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Content
2020, Volume 84, Issue C
2019, Volume 83, Issue C
- 2-7 Evidence of price discovery on the Indonesian stock exchange
by Sharma, Susan Sunila & Thuraisamy, Kannan & Madyan, Muhammad & Laila, Nisful
- 8-16 Which is the best: A comparison of asset pricing factor models in Chinese mutual fund industry
by Sha, Yezhou & Gao, Ran
- 17-30 The comovement and causality between stock market cycle and business cycle in China: Evidence from a wavelet analysis
by Si, Deng-Kui & Liu, Xi-Hua & Kong, Xianli
- 31-41 How does business strategy affect wage premium? Evidence from China
by Sheng, Yan & Huang, Zhixiong & Liu, Chen & Yang, Zhiqing
- 42-50 Does religious faith affect household financial market participation? Evidence from China
by Yang, Yang & Zhang, Cheng & Yan, Yu
- 51-64 The impact of government subsidies on the capacity utilization of zombie firms
by Liu, Guangqiang & Zhang, Xiaojie & Zhang, Wanting & Wang, Di
- 65-83 The road to innovation vs. the role of globalization: A dynamic quantile investigation
by Zheng, Mingbo & Feng, Gen-Fu & Feng, Suling & Yuan, Xuemei
- 84-95 Energy insecurity in Asia: A multi-dimensional analysis
by Le, Thai-Ha & Chang, Youngho & Taghizadeh-Hesary, Farhad & Yoshino, Naoyuki
- 96-110 The impact of liquidity constraints on the cash-futures basis dynamics: Evidence from the Chinese market
by Wu, Lei & Zeng, Hongchao
- 111-126 Intricacies of competition, stability, and diversification: Evidence from dual banking economies
by Azmi, Wajahat & Ali, Mohsin & Arshad, Shaista & Rizvi, Syed Aun R.
- 127-140 The global effects of productivity gains in Asian emerging economies
by Dumrongrittikul, Taya & Anderson, Heather & Vahid, Farshid
- 141-149 Noise traders and smart money: Evidence from online searches
by Hervé, Fabrice & Zouaoui, Mohamed & Belvaux, Bertrand
- 150-159 Natural resources, economic growth and geography
by González-Val, Rafael & Pueyo, Fernando
- 160-172 Activity strategies, information asymmetry, and bank opacity
by Tran, Dung Viet & Hassan, M. Kabir & Houston, Reza
- 173-194 A tale of two countries: Directed technical change, trade and migratory movements
by Leite, Duarte N. & Afonso, Óscar & Silva, Sandra T.
- 195-209 Financial flows and economic growth in developing countries
by Combes, Jean-Louis & Kinda, Tidiane & Ouedraogo, Rasmané & Plane, Patrick
- 210-220 US state health expenditure convergence: A revisited analysis
by Clemente, Jesús & Lázaro-Alquézar, Angelina & Montañés, Antonio
- 221-233 The evolution of monetary policy effectiveness under macroeconomic instability
by Lopez-Buenache, German
- 234-244 Central bank forecasts and private expectations: An empirical assessment from three emerging economies
by de Mendonça, Helder Ferreira & de Deus, Joseph David Barroso Vasconcelos
- 245-255 Small business lending and credit risk: Granger causality evidence
by Aysan, Ahmet Faruk & Disli, Mustafa
- 256-269 Has the Feldstein-Horioka puzzle waned? Evidence from time series and dynamic panel data analysis
by Dash, Santosh Kumar
- 270-286 Search efficiency, wage dynamics and welfare
by Avcioglu, Sahin & Karabay, Bilgehan
- 287-298 R&D based knowledge capital and future firm growth: Evidence from China’s Growth Enterprise Market firms
by Li, Xing & Hou, Keqiang
- 299-311 The communication and European Regional economic growth: The interactive fixed effects approach
by Liu, Hao
- 312-325 Steady state adjusting trends using a data-driven local polynomial regression
by Fritz, Marlon
- 326-345 What drives German foreign direct investment? New evidence using Bayesian statistical techniques
by Camarero, Mariam & Montolio, Laura & Tamarit, Cecilio
- 346-363 The evolution of corruption and development in transitional economies: Evidence from China
by Chan, Kenneth S. & Dang, Vinh Q.T. & Li, Tingting
- 364-371 Investment horizons, cash flow news, and the profitability of momentum and reversal strategies in the Chinese stock market
by Gang, Jianhua & Qian, Zongxin & Xu, Tiange
- 372-383 Expected work experience and the gender wage gap: A new human capital measure
by Zveglich, Joseph E. & van der Meulen Rodgers, Yana & Laviña, Editha A.
