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Content
2018, Volume 72, Issue C
- 42-53 Oil price shocks and uncertainty: How stable is their relationship over time?
by Degiannakis, Stavros & Filis, George & Panagiotakopoulou, Sofia
- 54-64 Does competition inhibit fairness and altruism?
by Caginalp, Gunduz & Ho, Shirley J.
- 65-77 Is higher government efficiency conducive to improving energy use efficiency? Evidence from OECD countries
by Chang, Chun-Ping & Wen, Jun & Zheng, Mingbo & Dong, Minyi & Hao, Yu
- 78-98 ECB-Global: Introducing the ECB's global macroeconomic model for spillover analysis
by Dieppe, Alistair & Georgiadis, Georgios & Ricci, Martino & Van Robays, Ine & van Roye, Björn
- 99-108 Evaluating nowcasts of bridge equations with advanced combination schemes for the Turkish unemployment rate
by Soybilgen, Barış & Yazgan, Ege
- 109-121 International trade and the transmission of shocks: The case of ASEAN-4 and NIE-4 economies
by Dungey, Mardi & Khan, Faisal & Raghavan, Mala
- 122-131 Locus of control and financial risk attitudes
by Kesavayuth, Dusanee & Ko, Kaung Myat & Zikos, Vasileios
- 132-139 On the formation of inflation expectations in turbulent times: The case of the euro area
by Łyziak, Tomasz & Paloviita, Maritta
- 140-150 A term structure model under cyclical fluctuations in interest rates
by Moreno, Manuel & Novales, Alfonso & Platania, Federico
- 151-164 Public spending structure, minimal state and economic growth in France (1870–2010)
by Facchini, François & Seghezza, Elena
- 165-176 Multi-horizon wealth effects across the G7 economies
by Apergis, Nicholas & Bouras, Christos & Christou, Christina & Hassapis, Christis
- 177-189 Exploring unbalanced growth: Understanding the sectoral structure of the South African economy
by Fedderke, Johannes W.
- 190-201 Explaining coffee price differentials in terms of chemical markers: Evidence from a pairwise approach
by Otero, Jesús & Argüello, Ricardo & Oviedo, Juan Daniel & Ramírez, Manuel
- 202-215 Tradable credit markets for intensity standards
by Rudik, Ivan
- 216-222 Do immigrants displace native workers? Evidence from matched panel data
by Martins, Pedro S. & Piracha, Matloob & Varejão, José
- 223-236 Causes and consequences of oil price shocks on the UK economy
by Lorusso, Marco & Pieroni, Luca
- 237-248 How does the timing of markets affect optimal monetary and fiscal policy in sticky price models?
by Du, Houyang & Guo, Ye & Liu, Xuan
- 249-259 Forecasting gold futures market volatility using macroeconomic variables in the United States
by Fang, Libing & Yu, Honghai & Xiao, Wen
- 260-269 Disentangling the importance of international border effects. Some evidence from Portugal–Spain based on diesel retailers
by Balaguer, Jacint & Ripollés, Jordi
- 270-277 Testing the optimality of inflation forecasts under flexible loss with random forests
by Behrens, Christoph & Pierdzioch, Christian & Risse, Marian
- 278-295 Optimal hedge ratios for clean energy equities
by Ahmad, Wasim & Sadorsky, Perry & Sharma, Amit
- 296-305 Foreign direct investment and economic growth: Exploring the transmission channels
by Makiela, Kamil & Ouattara, Bazoumana
- 306-319 Monetary policy rules in emerging countries: Is there an augmented nonlinear taylor rule?
by Caporale, Guglielmo Maria & Helmi, Mohamad Husam & Çatık, Abdurrahman Nazif & Menla Ali, Faek & Akdeniz, Coşkun
- 320-332 Forecasting the aggregate oil price volatility in a data-rich environment
by Ma, Feng & Liu, Jing & Wahab, M.I.M. & Zhang, Yaojie
- 333-352 International stock market contagion: A CEEMDAN wavelet analysis
by Zhou, Zhongbao & Lin, Ling & Li, Shuxian
- 353-362 Is Being Sharia compliant worth it?
by Jaballah, Jamil & Peillex, Jonathan & Weill, Laurent
- 363-378 Complex price dynamics in vertically linked cobweb markets
by Chaudhry, Muhammad Imran & Miranda, Mario J.
