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31.
Sagit Leviner 《Regulation & Governance》2008,2(3):360-380
Recent developments in regulation and tax administration in Australia inspired this article on tax compliance and responsive regulation. This article analyzes the economics of crime and compliance as the dominant approach to tax enforcement of the past three and a half decades. It evaluates the key advantages and disadvantages of the economic approach as well as its application to tax. The article then explores responsive regulation as an alternative method that draws on the economic paradigm but also supplements this approach with other theories, particularly those involving identity, conflict escalation, and procedural justice. Building on this analysis and a case study of Australian investors in mass marketed tax schemes, the article suggests that the broader, more balanced, and closely tailored method of regulating responsively may enable regulators to draw on the advantages of the economic model while alleviating some of its drawbacks. Responsive regulation may therefore constitute a superior method for regulating compliance. 相似文献
32.
Julia Black 《Regulation & Governance》2008,2(2):137-164
The legitimacy and accountability of polycentric regulatory regimes, particularly at the transnational level, has been severely criticized, and the search is on to find ways in which they can be enhanced. This paper argues that before developing even more proposals, we need to pay far greater attention to the dynamics of accountability and legitimacy relationships, and to how those in regulatory regimes respond to them. The article thus first seeks to develop a closer analysis of three key elements of legitimacy and accountability relationships which it suggests are central to these dynamics: The role of the institutional environment in the construction of legitimacy, the dialectical nature of accountability relationships, and the communicative structures through which accountability occurs and legitimacy is constructed. Second, the article explores how organizations in regulatory regimes respond, or are likely to respond, to multiple legitimacy and accountability claims, and how they themselves seek to build legitimacy in complex and dynamic situations. The arguments developed here are not normative: There is no “grand solution” proposed to the normative questions of when regulators should be considered legitimate or how to make them so. Rather, the article seeks to analyse the dynamics of legitimacy and accountability relationships as they occur in an attempt to build a more realistic foundation on which grander “how to” proposals can be built. For until we understand these dynamics, the grander, normative arguments risk being simply pipe dreams – diverting, but in the end making little difference. 相似文献
33.
Axel Marx 《Regulation & Governance》2008,2(2):253-273
Non‐state market regulation has become a central focus and continues to receive scholarly attention. The present paper provides an assessment of the conditions under which multinational firms join a multi‐stakeholder certification initiative. The cases of the Fair labor Association and 17 international sport footwear companies have been selected for this purpose. A Qualitative Comparative Analysis of the 17 cases is performed. The paper argues that the combination of sustained NGO pressure and public ownership of a firm is a necessary precondition for firms joining a multi‐stakeholder certification initiative. The theoretical and policy implications of this result are discussed. 相似文献
34.
我国签订的双边投资协定中一般都规定了投资者与东道国政府间投资争端的解决方式,尤其是晚近我国所签订的双边投资协定多数允许投资者将争端提交国际仲裁。但是,在目前全球应对气候变化背景下,作为温室气体排放大国,我国有义务控制和减少温室气体的排放,采取相应的环境规制措施,这些环境规制措施可能会损害或影响到外国投资者在我国的利益。根据双边投资协定,外国投资者可能会将这些争端提交国际仲裁,我国有可能被国际仲裁庭裁定为此对外国投资者承担相应的赔偿责任。面对新形势,我国必须重新审视双边投资协定中投资者与东道国投资争端解决方式的相关规定。 相似文献
35.
2008年金融危机的产生与游离于监管体系之外的影子银行的崩溃密不可分。在后危机时代,国际社会金融监管改革中很重要的一个方面即是加强对影子银行的监管。美欧等发达金融体已纷纷采取多种改革办法加强对其监管。以金融稳定理事会为代表的国际组织亦对影子银行监管进行研究,并形成了相关建议。影子银行对金融体系带来的主要威胁是系统性风险和监管套利,改革现有金融监管法制的重点也在于此。我国应当积极参与此方面的国际金融法制改革,并适时加强国内的法制建设。 相似文献
36.
为了提高金融监管的有效性,越来越多的国家开始采用统一监管的模式,或者通过建立职责覆盖全部金融领域的统一监管机构,或者将两个主要的监管机构合并。统一监管模式在提高监管有效性、对金融集团实施监管、降低监管成本方面具有制度优势,但在监管权力和机构整合问题上存在困难,这需要结合一国的实际情况制定监管改革方案。 相似文献
37.
美国社会执法实践中广泛存在诱惑侦查的使用,关于诱惑侦查的法律和制度规制经过长期演变和经验积累,形成了较为完整的诱惑侦查制度。本文通过对美国诱惑侦查制度的法律规定和具体实践的探究,以期为完善公安机关执法工作提供一些参考。我们应借鉴美国关于诱惑侦查方式运用的有益经验,加快有关诱惑侦查领域的立法进程,明确具体的法律规定。公安机关在执法实践中应正确认识诱惑侦查的合理性,慎用诱惑侦查手段,严格遵循程序执法,规范自身执法行为,积极改进执法方式。 相似文献
38.
AbstractThe goal of this special issue is to highlight the importance of unconventional social policies, theorize their development in comparison with traditional welfare state accounts and outline a new research agenda. In this introduction to the special issue, the editors present the concept of social policy by other means as encompassing two kinds of unconventional social policy (from the point of view of mainstream comparative research): First, functional equivalents to formal systems of social protection and, second, non-state provision of benefits. The concept builds upon a sizeable, but fragmented literature in comparative welfare state research. While numerous examples demonstrate that social policy by other means is more pervasive in both OECD and non-OECD countries than often acknowledged, a brief survey of the top 20 articles in the field reveals that this fact is not sufficiently reflected in the academic literature. With reference to both existing studies and the contributions to this special issue, the editors go on to explore (1) the different forms of social policy by other means, (2) explanatory theories and (3) their effectiveness in terms of social outcomes. They close by outlining a research agenda. 相似文献
39.
证券跨境交易的监管模式研究 总被引:1,自引:0,他引:1
经济全球化是当今世界经济活动的主旋律。作为经济全球化重要组成部分的证券市场也日益国际化。证券市场的国际化一方面为全球资本实现了跨国境的自由融通,促进了世界经济的发展,另一方面又为证券跨国从事各种不法行为提供了广阔的便利空间。针对证券跨境交易的不法行为,现行有效的监管模式应该是:在强化单边法律监管的同时,积极参与国际监管的协调。 相似文献
40.
May Chu 《Regulation & Governance》2020,14(3):514-530
This paper examines the evolution of China's food standard‐setting procedures from both domestic and international perspectives, particularly in the context of the internationalization of regulation. After the reform and opening‐up in 1978, state actors and leading enterprises monopolized the process of national food standard setting. With further participation in the global economy in the 21st century, China has become familiar with the international standard‐setting procedures and has modeled its domestic policymaking on these practices. This has resulted in a more transparent, inclusive, scientific, pluralized, and consensus‐based form of decisionmaking. By contrast, the standards of the strategic industries have been harmonized to the standards of international counterparts through a top‐down and authoritarian approach. This paper argues that China uses an accommodative approach, trichotomizing suitable standards and decisionmaking procedures in terms of inclusiveness and transparency, which suits the developmental needs of the domestic market, food export markets, and strategic industries. 相似文献