Contact information of Elsevier
Corrections
All material on this site has been provided by the respective publishers and authors. You can help
correct errors and omissions. When requesting a correction, please mention this item's handle: RePEc:eee:ecmode. See general information about how to correct material in RePEc.
For technical questions regarding this item, or to correct its authors, title, abstract, bibliographic or download information, contact: Catherine Liu (email available below). General contact details of provider: http://www.elsevier.com/locate/inca/30411 .
Content
2015, Volume 47, Issue C
2015, Volume 46, Issue C
- 1-10 Detecting biotechnology industry's earnings management using Bayesian network, principal component analysis, back propagation neural network, and decision tree
by Chen, Fu-Hsiang & Chi, Der-Jang & Wang, Yi-Cheng
- 11-26 Transmission of US monetary policy into the Canadian economy: A structural cointegration analysis
by Mahdi Barakchian, S.
- 27-35 Determinants of Jordanian foreign direct investment inflows: Bounds testing approach
by Bekhet, Hussain Ali & Al-Smadi, Raed Walid
- 36-43 Endogenous transport price and international R&D rivalry
by Takauchi, Kazuhiro
- 44-52 Does military expenditure crowd out private investment? A disaggregated perspective for the case of France
by Malizard, Julien
- 53-60 Bayesian forecasting of real exchange rates with a Dornbusch prior
by Ca' Zorzi, Michele & Kocięcki, Andrzej & Rubaszek, Michał
- 61-69 Real business-cycle model with habits: Empirical investigation
by Khorunzhina, Natalia
- 70-78 Energy management systems and market value: Is there a link?
by Pham, Thi Hong Hanh
- 79-90 Nash equilibrium strategy for a multi-period mean–variance portfolio selection problem with regime switching
by Wu, Huiling & Chen, Hua
- 91-99 Price competition, technology licensing and strategic trade policy
by Ghosh, Arghya & Saha, Souresh
- 100-117 A model of a heterodox exchange rate based stabilization
by Aytac, Ozlem
- 118-129 Monetary policy in a two-sector dependent economy
by Mohsin, Mohammed & Park, Kihyun
- 130-141 Modeling expectations in agent-based models — An application to central bank's communication and monetary policy
by Salle, Isabelle L.
- 142-156 Dividend optimization under reserve constraints for the Cramér–Lundberg model compounded by force of interest
by Zhu, Jinxia & Chen, Feng
- 157-166 Inflation expectations of the inattentive general public
by Reid, Monique
- 167-179 Improving estimation of the fractionally differencing parameter in the SARFIMA model using tapered periodogram
by Ye, Xunyu & Gao, Ping & Li, Handong
- 180-187 Threshold characteristic of energy efficiency on substitution between energy and non-energy factors
by Zha, Donglan & Ding, Ning
- 188-203 Health status and the allocation of time: Cross-country evidence from Europe
by Gimenez-Nadal, J. Ignacio & Molina, Jose Alberto
- 204-224 Value-at-risk estimates of the stock indices in developed and emerging markets including the spillover effects of currency market
by Su, Jung-Bin
- 225-237 The business cycle implications of land financing in China
by Guo, Shen & Liu, Lezheng & Zhao, Yan
- 238-249 Modelling banknote printing costs: of cohorts, generations, and note-years
by Van Hove, Leo
- 250-261 Improving health in an advanced economy: An economywide analysis for Australia
by Verikios, George & Dixon, Peter B. & Rimmer, Maureen T. & Harris, Anthony H.
- 262-268 A theoretical analysis on H-share discount
by Zhang, Ran
- 269-282 How do reservation prices impact distressed debt rescheduling?
by Moraux, Franck & Navatte, Patrick
- 283-300 Flexible inflation targeting and labor market inefficiencies
by Raissi, Mehdi
- 301-314 Industry co-movements of American depository receipts: Evidences from the copula approaches
by Lee, Chien-Chiang & Chang, Chi-Hung & Chen, Mei-Ping
- 315-321 Nash bargaining and partial privatization in mixed oligopoly
by Nakamura, Tamotsu & Takami, Hiroyuki
- 322-333 Equity-financing, income inequality and capital accumulation
by Nabi, Mahmoud Sami
- 334-345 A production inventory model for deteriorating item with ramp type demand allowing inflation and shortages under fuzziness
by Pal, Shilpi & Mahapatra, G.S. & Samanta, G.P.
