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Content
2011, Volume 31, Issue 2
2011, Volume 31, Issue 1
- 1-2 Measuring financial risk using extreme value theory: evidence from pakistan
by Abdul Qayyum & Faisal Nawaz
- 1-3 Social Decision Making: Bridging Economics and Evolutionary Biology
by Claire El mouden & Claire El mouden
- 1-4 Microeconomic Aspects of the Globalization of Inflation
by Mark Wynne & Raphael Auer
- 1-5 Are domestic Asian markets integrated with the regional one? An empirical assessment
by Khaled Guesmi
- 1-6 Co2 emissions, energy imports, economic growth in pakistan: causality analysis
by Muhammad Anees
- 1-7 Revealed comparative advantage and the context of brazil in international dairy market
by Kennya Siqueira & Glauco Carvalho & Lucas Campio Pinha
- 1-8 Free trade agreements, exhange rates and foreign portfolio investment in pakistan. dynamic causality analysis
by Muhammad Anees & Ahmed Jamil & Faisal Shahzad
- 1-8 Long-run strong-exogeneity
by Christophe Rault
- 1-9 Public participation, government regulation and environment pollutions in china: a causality analysis using regional panel data
by Wen-bin Peng & Kun Tian & Yin-Hua Tian & Guo-Cheng Xiang
- 1-10 Governance Quality, Market Structure and Innovation: An International Conference
by Mehmet Ugur & Mehmet Ugur
- 1-11 A VAR analysis of FDI and environmental regulation: China's case
by Wen-bin Peng & Kun Tian & Guo-Cheng Xiang
- 1-12 Summer School "Religion, Culture and Society" (28 August - 4 September 2011)
by Christel Van wonterghem & Sara Mels
- 1-13 Changes in human development in developing countries: an empirical assessment
by Minh Dao
- 1-14 BMRC-QASS Conference on Macro and Financial Economics
by Menelaos Karanasos & Menelaos Karanasos
- 1-15 Eefs2011
by Theodore Panagiotidis & Georgios Chortareas
- 1-16 Effects of global financial crisis on turkey [ küresel finans krizinin türkiye'ye etkileri ]
by Aykut Kibritçioğlu
- 1-17 Central European Program in Economic Theory (CEPET) Workshop
by Nicholas Baigent & Nicholas Baigent
- 9-16 The tragedy of commons and free mobility
by Dolgorsuren Dorj
- 17-28 Public debt accumulation and institutional quality: can corruption improve welfare?
by Pierre Faure
- 29-34 A note on the relationship of mainstream and art house movie theaters
by Christopher Müller & Enrico Böhme
- 35-40 Pitfall of simple permanent income hypothesis model
by Kazuto Masuda
- 41-52 Reexamining the Economics of Marital Infidelity
by Joel Potter
- 53-65 Do editors favor their students' work? A test of undue favoritism in top economics journals
by Michael J Hilmer & Christiana E Hilmer
- 66-74 The necessary condition for stability in Tobin's Walras-Keynes-Phillips model: A note
by Subrata Guha
- 75-84 Network externalities and differentiation in an entry model
by Stefano Colombo
- 85-92 Efficiency vs. market-power effects in the mobile-voice industry
by Corrado Andini
- 93-99 Exploring the inter-industry wage premia in Portugal along the wage distribution: evidence from EU-SILC data
by Marco Biagetti & Sergio Scicchitano
- 100-105 A note on concavity, homogeneity and non-Increasing returns to scale
by Juan David Prada
- 106-115 Direct proofs of order independence
by Krzysztof R. Apt
- 116-121 Voluntary agreements with Industries - participation incentives with industry-wide targets: a comment
by Anne-sarah Chiambretto & Hubert Stahn
- 122-133 Relationship between financing facilities and small and medium industries: empirical evidence from ARDL bound testing approach
by Mori Kogid & Kasim Mansur & Dullah Mulok & Julian P. Sidin
- 134-146 Are EU-15 and CEEC agricultural exports in competition? Evidence for 1995-2005
by Marie-Line Duboz & Julie Le Gallo
- 147-155 Innovation and Growth in the Grossman-Helpman's 1991 Model with Increasing Returns
by Giulio Guarini
- 156-166 A note on horizontal mergers in vertically related industries
by Marie-Laure Allain & Saïd Souam
- 167-176 The Porter hypothesis and hyperbolic discounting
by Prabal Roy Chowdhury
- 177-188 Discriminating strategic reciprocity and acquired trust in the repeated trust-game
by Sacha Bourgeois-gironde & Anne Corcos
- 189-207 Are Fruit and Vegetable Prices Non-linear Stationary? Evidence from Smooth Transition Autoregressive Models
by Jhih-Hong Zeng & Chun-ping Chang & Chien-chiang Lee
- 208-217 Human resource management on dairy farms: Does investing in people matter?