- 379-390 Financial integration in Africa: New evidence using network approach
by Bhattacharya, Mita & Inekwe, John Nkwoma & Valenzuela, Maria Rebecca
- 391-409 Risk shocks in a small open economy: Business cycle dynamics in Canada
by Mendicino, Caterina & Zhang, Yahong
- 410-421 Borrowing constraints and housing price expectations in the euro area
by Ampudia, Miguel & Mayordomo, Sergio
2018, Volume 71, Issue C
- 1-15 Inflation targeting and financial stability: Does the quality of institutions matter?
by Fazio, Dimas Mateus & Silva, Thiago Christiano & Tabak, Benjamin Miranda & Cajueiro, Daniel Oliveira
- 16-24 The impact of dividend-protected CEO equity incentives on firm value and risk
by Karpavičius, Sigitas & Yu, Fan
- 25-33 Efficient creativity in Mexican metropolitan areas
by Benita, Francisco & Urzúa, Carlos M.
- 34-44 Economic crisis and public education. A productivity analysis using a Hicks-Moorsteen index
by Aparicio, Juan & López-Torres, Laura & Santín, Daniel
- 45-58 Modeling the incidence of international trade on Italian regional productive efficiency using a meta-frontier DEA approach
by Kounetas, Kostas & Napolitano, Oreste
- 59-67 Education and democracy: New evidence from 161 countries
by Apergis, Nicholas
- 68-79 Risk aversion connectedness in five European countries
by Cipollini, Andrea & Lo Cascio, Iolanda & Muzzioli, Silvia
- 80-86 Tertiarization and land use change: The case of Italy
by Esposito, Piero & Patriarca, Fabrizio & Salvati, Luca
- 87-98 Bank diversification and liquidity creation: Panel Granger-causality evidence from China
by Hou, Xiaohui & Li, Shuo & Li, Wanli & Wang, Qing
- 99-120 Stopped TTIP? Its potential impact on the world and the role of neglected FDI
by Latorre, María C. & Yonezawa, Hidemichi
- 121-133 Is optimal Islamic financial contract stabilizing? The perspective of a New Keynesian model with the financial accelerator
by Wong, Chin-Yoong & Eng, Yoke-Kee
- 134-158 Predicting US inflation: Evidence from a new approach
by Salisu, Afees A. & Isah, Kazeem O.
- 159-173 The impact of China's Central Rise Policy on carbon emissions at the stage of operation in road sector
by Zhang, Yue-Jun & Liu, Zhao & Zhou, Si-Ming & Qin, Chang-Xiong & Zhang, Huan
- 174-183 Sensitivity of winter tourism to temperature increases over the last decades
by Falk, Martin & Lin, Xiang
- 184-201 The macroeconomic effects of monetary policy shocks under fiscal rules constrained by public debt sustainability
by Cavalcanti, Marco A.F.H. & Vereda, Luciano & Doctors, Rebeca de B. & Lima, Felipe C. & Maynard, Lucas
- 202-213 Inflation in Europe after the Great Recession
by Mazumder, Sandeep
- 214-219 Artists, engineers, and aspects of economic growth in a creative region
by Batabyal, Amitrajeet A. & Beladi, Hamid
- 220-233 Unemployment duration and job-match quality in urban China: The dynamic impact of 2008 Labor Contract Law
by You, Jing & Wang, Shaoyang
- 234-246 Quantitative easing, global banks and the international bank lending channel
by D'Avino, Carmela
- 247-262 Territorial and individual educational inequality: A Capability Approach analysis for Italy
by Guarini, Giulio & Laureti, Tiziana & Garofalo, Giuseppe
- 263-271 Relating rule of law and budgetary allocation for tourism: Does per capita income growth make a difference for Indian states?
by Dutta, Nabamita & Kar, Saibal
- 272-278 A theoretic analysis of key person insurance
by Nie, Pu-yan & Wang, Chan & Chen, Zi-yue & Chen, You-hua
- 279-288 Should euro area countries cut taxes on labour or capital in order to boost their growth?