- 384-393 Optimal income taxation when couples have endogenous bargaining power
by Komura, Mizuki & Ogawa, Hikaru & Ogawa, Yoshitomo
- 394-405 A moving blocks empirical likelihood method for panel linear fixed effects models with serial correlations and cross-sectional dependences
by Qiu, Jin & Ma, Qing & Wu, Lang
- 406-414 Gender imbalance in China’s marriage migration: Quantitative evidence and policy implications
by Wang, Qingbin & Zou, Yang & Fan, Dan
2019, Volume 82, Issue C
- 2-12 Do oil prices predict Indonesian macroeconomy?
by Sharma, Susan Sunila & Phan, Dinh Hoang Bach & Iyke, Bernard
- 13-20 Transmission channels of the resource curse in Africa: A time perspective
by Henry, Alexandre
- 21-34 International sanctions’ impact on energy efficiency in target states
by Chen, Yin E. & Fu, Qiang & Zhao, Xinxin & Yuan, Xuemei & Chang, Chun-Ping
- 35-41 The impacts of energy insecurity on household welfare in Cambodia: Empirical evidence and policy implications
by Phoumin, Han & Kimura, Fukunari
- 42-56 A comparative study of exchange rates and order flow based on wavelet transform coherence and cross wavelet transform
by Firouzi, Shahrokh & Wang, Xiangning
- 58-65 The impacts of economic sanctions on exchange rate volatility
by Wang, Yiwei & Wang, Ke & Chang, Chun-Ping
- 66-73 What Drives Entrepreneurship in Digital Economy? Evidence from China
by Yin, Zhichao & Gong, Xue & Guo, Peiyao & Wu, Tao
- 74-86 Barriers to the international diffusion of technological innovations
by Kumar, Sanjesh & Singh, Baljeet
- 87-98 A reassessment of total factor productivity convergence: Evidence from cross-country analysis
by Rath, Badri Narayan & Akram, Vaseem
- 99-118 Per capita output convergence across Asian countries: Evidence from covariate unit root test with an endogenous structural break
by Matsuki, Takashi
- 119-135 Valuation of collateralized debt obligations: An equilibrium model
by Hu, May & Park, Jason
- 136-151 A new test for fiscal sustainability with endogenous sovereign bond yields: Evidence for EU economies
by Mackiewicz-Łyziak, Joanna & Łyziak, Tomasz
- 152-167 Testing a model of UK growth: A role for R&D subsidies
by Minford, Lucy & Meenagh, David
- 168-184 The relationship between trading activity and stock market volatility: Does the volume threshold matter?
by Koubaa, Yosra & Slim, Skander
- 185-201 Is there a relation between labor investment inefficiency and corporate tax avoidance?
by Taylor, Grantley & Al-Hadi, Ahmed & Richardson, Grant & Alfarhan, Usamah & Al-Yahyaee, Khamis
- 202-210 New insights into the nonlinearity of Okun's law
by Nebot, César & Beyaert, Arielle & García-Solanes, José
- 211-228 Individual preferences for public education spending: Does personal income matter?
by Di Gioacchino, Debora & Sabani, Laura & Tedeschi, Simone
- 229-249 The validity of uncovered interest parity: Evidence from african members and non-member of the organisation of petroleum exporting countries (OPEC)
by Adewuyi, Adeolu O. & Ogebe, Joseph O.
- 250-263 A nowcasting model for Ecuador: Implementing a time-varying mean output growth
by González-Astudillo, Manuel & Baquero, Daniel
- 264-279 Housing and credit market shocks: Exploring the role of rule-based Basel III counter-cyclical capital requirements
by Liu, Guangling & Molise, Thabang
- 280-293 From family security to the welfare state: Path dependency of social security on the difference in legal origins
by Nakabayashi, Masaki
- 294-307 Re-exploring the nexus between monetary policy and banks' risk-taking
by Ngambou Djatche, Melchisédek Joslem
- 308-331 Income inequality, consumer debt, and prudential regulation: An agent-based approach to study the emergence of crises and financial instability
by D'Orazio, Paola
- 332-344 Analyzing exchange rate uncertainty and bilateral export growth in China: A multivariate GARCH-based approach
by Smallwood, Aaron D.