by Jeffrey Hyde & Sarah A. Cornelisse & Lisa A. Holden
- 218-232 Estimating Tax-Elasticities of Foreign Direct Investment: The Importance of Tax Havens
by Peter Schwarz
- 233-244 The Cournot-Bertrand profit differential in a differentiated duopoly with unions and labour decreasing returns
by Luciano Fanti & Nicola Meccheri
- 245-254 Individual and institutional determinants of the male female wage gap among U.S. economics faculty
by Todd L Cherry & Garey C. Durden & Patricia E. Gaynor
- 255-272 Anticipating correlations between EUAs and CERs: a Dynamic Conditional Correlation GARCH model
by Julien Chevallier
- 273-285 Fair wages, Urban Unemployment and Welfare in a Developing Economy
by Hamid Beladi & Chi-chur Chao & Daniel Hollas
- 286-296 Coalition Stability with Heterogeneous Agents
by Alejandro Caparrós & Eric Giraud-Héraud & Abdelhakim Hammoudi & Tarik Tazdaït
- 297-308 A flexible CO2 targeting regime
by Peter Karpestam & Fredrik NG Andersson
- 309-314 Profitability, success probabilities, and incentives for cooperative R&D
by Wen-chung Guo
- 315-323 Financial Confidence Among Retirees: The Role of Financial Advice and Planning Duration
by Swarnankur Chatterjee & John R. Salter & Nathaniel J. Harness
- 324-341 Health and Early Retirement: Evidence from French Data for individuals
by Thomas Barnay & Karine Briard
- 342-357 Threshold Effect and Financial Intermediation in Economic Development
by Laurent Augier & Wahyoe Soedarmono
- 358-366 The European fiscal framework: What lessons can we learn from the crisis?
by Christophe Schalck
- 367-374 Long-run Determinants of Sovereign Yields
by Christophe Rault & António Afonso
- 375-387 A note on poor-institution traps in international fiscal policy games
by Pierre Faure
- 388-395 The gains from commitment when inflation persistence and data uncertainty coexist
by Daisuke Ida
- 396-403 The Bus Rapid Transit Project in Bangkok: A Case of Traffic Misallocations?
by Thiraphong Vikitset
- 404-415 Has fiscal discretion during good times and bad times changed in the euro area countries?
by Florence Huart
- 416-425 Economic Growth and Government Size in OECD Countries: New Evidence from the Quantile Regression Approach
by Sheng-Tung Chen & Chi-Chung Chen & Yoonbai Kim
- 426-435 Heterogeneity in a Class of Two-Player Games
by Charles Figuières & Frédéric Rychen
- 436-441 A gender-adjusted measure of literacy
by Sreenivasan Subramanian
- 442-452 Identifying efficiency drivers in the greek sausage industry: a double bootstrap DEA approach
by Ioanna Keramidou & Angelos Mimis & Evangelia Pappa
- 453-465 Governance and Foreign Aid in ASIAN Countries
by Aviral Kumar Tiwari & Mamoni Kalita
- 466-472 Estimating the size of the trade sector in the Economic Freedom of the World index
by Joshua C Hall & Robert Lawson & Chuck Skipton
- 473-484 The Long-Run Relationship Between Inflation and the Markup in the U.S
by Sandeep Mazumder
- 485-492 A note on the existence of monetary equilibrium in a stochastic OLG model with a finite state space
by Eisei Ohtaki
- 493-498 In search of a selfish central banker? a note
by Eric Dehay
- 499-506 Small buyers
by Chris Doyle
- 507-518 Universities and authors: a ranking for international finance
by Paulo S.A. Sousa & Pedro Cosme C. Vieira
- 519-533 Foreign aid, women in parliament and corruption: empirical evidence from the 2000s
by Elias K Shukralla & William J Allan
- 534-545 Power in the European Union: an evaluation according to a priori relations between states
by Sébastien Courtin
- 546-559 Learning strategies in modelling economic growth
by Juan Gabriel Brida & Juan S. Pereyra & Wiston Adrián Risso
- 560-571 Does asymmetric information play a role in explaining the Asian crisis? Application to Indonesian and Malaysian cases using a two-state Markov Switching model
by Emna Trabelsi
- 572-583 Structural Changes and Regional Disparity in China's Inflation
by Terence Tai-Leung Chong & Ning Zhang & Qu Feng
- 584-590 Semiparametric estimation of on-stie count data models
by Masaki Narukawa & Katsuhito Nohara
- 591-604 Estimating the Wage Curve with Spatial Effects and Spline Functions
by Martin Falk & Thomas Leoni
- 605-612 Volatility of Remittances to Pakistan: What do the Data Tell?