by Font, Barbara Castelletti & Clerc, Pierrick & Lemoine, Matthieu
- 289-304 The dynamics and determinants of Kuwait's long-run economic growth
by Burney, Nadeem A. & Mohaddes, Kamiar & Alawadhi, Ahmad & Al-Musallam, Marwa
- 305-315 Systemic risk in the US: Interconnectedness as a circuit breaker
by Dungey, Mardi & Luciani, Matteo & Veredas, David
2018, Volume 70, Issue C
- 1-14 Public and private education expenditures, variable elasticity of substitution and economic growth
by Gamlath, Sharmila & Lahiri, Radhika
- 15-28 The effect of culture on the fertility decisions of immigrant women in the United States
by Marcén, Miriam & Molina, José Alberto & Morales, Marina
- 29-39 Price competition in the mutual fund industry
by Parida, Sitikantha & Tang, Zhenyang
- 40-55 Financial development and income distribution inequality in the euro area
by Baiardi, Donatella & Morana, Claudio
- 56-66 Dichotomous stock market reaction to episodes of rules and discretion in the US monetary policy
by Marinescu, Ion-Iulian & Horobet, Alexandra & Lupu, Radu
- 67-77 Non-linear impact of product and process innovations on market power: A theoretical and empirical investigation
by Dhanora, Madan & Sharma, Ruchi & Khachoo, Qayoom
- 78-86 A quarterly Phillips curve for Switzerland using interpolated data, 1963–2016
by Stuart, Rebecca
- 87-96 On the estimation of panel fiscal reaction functions: Heterogeneity or fiscal fatigue?
by Everaert, Gerdie & Jansen, Stijn
- 97-114 Time-varying efficiency in food and energy markets: Evidence and implications
by Jebabli, Ikram & Roubaud, David
- 115-126 Tariff evasion in machinery production networks: Evidence from East Asia
by Lin, Chin-Ho
- 127-139 Convenience pricing in online retailing: Evidence from Amazon.com
by Chenavaz, Régis & Drouard, Joeffrey & Escobar, Octavio R. & Karoubi, Bruno
- 140-146 Testing normality for unconditionally heteroscedastic macroeconomic variables
by Raïssi, Hamdi
- 147-158 Assessing the gains and vulnerability of free trade: A counterfactual analysis of Macau
by Yin, Hua & Du, Zaichao & Zhang, Lin
- 159-173 The effects of global bank competition and presence on local economies: The Goldilocks principle may not apply to global banking
by Aysun, Uluc
- 174-185 Impact of minimum wage increase on gender wage gap: Case of Poland
by Majchrowska, Aleksandra & Strawiński, Paweł
- 186-193 Can private domestic investment lead Chinese technological progress?
by Chen, Hong & Wang, Xi & Singh, Baljeet
- 194-202 Information demand and stock market liquidity: International evidence
by Aouadi, Amal & Arouri, Mohamed & Roubaud, David
- 203-214 The impact of ownership concentration and analyst coverage on market liquidity: Comparative evidence from an auction and a specialist market
by Staglianò, Raffaele & La Rocca, Maurizio & Gerace, Dionigi
- 215-229 Research and development and sustainable growth over alternative types of natural resources
by Le, Thanh & Le Van, Cuong
- 230-238 Welfare effects of TTIP in a DSGE model
by Engler, Philipp & Tervala, Juha
- 239-244 Intellectual property rights protection, labour mobility and wage inequality
by Zhang, Jingjing & Leoncini, Riccardo & Tsai, Yingyi
- 245-258 Aggregate fluctuations and the effect of large corporations: Evidence from Finnish monthly data
by Fornaro, Paolo & Luomaranta, Henri
- 259-271 The determinants of growth in the U.S. information and communication technology (ICT) industry: A firm-level analysis
by Canarella, Giorgio & Miller, Stephen M.