- 345-360 Anticipating individual bank rescues
by Correia, Ricardo & Dubiel-Teleszynski, Tomasz & Población, Javier
- 361-375 Japan's oligopolies: Potential economy wide gains from structural reforms
by Asano, Akihito & Tyers, Rod
- 376-400 Intersectoral default contagion: A multivariate Poisson autoregression analysis
by Escribano, Ana & Maggi, Mario
- 401-419 Structural transformation and productivity growth in India during 1960–2010
by Mondal, Debasis
- 420-436 What drives the short-run costs of fiscal consolidation? Evidence from OECD countries
by Banerjee, Ryan & Zampolli, Fabrizio
- 437-452 Fear itself: How risk sensitive firms can give demand shocks bite
by He, Zhaochen
- 453-466 Correlation dynamics of crude oil with agricultural commodities: A comparison between energy and food crops
by Pal, Debdatta & Mitra, Subrata K.
2019, Volume 81, Issue C
- 1-15 The role of intergenerational mobility in internal migration
by Kim, Jun Sung & Lee, Jongkwan
- 16-29 Saving, fertility and public policy in an overlapping generations small open economy
by Spataro, Luca & Fanti, Luciano & Pacini, Pier Mario
- 30-39 Time variation in inflation persistence: New evidence from modelling US inflation
by Granville, Brigitte & Zeng, Ning
- 40-48 Policy effects on transitional welfare in an overlapping generations model: A pay-as-you-go pension reconsidered
by Hu, Weizhen
- 49-58 A new multiscale decomposition ensemble approach for forecasting exchange rates
by Sun, Shaolong & Wang, Shouyang & Wei, Yunjie
- 59-72 Do political connections decrease the accuracy of stock analysts' recommendations in the Chinese stock market?
by He, Feng & Ma, Yaming
- 73-88 Resource scarcity, technological progress, and stochastic growth
by Tsuboi, Mizuki
- 89-110 Financialization and the macroeconomy. Theory and empirical evidence
by Gimet, Céline & Lagoarde-Segot, Thomas & Reyes-Ortiz, Luis
- 111-123 Modelling the allocative efficiency of landowner taxation
by Nassios, J. & Giesecke, J.A. & Dixon, P.B. & Rimmer, M.T.
- 124-135 Are financial returns really predictable out-of-sample?: Evidence from a new bootstrap test
by Liu, Li & Bu, Ruijun & Pan, Zhiyuan & Xu, Yuhua
- 136-147 Who poisons the pool? Time-varying asymmetric and nonlinear causal inference between low-risk and high-risk bonds markets
by Ngene, Geoffrey M. & Lee Kim, Yea & Wang, Jinghua
- 148-160 The effects of prudential policies on bank leverage and insolvency risk in Central and Eastern Europe
by Niţoi, Mihai & Clichici, Dorina & Moagăr-Poladian, Simona
- 161-169 How can robots affect wage inequality?
by Lankisch, Clemens & Prettner, Klaus & Prskawetz, Alexia
- 170-180 A key determinant of commodity price Co-movement: The role of daily market liquidity
by Zhang, Yongmin & Ding, Shusheng & Scheffel, Eric M.