- 346-357 Pensions, savings and housing: A life-cycle framework with policy simulations
by Creedy, John & Gemmell, Norman & Scobie, Grant
- 358-363 Business dynamics, efficiency, asset quality and stability: The case of financial intermediaries in Pakistan
by Mirza, Nawazish & Rahat, Birjees & Reddy, Krishna
- 364-375 Fiscal sustainability and regime shifts in Japan
by Ko, Jun-Hyung & Morita, Hiroshi
- 376-383 Bubble or riddle? An asset-pricing approach evaluation on China's housing market
by Feng, Qu & Wu, Guiying Laura
- 384-390 The overconfident trader does not always overreact to his information
by Du, Sarina & Liu, Hong
- 391-396 Medical tourism and health worker migration in developing countries
by Beladi, Hamid & Chao, Chi-Chur & Ee, Mong Shan & Hollas, Daniel
- 397-406 The impact of the global financial crisis on the efficiency of Australian banks
by Moradi-Motlagh, Amir & Babacan, Alperhan
- 407-411 The responses of the prime rate to change in policies of the Federal Reserve
by Friedman, Joseph & Shachmurove, Yochanan
- 412-415 On measuring the effects of fiscal policy in global financial crisis: Evidences from an export-oriented island economy
by Hong, Cheng-Yih & Li, Jian-Fa
- 416-425 Nonlinearities and divergences in the process of European financial integration
by Răileanu-Szeles, Monica & Albu, Lucian
2015, Volume 45, Issue C
- 1-13 Growth and welfare effects of environmental tax reform and public spending policy
by Oueslati, Walid
- 14-21 Economic value of modeling covariance asymmetry for mixed-asset portfolio diversifications
by Zhou, Jian & Nicholson, Joseph R.
- 22-37 Trade volume and economic growth in the MENA region: Goods or services?
by Karam, Fida & Zaki, Chahir
- 38-49 Global and regional volatility spillovers to GCC stock markets
by Alotaibi, Abdullah R. & Mishra, Anil V.
- 50-73 Modelling stock return volatility dynamics in selected African markets
by King, Daniel & Botha, Ferdi
- 74-82 The impact of the Hizmet movement on Turkey's bilateral trade
by Balli, Faruk & Civan, Abdulkadir & Uras, Oguz
- 83-92 A simulation of impact of withdrawal European funds on Andalusian economy using a dynamic CGE model: 2014–20
by Cardenete, Manuel Alejandro & Delgado, M. Carmen
- 93-98 Two applications of the random coefficient procedure: Correcting for misspecifications in a small area level model and resolving Simpson's paradox
by Swamy, P.A.V.B. & Mehta, J.S. & Tavlas, G.S. & Hall, S.G.
- 99-108 Housing and business cycles in Korea: A multi-sector Bayesian DSGE approach
by Lee, Junhee & Song, Joonhyuk
- 109-117 Monetary policy and heterogeneous inflation expectations in South Africa
by Kabundi, Alain & Schaling, Eric & Some, Modeste
- 118-126 Growth effects of institutions: A disaggregated analysis
by Nawaz, Saima
- 127-135 Forecasting energy consumption using a new GM–ARMA model based on HP filter: The case of Guangdong Province of China
by Xu, Weijun & Gu, Ren & Liu, Youzhu & Dai, Yongwu
- 136-141 Locating change-points in Hodrick–Prescott trends with an application to US real GDP: A generalized unobserved components model approach
by Yoon, Gawon
- 142-154 Revisiting the nexus between currency misalignments and growth in the CFA Zone
by Grekou, Carl
- 155-168 Stochastic market modeling with Gaussian Quadratures: Do rotations of Stroud's octahedron matter?
by Artavia, Marco & Grethe, Harald & Zimmermann, Georg
- 169-174 A comparison of the accuracy of asymptotic approximations in the dynamic regression model using Kullback-Leibler information
by Atukorala, Ranjani & Sriananthakumar, Sivagowry
- 175-186 Macroeconomic and market microstructure modelling of Ugandan exchange rate
by Katusiime, Lorna & Shamsuddin, Abul & Agbola, Frank W.