- 272-287 Co-evolutionary growth: A system dynamics model
by Castellacci, Fulvio
- 288-300 Measuring bank funding costs in the analysis of interest rate pass-through: Evidence from Poland
by Kapuściński, Mariusz & Stanisławska, Ewa
- 301-309 Multi-scale causality and extreme tail inter-dependence among housing prices
by Kang, Sang Hoon & Uddin, Gazi Salah & Ahmed, Ali & Yoon, Seong-Min
- 310-319 On the persistence of the forward premium in the joint presence of nonlinearity, asymmetry, and structural changes
by Cho, Dooyeon
- 320-330 Can eating five fruit and veg a day really keep the doctor away?
by Lalji, Chitwan & Pakrashi, Debayan & Smyth, Russell
- 331-337 Asymptotic collinearity in CCE estimation of interactive effects models
by Westerlund, Joakim & Petrova, Yana
- 338-350 Binary choice model with interactive effects
by Xue, Sen & Yang, Thomas Tao & Zhou, Qiankun
- 351-369 Temptation and taxation with elastic labor
by Tran, Chung
- 370-382 The trade effects of tariffs and non-tariff changes of preferential trade agreements
by Cheong, Juyoung & Kwak, Do Won & Tang, Kam Ki
- 383-389 The quality-quantity trade-off among Australian children
by Bonner, Suzanne & Sarkar, Dipanwita
- 390-400 The implications of daylight saving time: A quasi-natural experiment on cognitive performance and risk taking behaviour
by Schaffner, Markus & Sarkar, Jayanta & Torgler, Benno & Dulleck, Uwe
- 401-416 Momentum in dynamic contests
by de Roos, Nicolas & Sarafidis, Yianis
- 417-428 Connecting the markets? Recent evidence on China’s capital account liberalization
by Chan, Marc K. & Kwok, Simon
- 429-437 Is there conditional convergence in the per capita incomes of BIMAROU states in India?
by Mishra, Ankita & Mishra, Vinod
- 438-446 A specialised volatility index for the new GICS sector - Real estate
by Mi, Lin & Benson, Karen & Faff, Robert
- 447-457 Productivity growth and efficiency change: Comparing manufacturing- and service-based firms in India
by Rath, Badri Narayan
- 458-468 Earthquakes don’t kill, built environment does: Evidence from cross-country data
by Rahman, Muhammad Habibur
- 469-483 Technology adoption, adaptation and growth
by Lahiri, Radhika & Ding, Juhong & Chinzara, Zivanemoyo
- 484-495 Your war, my problem: How conflict in a neighbour country hurts domestic development
by Carmignani, Fabrizio & Kler, Parvinder
- 496-510 Convenience yield, realised volatility and jumps: Evidence from non-ferrous metals
by Omura, Akihiro & Li, Bin & Chung, Richard & Todorova, Neda
- 511-524 Do business cycles, investment-specific technology shocks matter for stock returns?
by Prabheesh, K.P. & Vidya, C.T.
- 525-542 Assessing sovereign default risk: A bottom-up approach
by Liu, Feng & Kalotay, Egon & Trück, Stefan
- 543-560 The macroeconomic determinants of commodity futures volatility: Evidence from Chinese and Indian markets
by Mo, Di & Gupta, Rakesh & Li, Bin & Singh, Tarlok
- 561-570 Understanding time-varying systematic risks in Islamic and conventional sectoral indices
by Rizvi, Syed Aun R. & Arshad, Shaista
- 571-578 Thrift culture and the size of government
by Pham, Hien Thuc & Carmignani, Fabrizio & Kler, Parvinder
- 579-590 TFP estimation at firm level: The fiscal aspect of productivity convergence in the UK
by Bournakis, Ioannis & Mallick, Sushanta
2018, Volume 69, Issue C
- 1-12 Managing change: Communication, managerial style and change in organizations
by Bel, By Roland & Smirnov, Vladimir & Wait, Andrew
- 13-25 Impact of market-based finance on SMEs failure
by Gupta, Jairaj & Gregoriou, Andros
- 26-37 Profitability of reversal strategies: A modified version of the Carhart model in China
by Zhang, Wei & Wang, Guanying & Wang, Xingchun & Xiong, Xiong & Lei, Xuan
- 38-48 Cash remains top-of-wallet! International evidence from payment diaries
by Arango-Arango, Carlos A. & Bouhdaoui, Yassine & Bounie, David & Eschelbach, Martina & Hernandez, Lola
- 49-57 Behavior of retail prices in common currency areas: The case of the Eurozone
by Nikolsko-Rzhevskyy, Alex & Ogrokhina, Olena
- 58-66 Is the survival of the euro area at risk? An economic analysis of exit and contagion possibilities
by Canofari, Paolo & Messori, Marcello
- 67-81 Child labour and human capital in developing countries - A multi-period stochastic model
by Thakurata, Indrajit & D'Souza, Errol
- 82-90 Unemployment and optimal exchange rate in an open economy
by Choi, Yoonho & Choi, E. Kwan
- 91-102 Growth, financial development, and housing booms
by Lim, Taejun
- 103-113 What determines governance across nations: Do economic and social globalization play a role?