- 181-204 Time-varying comovement and changes of comovement structure in the Chinese stock market: A causal network method
by Bu, Hui & Tang, Wenjin & Wu, Junjie
- 205-216 Pre-IPO growth, venture capital, and the long-run performance of IPOs
by Que, Jiangjing & Zhang, Xueyong
- 217-230 Fast multi-output relevance vector regression
by Ha, Youngmin & Zhang, Hai
- 231-241 Modeling recovery rate for leveraged loans
by Chen, Xiaowei & Wang, Gang & Zhang, Xiangting
- 242-273 Comparing post-crisis dynamics across Euro Area countries with the Global Multi-country model
by Albonico, Alice & Calés, Ludovic & Cardani, Roberta & Croitorov, Olga & Ferroni, Filippo & Giovannini, Massimo & Hohberger, Stefan & Pataracchia, Beatrice & Pericoli, Filippo Maria & Raciborski, Rafal & Ratto, Marco & Roeger, Werner & Vogel, Lukas
- 274-294 Climate change implications for the catastrophe bonds market: An empirical analysis
by Morana, Claudio & Sbrana, Giacomo
- 295-307 Corporate liquidity and risk management with time-inconsistent preferences
by Liu, Bo & Niu, Yingjie & Zhang, Yuhua
- 308-324 Convergence of the performance of microfinance institutions: A decomposition analysis
by Li, Lin Yang & Hermes, Niels & Meesters, Aljar
- 325-337 The impact of debt restructuring on firm investment: Evidence from China
by Jiang, Jinglu & Liu, Bo & Yang, Jinqiang
- 338-347 The effect of short sale constraints on analyst forecast quality: Evidence from a natural experiment in China
by Li, Hao & Li, Zhisheng & Lin, Bingxuan & Xu, Xiaowei
- 348-360 Monetary policy volatility shocks in Brazil
by Fasolo, Angelo Marsiglia
- 361-386 International trade, foreign direct investments, and firms’ systemic risk : Evidence from the Netherlands
by Van Cauwenberge, Annelies & Vancauteren, Mark & Braekers, Roel & Vandemaele, Sigrid
- 387-410 Limit order books, uninformed traders and commodity derivatives: Insights from the European carbon futures
by Rannou, Yves
- 411-421 Labor supply of married foreign-born women in credit-constrained households
by Kim, Seik & Varanasi, Nalina
- 422-439 The January effect in the foreign exchange market: Evidence for seasonal equity carry trades
by Girardin, Eric & Salimi Namin, Fatemeh
- 444-454 A modern reincarnation of Mundell-Fleming's trilemma
by Aizenman, Joshua
- 455-470 Fiscal rules and the intergenerational welfare effects of public investment
by Bom, Pedro R.D.
- 471-479 Fiscal policy in the US: Sustainable after all?
by Aldama, Pierre & Creel, Jérôme
- 480-502 Are international environmental policies effective? The case of the Rotterdam and the Stockholm Conventions
by Núñez-Rocha, Thaís & Martínez-Zarzoso, Inmaculada
- 503-517 Globalization, welfare, and the attitudes toward higher education
by Hromcová, Jana & Agnese, Pablo
- 518-532 Do denominations of origin provide useful quality signals? The case of Bordeaux wines
by Livat, Florine & Alston, Julian M. & Cardebat, Jean-Marie
- 533-550 Distance and beyond: What drives financial flows to emerging economies?
by Cavallaro, Eleonora & Cutrini, Eleonora
- 551-575 Optimal monetary policy in the presence of food price subsidies
by Ginn, William & Pourroy, Marc
- 576-593 (Un)Conventional monetary policy and bank risk-taking: A nonlinear relationship
by Brana, Sophie & Campmas, Alexandra & Lapteacru, Ion
- 594-603 Forms of democracy and economic growth volatility
by Mathonnat, Clément & Minea, Alexandru
- 604-620 Economic migration and business cycles in a small open economy with matching frictions
by Lozej, Matija
- 621-639 Trade-offs between macroeconomic and financial stability objectives
by Fouejieu, Armand & Popescu, Alexandra & Villieu, Patrick
2019, Volume 80, Issue C
- 1-10 Panel LM unit root tests with level and trend shifts
by Lee, Junsoo & Tieslau, Margie
- 11-22 Information asymmetry, cluster trading, and market efficiency: Evidence from the Chinese stock market
by Hu, Yingyi & Prigent, Jean-Luc
- 23-33 How index investment impacts commodities: A story about the financialization of agricultural commodities
by Aït-Youcef, Camille
- 34-48 Country factors and the investment decision-making process of sovereign wealth funds
by Amar, J. & Candelon, B. & Lecourt, C. & Xun, Z.
- 49-61 Our currency, your attention: Contagion spillovers of investor attention on currency returns
by Wu, You & Han, Liyan & Yin, Libo
- 62-74 Crude oil and equity market comovements among Asia's for little dragons countries. Evidence of unobserved components approach
by Ben Slimane, Ikrame & Majdoub, Jihed & Ben Sassi, Salim
- 75-86 Empirical tests on the asset pricing model with liquidity risk: An unobserved components approach
by Fall, Malick & Louhichi, Waël & Viviani, Jean Laurent
- 87-102 Detecting periods of exuberance: A look at the role of aggregation with an application to house prices
by Pavlidis, Efthymios & Martínez-García, Enrique & Grossman, Valerie
- 103-110 The ‘curse of dimensionality’ resolved: The effects of climate change and trade barriers in large dimensional modelling
by Kompas, Tom & Van Ha, Pham
- 111-120 Real estate prices and systemic banking crises
by Deng, Yang & Zeng, Yan & Li, Zhirui
- 121-129 Can financial media sentiment predict merger and acquisition performance?
