture. 相似文献