- 187-192 Exchange rate risk management: What can we learn from financial crises?
by Lan, Li-Huei & Chen, Chang-Chih & Chuang, Shuang-Shii
- 193-206 An empirical model of fractionally cointegrated daily high and low stock market prices
by Baruník, Jozef & Dvořáková, Sylvie
- 207-211 A revealed preference test of rationing a Monte Carlo analysis
by Fleissig, Adrian R. & Whitney, Gerald A.
- 212-222 The effect of growth volatility on income inequality
by Huang, Ho-Chuan (River) & Fang, WenShwo & Miller, Stephen M. & Yeh, Chih-Chuan
- 223-235 A range-based volatility approach to measuring volatility contagion in securitized real estate markets
by Anderson, Randy I. & Chen, Yi-Chi & Wang, Li-Min
- 236-248 Bayesian estimation of China's monetary policy transparency: A New Keynesian approach
by Ma, Yong & Li, Shushu
- 249-258 Remittances and financial development in Sub-Saharan African countries: A system approach
by Coulibaly, Dramane
- 259-267 Forecasting the U.S. real house price index
by Plakandaras, Vasilios & Gupta, Rangan & Gogas, Periklis & Papadimitriou, Theophilos
- 268-277 Growth in China and the US: Effects on a small commodity exporter economy
by Osborn, Denise R. & Vehbi, Tugrul
2015, Volume 44, Issue C
- 1-6 Patent rights protection and foreign direct investment in Asian countries
by Hsu, Judy & Tiao, Yu-En
- 7-17 Reform of Australian urban transport: A CGE-microsimulation analysis of the effects on income distribution
by Verikios, George & Zhang, Xiao-guang
- 18-24 Targets and lags in a two-equation model of US stabilization
by Kiefer, David
- 25-36 Does globalization promote real output? Evidence from quantile cointegration regression
by Chang, Chun-Ping & Lee, Chien-Chiang & Hsieh, Meng-Chi
- 37-43 Price versus quantity in a mixed duopoly: The case of relative profit maximization
by Nakamura, Yasuhiko
- 44-53 The impact of financial distress on corporate tax avoidance spanning the global financial crisis: Evidence from Australia
by Richardson, Grant & Taylor, Grantley & Lanis, Roman
- 54-58 Bull, bear or any other states in US stock market?
by Jiang, Yu & Fang, Xianming
- 59-67 The relation between asset growth and the cross-section of stock returns: Evidence from the Chinese stock market
by Wang, Yifeng & Liu, Cheyuan & Lee, Jen-Sin & Wang, Yanming
- 68-79 Military expenditures and political regimes: Evidence from global data, 1963–2000
by Töngür, Ünal & Hsu, Sara & Elveren, Adem Yavuz
- 80-85 Risk paradigm and risk evaluation of farmers cooperatives' technology innovation
by Luo, Jian-Li & Hu, Zhen-Hua
- 86-96 Robust analysis for downside risk in portfolio management for a volatile stock market
by Ayub, Usman & Shah, Syed Zulfiqar Ali & Abbas, Qaisar
- 97-103 CO2 emissions, economic growth, energy consumption, trade and urbanization in new EU member and candidate countries: A panel data analysis
by Kasman, Adnan & Duman, Yavuz Selman
- 104-115 Economic growth with coal, oil and renewable energy consumption in China: Prospects for fuel substitution
by Bloch, Harry & Rafiq, Shuddhasattwa & Salim, Ruhul
- 116-130 Changes in inflation dynamics under inflation targeting? Evidence from Central European countries
by Baxa, Jaromír & Plašil, Miroslav & Vašíček, Bořek
- 131-141 International transmission of monetary shocks to the Euro area: Evidence from the U.S., Japan and China
by Vespignani, Joaquin L.
