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排序方式: 共有9097条查询结果,搜索用时 15 毫秒
71.
Robert Guthrie 《Law & policy》2002,24(3):229-268
Workers Compensation claims are not interpersonal disputes. Almost always they are disputes between individuals and corporations. Compensation insurers are "repeat players" in the system. Workers are often "one–shotters" who have little or infrequent contact with the system. Power inequality between the worker, employer, insurer, and those who are required to facilitate negotiations and resolve and settle disputes under compensation legislation are matters of considerable importance. This paper examines the effects of the implementation, in 1993, of informal dispute resolution processes in the Western Australian workers compensation system under the Workers Compensation and Rehabilitation Act 1981(WA), which excluded lawyers from the process. It argues that preexisting power imbalances have been aggravated by these procedural changes, and in particular, by the exclusion of legal practitioners from the dispute resolution process. The issues raised herein have general application to most workers compensation systems. 相似文献
72.
Little literature has been developed to describe the process of transferring a corporation's technology between international
units of that company for ultimate transfer to their external customers (Kimberly 1981 and Leonard-Barton and Sinha 1993).
This paper addresses the issues at Air Products and Chemicals, Inc. involved in the transfer of applications technology. Technology
is transferred from the unit of the corporation which develops the technology to international affiliates and subsidiaries.
The ultimate goal is the support of product sales to the external industrial customer. A strategy for this type of organization
is described which is supported by references to theoretical constructs in the literature and empirical observations from
the organization itself. 相似文献
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John Kerbs Ph.D. Kyubeom Choi Ph.D. Stephen Rollin Ed.D. Robert Gutierrez Ed.D. Isabelle Potts J.D. Jayme Harpring Ph.D. Alia H. Creason Ph.D. Tam Dao M.S. 《American Journal of Criminal Justice》2005,30(1):121-141
Although past research has developed scales for the incidence, prevalence, and fear of student-on-student victimization (SSV),
little is known about the scaling of perceived risk (i.e., the cognitive appraisal of the chances of experiencing SSV). Hence,
this study examined self-report survey data for the perceived risk of SSV as measured in the Adolescent Index for School Safety
(AISS). Children in grades 7 through 10 (n=337) in a single Florida public school completed the AISS. Factor analyses using
Maximum Likelihood Estimation with Oblimin Rotation identified nine unique factors for perceived risk. Reliability analyses
found standardized Cronbach Alphas that ranged from .64 to .91, and seven out of the nine identified scales were above .80,
which suggested good to excellent internal consistency. Future research should examine the content validity, construct validity,
and predictive validity for the AISS and other self-report surveys of SSV dynamics.
This publication was made possible by a grant [#97-MU-FX-KO12 (S-l)] from the Office of Juvenile Justice and Delinquency Prevention
(O.J.J.D.P.), United States Department of Justice (U.S.D.O.J.). This grant is administered through the Hamilton Fish National
Institute on School and Community Violence at George Washington University. This specific study was developed and implemented
by staff at: 1) East Carolina University’s Department of Criminal Justice; and 2) Florida State University’s Center for Educational
Research and Policy Studies. All points of view and opinions in this paper are those of the authors and do not necessarily
represent the official position or policies of East Carolina University, Florida State University, the Hamilton Fish National
Institute on School and Community Violence, the O.J.J.D.P., or the U.S.D.OJ. The authors would also like to thank Dr. Bill
Doerner and Jennifer Jolley for their support, editorial feedback, and insightful comments regarding earlier drafts of this
paper. 相似文献
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This Article analyzes the development and complexities of the antitrust state action doctrine and the Local Government Antitrust Act as these doctrines apply to both "municipalities" and private entities. The restructuring of a public hospital is used as a model to facilitate the antitrust analysis. The restructuring model, which typically involves the leasing of a hospital facility by a public entity to a private nonprofit corporation, offers the unique opportunity to compare the different standards employed under the state action doctrine and the Local Government Antitrust Act. As a practical matter, the Article provides a framework for a public hospital to evaluate the impact of corporate restructuring on its antitrust liability exposure and to develop strategies to minimize antitrust risks. 相似文献
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