by Mukherjee, Deepraj & Dutta, Nabamita
- 114-126 Evaluating the economic impacts and feasibility of China's energy cap: Based on an Analytic General Equilibrium Model
by Wang, Feng & Liu, Xiying & Nguyen, Tue Anh
- 127-133 Baidu news information flow and return volatility: Evidence for the Sequential Information Arrival Hypothesis
by Shen, Dehua & Li, Xiao & Zhang, Wei
- 134-149 Globalization and productivity: A robust nonparametric world frontier analysis
by Mastromarco, Camilla & Simar, Léopold
- 150-159 Capital mobility in OECD countries: A multi-level factor approach to saving–investment correlations
by Hwang, Sun Ho & Kim, Yun Jung
- 160-168 Nowcasting with the help of foreign indicators: The case of Mexico
by Caruso, Alberto
- 169-180 The impact of asymmetric ambiguity on investment and financing decisions
by Viviani, Jean-Laurent & Lai, Anh-Ngoc & Louhichi, Waël
- 181-192 Brexit and financial stability: An agent-based simulation
by Samitas, Aristeidis & Polyzos, Stathis & Siriopoulos, Costas
- 193-204 Impact of border barriers, returning migrants, and trade diversion in Brexit: Firm exit and loss of variety
by Hosoe, Nobuhiro
- 205-219 Industrial electricity consumption, human capital investment and economic growth in Chinese cities
by Chen, Yang & Fang, Zheng
- 220-236 International risk transmission of stock market movements
by Shen, Yifan
- 237-248 Do international investors cause stock market spillovers? Comparing responses of cross-listed stocks between accessible and inaccessible markets
by Nishimura, Yusaku & Tsutsui, Yoshiro & Hirayama, Kenjiro
- 249-280 EAGLE-FLI: A macroeconomic model of banking and financial interdependence in the euro area
by Bokan, N. & Gerali, A. & Gomes, S. & Jacquinot, P. & Pisani, M.
- 281-290 Cost effectiveness or serving the poor? Factors determining program placement of NGOs in Bangladesh
by Mallick, Debdulal & Nabin, Munirul H.
- 291-300 The Great Recession and Okun's law
by Grant, Angelia L.
- 301-312 Directional predictability and time-varying spillovers between stock markets and economic cycles
by Bekiros, Stelios & Shahzad, Syed Jawad Hussain & Arreola-Hernandez, Jose & Ur Rehman, Mobeen
2018, Volume 68, Issue C
- 1-10 The impact of setting negative policy rates on banking flows and exchange rates
by Khayat, Guillaume A.
- 11-22 Bank efficiency and industry growth during financial crises
by Diallo, Boubacar
- 23-31 The impact of monetary policy on housing market activity: An assessment using sign restrictions
by Ume, Ejindu
- 32-40 China's regime-switching monetary policy
by Klingelhöfer, Jan & Sun, Rongrong
- 41-50 RiskRank: Measuring interconnected risk
by Mezei, József & Sarlin, Peter
- 51-73 The hidden soul of financial innovation: An agent-based modelling of home mortgage securitization and the finance-growth nexus
by Lauretta, Eliana
- 74-81 Herding, social network and volatility
by Wang, Guocheng & Wang, Yanyi
- 82-95 No man is an Island: The impact of heterogeneity and local interactions on macroeconomic dynamics
by Guerini, Mattia & Napoletano, Mauro & Roventini, Andrea
- 96-116 Dynamics of international spillovers and interaction: Evidence from financial market stress and economic policy uncertainty
by Liow, Kim Hiang & Liao, Wen-Chi & Huang, Yuting
- 117-126 Optimal licensing in a differentiated Bertrand market under uncertain R&D outcomes and technology spillover
by Yan, Qingyou & Yang, Le
- 127-144 Using rule-based updating procedures to improve the performance of composite indicators
by Abberger, Klaus & Graff, Michael & Siliverstovs, Boriss & Sturm, Jan-Egbert
- 145-154 Fitting and forecasting yield curves with a mixed-frequency affine model: Evidence from China
by Shang, Yuhuang & Zheng, Tingguo
- 155-166 Evaluating the effects of local content measures in a CGE model: Eliminating the US Buy America(n) programs
by Dixon, Peter B. & Rimmer, Maureen T. & Waschik, Robert G.