by Yang, Bo & Sun, Ji & Guo, Jie (Michael) & Fu, Jiayi
- 130-141 An augmented autoregressive distributed lag bounds test for cointegration
by Sam, Chung Yan & McNown, Robert & Goh, Soo Khoon
- 142-157 Interest rate pass-through in Morocco: Evidence from bank-level survey data
by Bennouna, Hicham
- 158-170 Why does the peso-dollar exchange rate show a depreciation trend? The role of productivity differentials
by López-Marmolejo, Arnoldo & Ventosa-Santaulària, Daniel
- 171-184 The end of the flat tax experiment in Slovakia: An evaluation using behavioural microsimulation in a dynamic macroeconomic framework
by Horváth, Michal & Senaj, Matúš & Siebertová, Zuzana & Švarda, Norbert & Valachyová, Jana
- 185-191 Modelling Sri Lankan consumption patterns using error corrected LA-AIDS
by Rathnayaka, Shashika D. & Selvanathan, Saroja & Selvanathan, E.A. & Kler, Parvinder
- 192-201 Can country trade flows benefit from improved corporate social responsibility ratings?
by Yang, Shou-Lin & Chang, Ariana & Chen, Yen-Hsun & Shiu, Yung-Ming
- 202-221 Cancer survivors in the labor market: Evidence from recent US micro-panel data
by Osmani, Ahmad Reshad & Okunade, Albert A.
- 222-243 Increasing linkages among European regions. The role of sectoral composition
by Gadea-Rivas, María Dolores & Gómez-Loscos, Ana & Leiva-Leon, Danilo
- 244-259 Usage of formal financial services in India: Demand barriers or supply constraints?
by Kumar, Abhishek & Pal, Rama & Pal, Rupayan
- 260-274 Combining the minimum-variance and equally-weighted portfolios: Can portfolio performance be improved?
by Jiang, Chonghui & Du, Jiangze & An, Yunbi
- 275-283 UK's stock market reaction to Brexit process: A tale of two halves
by Shahzad, Khurram & Rubbaniy, Ghulame & Lensvelt, M.A.P.E. & Bhatti, Tariq
- 284-293 A risk index to model uncertain portfolio investment with options
by Wang, Xuting & Huang, Xiaoxia
- 294-302 Types of patents and driving forces behind the patent growth in China
by Chen, Zhiyuan & Zhang, Jie
- 303-319 Role of cash and costs of inflation for different income groups in the U.S
by Kakar, Venoo & Daniels, Gerald Eric
- 320-327 Optimal social security tax with myopic agents
by Chu, Hsun & Cheng, Chu-chuan
- 328-338 Feedback effects between credit ratings and financial markets
by Jorge, José
- 339-351 Tariffs and privatization policy in a bilateral trade with corporate social responsibility
by Xu, Lili & Lee, Sang-Ho
- 352-382 Does international oil volatility have directional predictability for stock returns? Evidence from BRICS countries based on cross-quantilogram analysis
by Zhou, Zhongbao & Jiang, Yong & Liu, Yan & Lin, Ling & Liu, Qing
- 383-391 Modelling the spreading process of extreme risks via a simple agent-based model: Evidence from the China stock market
by Ji, Jingru & Wang, Donghua & Xu, Dinghai
- 392-399 Overnight exchange rate risk based on multi-quantile and joint-shock CAViaR models
by Peng, Wei & Zeng, Yufeng
- 400-406 Level of development and income inequality in the United States: Kuznets hypothesis revisited once again
by Blanco, German & Ram, Rati
- 407-428 Assessing the macroeconomic impact of alternative macroprudential policies
by Davis, E. Philip & Liadze, Iana & Piggott, Rebecca
- 429-440 Research and development and trade policies for product innovation in the presence of foreign competition
by Buryi, Pavlo & Lahiri, Sajal
- 441-452 Do more subsidies promote greater innovation? Evidence from the Chinese electronic manufacturing industry
by Liu, Dayong & Chen, Tong & Liu, Xiaoyang & Yu, Yongze
- 453-466 The impact of foreign direct investment on productivity: New evidence for developing countries
by Li, Chengchun & Tanna, Sailesh
2019, Volume 79, Issue C
- 1-14 Performance and productivity in Islamic and conventional banks: Evidence from the global financial crisis
by Alexakis, Christos & Izzeldin, Marwan & Johnes, Jill & Pappas, Vasileios
- 15-27 Monetary and fiscal policy transmission in Poland
by Haug, Alfred A. & Jędrzejowicz, Tomasz & Sznajderska, Anna
- 28-46 Impacts of China's crash on Asia-Pacific financial integration: Volatility interdependence, information transmission and market co-movement
by Ahmed, Abdullahi D. & Huo, Rui
- 47-56 Economic policy uncertainty in the US and China and their impact on the global markets
by Zhang, Dayong & Lei, Lei & Ji, Qiang & Kutan, Ali M.