- 142-155 How strong is the linkage between tourism and economic growth in Europe?
by Antonakakis, Nikolaos & Dragouni, Mina & Filis, George
- 156-161 More ads more revs: A note on media bias in review likelihood
by Dewenter, Ralf & Heimeshoff, Ulrich
- 162-170 Modeling loss given default with stochastic collateral
by Frontczak, Robert & Rostek, Stefan
- 171-179 What drives national efficiency in sub-Saharan Africa
by Danquah, Michael & Ouattara, Bazoumana
- 180-187 Learning-by-doing and unemployment dynamics
by Khalifa, Sherif
- 188-199 Applying the New Metafrontier Directional Distance Function to Compare Banking Efficiencies in Central and Eastern European Countries
by Huang, Tai-Hsin & Chiang, Dien-Lin & Tsai, Chao-Min
- 200-214 The Great Depression in Spain
by Giménez, Eduardo L. & Montero, María
- 215-228 Forecasting macroeconomic data for an emerging market with a nonlinear DSGE model
by Balcilar, Mehmet & Gupta, Rangan & Kotzé, Kevin
- 229-235 How stable is the export-led growth hypothesis? Evidence from Asia's Four Little Dragons
by Tang, Chor Foon & Lai, Yew Wah & Ozturk, Ilhan
- 236-242 Engel curves and price elasticity in urban Chinese Households
by Li, Lianyou & Song, Ze & Ma, Chao
- 243-251 Explaining the convenience yield in the WTI crude oil market using realized volatility and jumps
by Sévi, Benoît
- 252-265 Child benefit and fiscal burden in the endogenous fertility setting
by Ishida, Ryo & Oguro, Kazumasa & Takahata, Junichiro
- 266-272 Forecasting Portuguese GDP with factor models: Pre- and post-crisis evidence
by Dias, Francisco & Pinheiro, Maximiano & Rua, António
- 273-282 World gold prices and stock returns in China: Insights for hedging and diversification strategies
by El Hedi Arouri, Mohamed & Lahiani, Amine & Nguyen, Duc Khuong
- 283-293 Contagion of the Global Financial Crisis and the real economy: A regional analysis
by Kenourgios, Dimitris & Dimitriou, Dimitrios
- 294-306 Comovement of Chinese provincial business cycles
by Gatfaoui, Jamel & Girardin, Eric
- 307-316 Output adjusting cartels facing dynamic, convex demand under uncertainty: The case of OPEC
by Wirl, Franz
- 319-326 Economic forecasts and sovereign yields
by Afonso, António & Nunes, Ana Sofia
- 327-334 Comparing the shape of recoveries: France, the UK and the US
by Bec, Frédérique & Bouabdallah, Othman & Ferrara, Laurent
- 335-342 Financial integration in the euro area: Pro-cyclical effects and economic convergence
by van Ewijk, Saskia E. & Arnold, Ivo J.M.
- 343-349 Testing for external sustainability under a monetary integration process. Does the Lawson doctrine apply to Europe?
by Camarero, Mariam & Carrion-i-Silvestre, Josep Lluís & Tamarit, Cecilio
- 350-357 Assessing the impact of fiscal measures on the Czech economy
by Ambriško, Róbert & Babecký, Jan & Ryšánek, Jakub & Valenta, Vilém
- 358-362 Nonlinear effects of asset prices on fiscal policy: Evidence from the UK, Italy and Spain
by Agnello, Luca & Dufrénot, Gilles & Sousa, Ricardo M.
- 363-371 On the time-varying relationship between EMU sovereign spreads and their determinants
by Afonso, António & Arghyrou, Michael G. & Bagdatoglou, George & Kontonikas, Alexandros
- 372-383 Private sector deleveraging in Europe
by Cuerpo, Carlos & Drumond, Inês & Lendvai, Julia & Pontuch, Peter & Raciborski, Rafal
2014, Volume 44, Issue S1
- 2-11 Wage leadership models: A country-by-country analysis of the EMU
by Camarero, Mariam & D'Adamo, Gaetano & Tamarit, Cecilio
- 12-19 DSGE models and the Lucas critique
by Hurtado, Samuel
- 20-32 The role of culture on self-employment
by Marcén, Miriam
- 33-41 Product sophistication: A tie that binds partners in international trade
by Córcoles, David & Díaz-Mora, Carmen & Gandoy, Rosario
- 42-49 Recent reforms in Spanish housing markets: An evaluation using a DSGE model
by Mora-Sanguinetti, Juan S. & Rubio, Margarita
- 50-56 Is the European debt crisis a mere balance of payments crisis?
by Guerreiro, David
- 57-67 Means-testing and economic efficiency in pension design
by Fehr, Hans & Uhde, Johannes
- 68-76 Temporary speed limit changes: An econometric estimation of the effects of the Spanish Energy Efficiency and Saving Plan
by Castillo-Manzano, José I. & Castro-Nuño, Mercedes & Pedregal-Tercero, Diego J.