- 167-177 State contingent and conventional banking: The optimal banking choice model
by Chaudry, Atif Saeed & Azmat, Saad & Sohail, Maryam
- 178-189 Evaluating the effects of labour market reforms on job flows: The Italian case
by d'Agostino, Giorgio & Pieroni, Luca & Scarlato, Margherita
- 190-204 Forecasting with DSGE models: What frictions are important?
by Nalban, Valeriu
- 205-216 Heterogeneity in the effects of government size and governance on economic growth
by Kim, Dong-Hyeon & Wu, Yi-Chen & Lin, Shu-Chin
- 217-228 The impact of cross-subsidies on utility service quality in developing countries
by Li, Fan & Li, Shengli
- 229-238 Cross-border post-merger integration and technology innovation: A resource-based view
by Chen, Feiqiong & Meng, Qiaoshuang & Li, Xueying
- 239-248 Oligopolistic competition in the banking market and economic growth
by Hamada, Kojun & Kaneko, Akihiko & Yanagihara, Mitsuyoshi
- 249-272 Financial disruption and state dependent credit policy
by Cargoët, Thibaud & Poutineau, Jean-Christophe
- 273-292 U.S. wage growth and nonlinearities: The roles of inflation and unemployment
by Donayre, Luiggi & Panovska, Irina
- 293-305 Trust and macroeconomic performance: A two-step approach
by Lim, Sokchea & Morshed, AKM Mahbub & Khun, Channary
- 306-317 Convergence of credit structure around the world
by Léon, Florian
- 318-328 Herding behavior among wine investors
by Aytaç, Beysül & Coqueret, Guillaume & Mandou, Cyrille
- 329-339 Uncertainty in financial markets and business cycles
by Yıldırım-Karaman, Seçil
- 340-355 Testing for bubbles in the art markets: An empirical investigation
by Assaf, Ata
- 356-359 On the dynamics of sovereign debt in China: Sustainability and structural change
by Cuestas, Juan Carlos & Regis, Paulo José
- 360-371 Has the Great Recession affected the convergence process? The case of Spanish provinces
by Montañés, Antonio & Olmos, Lorena & Reyes, Marcelo
- 372-387 Asymmetric effects of government spending shocks during the financial cycle
by Pragidis, I.C. & Tsintzos, P. & Plakandaras, B.
- 388-408 Explosiveness in G11 currencies
by Steenkamp, Daan
- 409-415 Dynamic provision of public goods under uncertainty
by Tamai, Toshiki
- 416-424 Influence of regional cycles and personal background on FOMC members’ preferences and disagreement
by Bennani, Hamza & Farvaque, Etienne & Stanek, Piotr
- 425-434 Social status, compulsory education, and growth
by Lu, Chia-Hui
- 435-449 Population growth and the wage skill premium
by Neves, Pedro Cunha & Afonso, Óscar & Sequeira, Tiago Neves
- 450-460 Regulating national firms in a common market under asymmetric information
by Biancini, Sara
- 461-474 Phasing out a polluting input in a growth model with directed technological change
by Eriksson, Clas
- 475-483 The impact of gambling on depression: New evidence from England and Scotland
by Awaworyi Churchill, Sefa & Farrell, Lisa
- 484-505 How costly is a misspecified credit channel DSGE model in monetary policymaking?
by Yagihashi, Takeshi
- 506-513 How efficient are China's macroeconomic forecasts? Evidences from a new forecasting evaluation approach
by Sun, Yuying & Wang, Shouyang & Zhang, Xun
- 514-528 The macroeconomic impact of organised crime: A post-Keynesian analysis
by Astarita, Caterina & Capuano, Carlo & Purificato, Francesco
- 529-542 Tax plan debates in the US presidential election: A dynamic CGE analysis of growth and redistribution trade-offs
by Bhattarai, Keshab & Bachman, Paul & Conte, Frank & Haughton, Jonathan & Head, Michael & Tuerck, David G.