- 57-73 Does the relationship between income and child health differ across income groups? Evidence from India
by Swaminathan, Harini & Sharma, Anurag & Shah, Narendra G.
- 74-85 Consumption, welfare, and stochastic population dynamics when technology shocks are (Un)tied
by Tsuboi, Mizuki
- 86-97 Multiplicity and stagnation under the Romer model with increasing returns of R&D
by Kuwahara, Shiro
- 98-117 Modelling the dynamics of corruption and unemployment with heterogeneous labour
by Lim, King Yoong
- 118-129 Volatility spillovers of unconventional monetary policy to emerging market economies
by Apostolou, Apostolos & Beirne, John
- 130-140 Stochastic investor sentiment, crowdedness and deviation of asset prices from fundamentals
by Zhou, Liyun & Yang, Chunpeng
- 141-153 Remittances and household expenditure behaviour: Evidence from Senegal∗
by Randazzo, Teresa & Piracha, Matloob
- 154-172 Do better institutions offset the adverse effect of a financial crisis on investment? Evidence from East Asia
by Eslamloueyan, Karim & Jafari, Mahboubeh
- 173-185 The role of monetary policy credibility in explaining the decline in exchange rate pass-through in South Africa
by Kabundi, Alain & Mlachila, Montfort
- 186-197 Effects of the Chinese arable land fallow system and land-use change on agricultural production and on the economy
by Wang, Can & Siriwardana, Mahinda & Meng, Samuel
- 198-210 Technological changes and population growth: The role of land in England
by Loupias, Claire & Wigniolle, Bertrand
- 211-225 Fiscal transparency, government effectiveness and government spending efficiency: Some international evidence based on panel data approach
by Montes, Gabriel Caldas & Bastos, Júlio Cesar Albuquerque & de Oliveira, Ana Jordânia
- 226-241 Price convergence in the European Union – What has changed?
by Hałka, Aleksandra & Leszczyńska-Paczesna, Agnieszka
- 242-246 Rationality tests in the presence of instabilities in finite samples
by El-Shagi, Makram
- 247-261 Financing R&D in Chinese private firms: Business associations or political connection?
by Zhang, Dongyang & Guo, Yumei
- 262-275 Growth in a time of external imbalances
by Camarero, Mariam & Peiró-Palomino, Jesús & Tamarit, Cecilio
- 276-285 Does the higher education expansion in the UK reduce the returns to education? A comparison of returning-from-work versus fresh out-of-school graduates
by Huang, Bin & Xu, Lei & Zhu, Yu
- 286-294 From households to national statistics: Macroeconomic effects of Women's empowerment
by San Vicente Portes, Luis & Atal, Vidya & Juárez Torres, Miriam
2019, Volume 78, Issue C
- 1-10 Importance of a victim-oriented recovery policy after major disasters
by Hosoya, Kei
- 11-31 Predatory cells and puzzling financial crises: Are toxic products good for the financial markets?
by Mesly, Olivier & Chkir, Imed & Racicot, François-Éric
- 32-39 Forecasting stock returns: Do less powerful predictors help?
by Zhang, Yaojie & Zeng, Qing & Ma, Feng & Shi, Benshan
- 40-46 The impact of pre-IPO performance pressure on research and development investments of an IPO firm: Evidence from China
by Zhou, Mingshan & Xiao, Dacheng & Chan, Kam C. & Fung, Hung-Gay
- 47-59 An endogenous structural credit risk model incorporating with moral hazard and rollover risk
by Niu, Huawei & Hua, Wei
- 60-72 The labor market effects of trade union heterogeneity
by de Pinto, Marco & Michaelis, Jochen
- 73-97 Hedge fund return higher moments over the business cycle
by Racicot, François-Éric & Théoret, Raymond
- 98-107 Firms' confidence and Okun's law in OECD countries
by de Mendonça, Helder Ferreira & de Oliveira, Diego S.P.