- 77-88 How FDI influences the triangular trade pattern among China, East Asia and the U.S.? A CGE analysis of the sector of Electronics in China
by Zhou, Jing & Latorre, María C.
2014, Volume 43, Issue C
- 1-8 Aggregated and disaggregated import demand in China: An empirical study
by Gozgor, Giray
- 9-20 A two-regime threshold model with conditional skewed Student t distributions for stock returns
by Massacci, Daniele
- 21-29 Monetary policy credibility and exchange rate pass-through: Some evidence from emerging countries
by Aleem, Abdul & Lahiani, Amine
- 30-37 Analysis of the financial parameters of Serbian banks through the application of the fuzzy AHP and TOPSIS methods
by Mandic, Ksenija & Delibasic, Boris & Knezevic, Snezana & Benkovic, Sladjana
- 38-41 New evidence from the random walk hypothesis for BRICS stock indices: a wavelet unit root test approach
by Tiwari, Aviral Kumar & Kyophilavong, Phouphet
- 42-56 “Little Science” and “Big Science”: The institution of “Open Science” as a cause of scientific and economic inequalities among countries
by Carillo, Maria Rosaria & Papagni, Erasmo
- 57-66 Asymmetric behavior of Australia's Big-4 banks in the mortgage market
by Valadkhani, Abbas & Worthington, Andrew
- 67-74 Pass-through of oil prices to domestic prices: Evidence from an oil-hungry but oil-poor emerging market
by Dedeoğlu, Dinçer & Kaya, Hüseyin
- 75-80 Convergence behavior of carbon dioxide emissions in China
by Wang, Yiming & Zhang, Pei & Huang, Dake & Cai, Changda
- 81-99 The equity premium in a small open economy and an application to Israel
by Borenstein, Eliezer & Elkayam, David
- 100-113 Simulating economic growth effects on food and nutrition security in Yemen: A new macro–micro modeling approach
by Breisinger, Clemens & Ecker, Olivier
- 114-123 The socially responsible choice in a duopolistic market: A dynamic model of “ethical product” differentiation
by Becchetti, Leonardo & Palestini, Arsen & Solferino, Nazaria & Elisabetta Tessitore, M.
- 124-135 Preemptive investment game with alternative projects
by Nishihara, Michi
- 136-141 Business cycle, interest rate and money in the euro area: A common factor model
by Cendejas, José Luis & Castañeda, Juan E. & Muñoz, Félix-Fernando
- 142-157 Bank lending procyclicality and credit quality during financial crises
by Caporale, Guglielmo Maria & Di Colli, Stefano & Lopez, Juan Sergio
- 158-167 Institutional investors, political connections and analyst following in Malaysia
by How, Janice & Verhoeven, Peter & Abdul Wahab, Effiezal Aswadi
- 168-172 International outsourcing, wage gap, and welfare
by Lo, Chu-Ping
- 173-182 Insider trading and information revelation with the introduction of futures markets
by Hsu, Chih-Hsiang & Lee, Hsiu-Chuan
- 183-191 Forecasting Canadian inflation: A semi-structural NKPC approach
by Kichian, Maral & Rumler, Fabio
- 192-200 Money–output Granger causal dynamics in China
by Wang, Xia & Zheng, Tingguo & Zhu, Yanli
- 201-208 Why should Southern economies stay in the Euro Zone? The role of labor markets
by Barbier-Gauchard, Amélie & De Palma, Francesco & Diana, Giuseppe
- 209-216 Admission standards, student effort, and the creation of skilled jobs
by Blankenau, William F. & Gao, Yuan
- 217-224 Regional stock market integration in Singapore: A multivariate analysis
by Teulon, Frédéric & Guesmi, Khaled & Mankai, Selim
- 225-237 Options and strategies for fiscal consolidation in India
by Tapsoba, Sampawende J.-A.