- 543-554 Government spending shocks and the real exchange rate in China: Evidence from a sign-restricted VAR model
by Chen, Yong & Liu, Dingming
- 555-569 Wine indices in practice: Nicely labeled but slightly corked
by Masset, Philippe & Weisskopf, Jean-Philippe
- 570-585 The beta heuristic from a time/frequency perspective: A wavelet analysis of the market risk of sectors
by McNevin, Bruce D. & Nix, Joan
- 586-598 A mixed data sampling copula model for the return-liquidity dependence in stock index futures markets
by Gong, Yuting & Chen, Qiang & Liang, Jufang
- 599-610 Optimal effort under high-water mark contracts
by Zhao, Li & Huang, Wenli & Ba, Shusong
- 611-621 A generalized CAPM model with asymmetric power distributed errors with an application to portfolio construction
by Bao, Te & Diks, Cees & Li, Hao
- 622-633 Money and credit overhang in the euro area
by Liu, Jingyang & Kool, Clemens J.M.
- 634-643 The role of punctuation in P2P lending: Evidence from China
by Chen, Xiao & Huang, Bihong & Ye, Dezhu
- 644-660 Does investor attention matter? The attention-return relationships in FX markets
by Han, Liyan & Xu, Yang & Yin, Libo
- 661-673 Stock market development and economic growth: Empirical evidence from China
by Pan, Lei & Mishra, Vinod
2017, Volume 67, Issue C
- 1-9 A small-scale DSGE-VAR model for the Romanian economy
by Pop, Raluca-Elena
- 10-22 The bank lending channel of monetary policy in EU countries during the global financial crisis
by Heryán, Tomáš & Tzeremes, Panayiotis G.
- 23-33 Investigating bank efficiency in transition economies: A window-based weight assurance region approach
by Degl'Innocenti, Marta & Kourtzidis, Stavros A. & Sevic, Zeljko & Tzeremes, Nickolaos G.
- 34-44 Ratings based Inference and Credit Risk: Detecting likely-to-fail Banks with the PC-Mahalanobis Method
by Pompella, Maurizio & Dicanio, Antonio
- 45-54 Growth effects of EU and EZ memberships: Empirical findings from the first 15 years of the Euro
by Dreyer, Johannes Kabderian & Schmid, Peter Alfons
- 55-72 Measuring systemic risk with regime switching in tails
by Liu, Xiaochun
- 73-87 A dynamic Nelson-Siegel yield curve model with Markov switching
by Levant, Jared & Ma, Jun
- 88-101 Gold and inflation(s) – A time-varying relationship
by Lucey, Brian M. & Sharma, Susan Sunila & Vigne, Samuel A.
- 102-113 Building a better trade model to determine local effects: A regional and intertemporal GTAP model
by Van Ha, Pham & Kompas, Tom & Nguyen, Hoa Thi Minh & Long, Chu Hoang
- 114-124 Fourier ADL cointegration test to approximate smooth breaks with new evidence from Crude Oil Market
by Banerjee, Piyali & Arčabić, Vladimir & Lee, Hyejin
- 125-135 Wealth inequality and employment fluctuations
by Shao, Enchuan & Silos, Pedro
- 136-148 Generalized Method of Moment estimation of multivariate multifractal models
by Liu, Ruipeng & Lux, Thomas
- 149-158 Reserve modelling and the aggregation of risks using time varying copula models
by Araichi, Sawssen & Peretti, Christian de & Belkacem, Lotfi
- 159-174 Moving beyond the iceberg model: The role of trade relations in endogenizing transportation costs in computable general equilibrium models
by Sebestyén, Tamás
- 175-183 Economic growth cycles driven by investment delay
by Krawiec, Adam & Szydłowski, Marek
- 184-192 An empirical investigation of herding in the U.S. stock market
by Clements, Adam & Hurn, Stan & Shi, Shuping
- 193-202 The impact of the liquidity coverage ratio on money creation: A stock-flow based dynamic approach
by Li, Boyao & Xiong, Wanting & Chen, Liujun & Wang, Yougui