- 108-117 Asset bubbles, banking stability and economic growth
by Wang, Shengquan & Chen, Langnan & Xiong, Xiong
- 118-133 The macro determinants of firms' and households' investment: Evidence from Italy
by Giordano, Claire & Marinucci, Marco & Silvestrini, Andrea
- 134-149 Revisiting global economic activity and crude oil prices: A wavelet analysis
by Dong, Minyi & Chang, Chun-Ping & Gong, Qiang & Chu, Yin
- 150-161 Pricing flexibility under rate-of-return regulation: Effects on network infrastructure investment
by Oliver, Matthew E.
- 162-171 Adding cycles into the neoclassical growth model
by Donadelli, M. & Paradiso, A. & Livieri, G.
- 172-179 Economic freedom and bilateral direct investment
by Xu, Tao
- 180-191 Too small to be independent? On the influence of ECB monetary policy on interest rates of the EEA countries
by Goczek, Łukasz & Partyka, Karol J.
- 192-208 The German labor market during the Great Recession: Shocks and institutions
by Gehrke, Britta & Lechthaler, Wolfgang & Merkl, Christian
- 209-224 Exchange rates and fundamentals: A bootstrap panel data analysis
by Xie, Zixiong & Chen, Shyh-Wei
- 225-239 Quota removal and firm-level offshoring: Theory and evidence
by Tan, Yong & An, Liwei
- 240-261 Understanding the gender wage-gap differential between the public and private sectors in Italy: A quantile approach
by Castagnetti, Carolina & Giorgetti, Maria Letizia
- 262-274 The effect of environmentally sustainable practices on firm R&D: International evidence
by Banerjee, Rajabrata & Gupta, Kartick
- 275-292 Culture, business environment and SMEs' profitability: Evidence from European Countries
by Gaganis, Chrysovalantis & Pasiouras, Fotios & Voulgari, Fotini
- 293-308 Modelling distribution of aggregate expenditure on tourism
by Gómez–Déniz, E. & Pérez–Rodríguez, J.V.
- 309-318 Relationships among regional housing markets: Evidence on adjustments of housing burden
by Tsai, I-Chun
2019, Volume 77, Issue C
- 2-11 Environmental awareness and environmental Kuznets curve
by Chen, Xudong & Huang, Bihong & Lin, Chin-Te
- 12-20 Is nuclear energy clean? Revisit of Environmental Kuznets Curve hypothesis in OECD countries
by Lau, Lin-Sea & Choong, Chee-Keong & Ng, Cheong-Fatt & Liew, Feng-Mei & Ching, Suet-Ling
- 21-33 Do shale gas and oil productions move in convergence? An investigation using unit root tests with structural breaks
by Hu, Haiqing & Wei, Wei & Chang, Chun-Ping
- 34-41 Modelling the social funding and spill-over tax for addressing the green energy financing gap
by Yoshino, Naoyuki & Taghizadeh–Hesary, Farhad & Nakahigashi, Masaki
- 42-54 How markets will drive the transition to a low carbon economy
by Linnenluecke, Martina K. & Han, Jianlei & Pan, Zheyao & Smith, Tom
- 55-69 Climate policy vs. agricultural productivity shocks in a dynamic computable general equilibrium (CGE) modeling framework: The case of a developing economy
by Pradhan, Basanta K. & Ghosh, Joydeep
- 70-80 Driving forces of global carbon emissions: From time- and spatial-dynamic perspectives
by Chang, Chun-Ping & Dong, Minyi & Sui, Bo & Chu, Yin
- 81-91 Oil price and Gulf Corporation Council stock indices: New evidence from time-varying copula models
by Fenech, Jean-Pierre & Vosgha, Hamed
- 92-112 Testing commodity futures market efficiency under time-varying risk premiums and heteroscedastic prices
by Kuruppuarachchi, Duminda & Lin, Hai & Premachandra, I.M.