- 238-246 Novel three-bank model for measuring the systemic importance of commercial banks
by Lu, Jing & Hu, Xiaohong
- 247-255 A new Keynesian triangle Phillips curve
by Malikane, Christopher
- 256-266 China's structural change: A new SDA model
by Wang, Fei & Dong, Baomin & Yin, Xiaopeng & An, Chi
- 267-278 Financial development and economic growth in an oil-rich economy: The case of Saudi Arabia
by Samargandi, Nahla & Fidrmuc, Jan & Ghosh, Sugata
- 279-286 An estimation of the demand and supply for physician services using a panel data
by Marvasti, Akbar
- 287-292 The determinants of foreign direct investment in Malaysia: A case for electrical and electronic industry
by Tang, Chor Foon & Yip, Chee Yin & Ozturk, Ilhan
- 293-304 Hysteresis versus natural rate in Taiwan's unemployment: Evidence from the educational attainment categories
by Chang, Ming-Jen & Su, Che-Yi
- 321-329 Market structure and R&D investment spillovers
by Shibata, Takashi
- 330-345 Inflation targeting and exchange rate volatility smoothing: A two-target, two-instrument approach
by Castillo, Carlos
- 346-360 Stability periods between financial crises: The role of macroeconomic fundamentals and crises management policies
by Bicaba, Zorobabel & Kapp, Daniel & Molteni, Francesco
- 361-371 Does fiscal decentralization promote the inflow of FDI in China?
by He, Qichun & Sun, Meng
- 372-393 The efficiency of SMEs in Thai manufacturing: A stochastic frontier analysis
by Charoenrat, Teerawat & Harvie, Charles
- 394-406 An empirical analysis of currency volatilities during the recent global financial crisis
by Ozer-Imer, Itir & Ozkan, Ibrahim
- 407-415 Comparing behavioural and rational expectations for the US post-war economy
by Liu, Chunping & Minford, Patrick
- 416-425 Covariance estimation using high-frequency data: Sensitivities of estimation methods
by Haugom, Erik & Lien, Gudbrand & Veka, Steinar & Westgaard, Sjur
- 426-434 Exchange rate exposure at the firm and industry levels: Evidence from Turkey
by Akay, Gokhan H. & Cifter, Atilla
- 435-438 Foreign aid, leisure–effort choice, and economic growth
by Liu, Xiangbo & Zhang, Xiaomeng & Chao, Chi-Chur
- 439-447 The effects of purchasing and price subsidy policies for agricultural products under target zones
by Chen, Li-Ju & Hu, Shih-Wen & Wang, Vey & Wen, Jiandong & Ye, Chusheng
- 448-457 Effects of volatility shocks on the dynamic linkages between exchange rate, interest rate and the stock market: The case of Turkey
by Sensoy, Ahmet & Sobaci, Cihat
- 458-464 Optimal retirement age, leisure and consumption
by Mao, Hong & Ostaszewski, Krzysztof M. & Wang, Yuling
- 465-475 Sectoral asymmetries in a small open economy
by Tiryaki, S. Tolga
- 476-479 New implications of Lazear's skill-weights approach
by Morita, Hodaka & Noone, Clare
2014, Volume 42, Issue C
- 1-14 Financial integration, capital market development and economic performance: Empirical evidence from Botswana
by Ahmed, Abdullahi D. & Mmolainyane, Kelesego K.
- 15-19 Backtesting VaR in consideration of the higher moments of the distribution for minimum-variance hedging portfolios
by Chuang, Chung-Chu & Wang, Yi-Hsien & Yeh, Tsai-Jung & Chuang, Shuo-Li
- 20-28 Investigating the US consumer credit determinants using linear and non-linear cointegration techniques
by Paradiso, Antonio & Kumar, Saten & Lucchetta, Marcella
- 29-37 Asymmetric dynamics in REIT prices: Further evidence based on quantile regression analysis
by Lee, Chien-Chiang & Lee, Cheng-Feng & Lee, Chi-Chuan
- 38-42 The invoicing currency choice model of export enterprises assuming joint utility maximization and analysis of the factors influencing selection
by Wang, Xiangning & Zhao, Xing
- 43-56 The impact of recession on drinking and smoking behaviours in Canada
by Latif, Ehsan
- 57-65 Regional evidence on Okun's Law in Czech Republic and Slovakia
by Durech, Richard & Minea, Alexandru & Mustea, Lavinia & Slusna, Lubica
- 66-76 Human capital and economic growth: A macroeconomic model for Pakistan
by Qadri, Faisal Sultan & Waheed, Abdul
- 77-93 Macro effects of capital requirements and macroprudential policy
by Akram, Q. Farooq
- 94-105 How does technology transfer affect backward linkages? A motivating example theoretical analysis
by Simons, Alexandre
- 106-115 Tax evasion in a behaviorally heterogeneous society: An evolutionary analysis
by Antoci, Angelo & Russu, Paolo & Zarri, Luca
- 116-127 Will euro area house prices sharply decrease?