by Mazhar Yasin mughal & Farid Makhlouf
- 613-622 Local finance-growth nexus: Does bank ownership matter?
by Masanori Ohkuma & Teruo Mori
- 623-630 A solution concept for housing market problems with externalities
by Alfredo Salgado-Torres
- 631-643 Antidumping Petition: To File or Not To File
by Shih-Jye Wu & Yang-Ming Chang & Hung-Yi Chen
- 644-653 Explaining cross-industry heterogeneity in price stickiness
by Luis Julián Álvarez & Pablo Burriel & Ignacio Hernando
- 654-661 Plurality with run-off and triangulars
by Abdoul Aziz Ndiaye
- 662-678 Symmetry of shocks across China: a VAR approach
by Yuexing Lan & Kevin Sylwester
- 679-686 Mean-reverting behavior of consumption-income ratio in OECD countries: evidence from SURADF panel unit root tests
by Shu-Yi Liao & Mao-Lung Huang & Lan-Hsun Wang
- 687-698 Social Insurance and Wealth Distribution
by Minchung Hsu
- 699-707 A Note on Income Heterogeneity, Dietary Choice and Medical Services: Implications for Health Outcomes
by Pedro Gomis-Porqueras & Junsang Lee
- 708-713 Global sourcing – a critical reconsideration of sector definitions
by Christian Schwarz
- 714-721 Collusion in repeated auctions: a simple dynamic mechanism
by Wouter Vergote
- 722-738 Residential segregation and black-white intermarriage
by Finn Christensen
- 739-748 Income Inequality in Rural India: Decomposing the Gini by Income Sources
by Mehtabul Azam & Abusaleh Shariff
- 749-758 Manipulation of the Borda rule by introduction of a similar candidate
by Jérôme Serais
- 759-770 Monetary Policy, Asset Price Inflation and Consumer Price Inflation
by Fredrik NG Andersson
- 771-781 The diffusion of new technology: adoption subsidies, spillovers, and transaction costs
by Chokri Dridi & Naceur Khraief
- 782-791 Noise traders or Fundamentalists? A Wavelet approach
by François Benhmad
- 792-806 A wavelet analysis of oil price volatility dynamic
by François Benhmad
- 807-811 Mind the gap! A note on the income and the substitution effects
by Luca Panaccione
- 812-819 Marshall`s Rules with Aggregate Inputs
by Alberto Behar
- 820-829 Do procedures matter in fairness allocations? Experimental evidence in mixed gender pairings
by Utteeyo Dasgupta
- 830-843 Hurst's exponent behaviour, weak-form stock market efficiency and financial liberalization: the Tunisian case
by Chaker Aloui & Ben hamida Hela
- 844-859 Population growth and standard of living: A threshold regression approach
by Fumitaka Furuoka & Qaiser Munir
- 860-873 Are exports and imports cointegrated in India and China? An empirical analysis
by Aviral Kumar Tiwari
- 874-882 On the performance of the representative agent during out-of-equilibrium dynamics
by Zakaria Babutsidze
- 883-892 Impacts of Macroeconomic Variables on the U.S. Stock Market Index and Policy Implications
by Yu Hsing
- 893-904 Does offering more Advanced Placement courses increase enrollment?
by Bree J Lang
- 905-915 A new monetary aggregates measurement: Application to Taiwanese data
by Ju-Ann Yang & Shyan-Rong Chou & Chen-Hsun Lee
- 916-924 Modeling interbank relations during the international financial crisis
by Christos S Savva
- 925-937 The "spurious regression problem" in the classical regression model framework
by Gueorgui I. Kolev
- 938-949 The Stackelberg equilibrium as a consistent conjectural equilibrium
by Ludovic A. Julien & Olivier Musy & Aurélien W. Saidi
- 950-959 Trade Flows of Bangladesh: A Gravity Model Approach
by Mili Roy & Md. Israt Rayhan
- 960-968 Do on/off time series models reproduce emerging stock market comovements?
by Mohamed el hédi Arouri & Fredj Jawadi
- 969-988 Relative Factor Return Gaps in Labour Markets and Global Integration
by Dawood Mamoon
- 989-1003 Optimizing the new formulation of the United Nations' human development index: An empirical view from data envelopment analysis
by Stéphane Blancard & Jean-François Hoarau
- 1004-1017 Aid unpredictability and absorptive capacity: analyzing disbursement delays in Africa
by Gaoussou Diarra
- 1018-1024 An incentive to increase laborers' productivity with adopting performance-based wages and paid vacations
by Yui Nakamura
2010, Volume 30, Issue 4