by Ott, Hervé
- 128-139 New estimates of time-varying currency betas: A trivariate BEKK approach
by Jayasinghe, Prabhath & Tsui, Albert K. & Zhang, Zhaoyong
- 140-145 Fixed versus variable rate loans under regret aversion
by Wong, Kit Pong
- 146-158 Production interdependencies and poverty reduction across ethnic groups in Malaysia
by Saari, M. Yusof & Dietzenbacher, Erik & Los, Bart
- 159-165 On the dividend smoothing, signaling and the global financial crisis
by Al-Malkawi, Husam-Aldin Nizar & Bhatti, M. Ishaq & Magableh, Sohail I.
- 166-176 Quantity competition vs. price competition under optimal subsidy in a mixed oligopoly
by Scrimitore, Marcella
- 177-185 The behavior of Turkish exchange rates: A panel data perspective
by Adiguzel, Ugur & Sahbaz, Ahmet & Ozcan, Ceyhun Can & Nazlioglu, Saban
- 186-197 Business cycles synchronization in East Asia: A Markov-switching approach
by Dufrénot, Gilles & Keddad, Benjamin
- 198-207 Is mortality spatial or social?
by O'Hare, Colin & Li, Youwei
- 208-219 The precise form of financial integration: Empirical evidence for selected Asian countries
by Gan, Pei-Tha
- 220-229 Complex dynamics of monopolies with gradient adjustment
by Matsumoto, Akio & Szidarovszky, Ferenc
- 230-242 A semiparametric approach to value-at-risk, expected shortfall and optimum asset allocation in stock–bond portfolios
by Chen, Xiangjin B. & Silvapulle, Param & Silvapulle, Mervyn
- 243-249 The relative effects of crude oil price and exchange rate on petroleum product prices: Evidence from a set of Northern Mediterranean countries
by Berument, M. Hakan & Sahin, Afsin & Sahin, Serkan
- 250-256 Patent licensing in spatial models
by Lu, Yuanzhu & Poddar, Sougata
- 257-271 The sectorial impact of commodity price shocks in Australia
by Knop, Stephen J. & Vespignani, Joaquin L.
- 272-276 On the upsurge of U.S. food prices revisited
by Baek, Jungho & Koo, Won W.
- 277-286 Estimation errors in input–output tables and prediction errors in computable general equilibrium analysis
by Hosoe, Nobuhiro
- 287-295 Identifying the dynamic relationship between tanker freight rates and oil prices: In the perspective of multiscale relevance
by Sun, Xiaolei & Tang, Ling & Yang, Yuying & Wu, Dengsheng & Li, Jianping
- 296-300 The housing market in Beijing and delays in sales: A fractional polynomial survival model
by Barros, Carlos Pestana & Gil-Alana, Luis A. & Chen, Zhongfei
- 301-312 Monetary policy and credit cycles: A DSGE analysis
by Badarau, Cristina & Popescu, Alexandra
- 313-322 The formation of wage expectations in the effort and quit decisions of workers
by Campbell, Carl M.
- 323-332 Are the transport fuel retail markets regionally integrated in Spain? Evidence from price transmission
by Balaguer, Jacint & Ripollés, Jordi
- 333-342 Short sale constraints, disperse pessimistic beliefs and market efficiency — Evidence from the Chinese stock market
by Zhao, Zhongkuang & Li, Shuqi & Xiong, Heping
- 343-355 Growth-returns nexus: Evidence from three Central and Eastern European countries
by Lyócsa, Štefan
- 356-362 The impact of the 2008 financial crisis on housing prices in China and Taiwan: A quantile regression analysis
by Kang, Hsin-Hong & Liu, Shu-Bing