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Content
2014, Volume 41, Issue C
- 298-311 Transmission effects in the presence of structural breaks: Evidence from South-Eastern European countries
by Koukouritakis, Minoas & Papadopoulos, Athanasios P. & Yannopoulos, Andreas
- 312-315 Regret theory and the competitive firm: A comment
by Niu, Cuizhen & Guo, Xu & Wang, Tao & Xu, Peirong
- 316-318 Productivity and consumption home bias with goods market frictions
by Lee, Inkoo
- 319-328 Optimal stopping time with stochastic volatility
by Zhang, Ran & Xu, Shuang
- 329-337 Convenient prices, cash payments and price rigidity
by Bouhdaoui, Y. & Bounie, D. & François, A.
- 338-344 Interval portfolio selection models within the framework of uncertainty theory
by Li, Xiang & Qin, Zhongfeng
- 345-355 The effect of the euro on aeronautic trade: A French regional analysis
by Candau, Fabien & Rey, Serge
- 356-364 Parametric persistence of multiple equilibria in an economy directly calibrated to 5 equilibria
by Whalley, John & Zhang, Shunming
- 365-374 Extracting portfolio management strategies from volatility transmission models in regime-changing environments: Evidence from GCC and global markets
by Khalifa, Ahmed A.A. & Hammoudeh, Shawkat & Otranto, Edoardo
- 375-382 Fiscal efficiency, redistribution and welfare
by Neyapti, Bilin & Bulut-Cevik, Zeynep Burcu
- 383-391 Testing the tourism-induced EKC hypothesis: The case of Singapore
by Katircioğlu, Salih Turan
- 392-397 Measuring sustainability performance for China: A sequential generalized directional distance function approach
by Zhang, Ning & Kong, Fanbin & Choi, Yongrok
- 398-407 Diversification across ASEAN-wide sectoral and national equity returns
by Balli, Faruk & Balli, Hatice Ozer & Luu, Mong Ngoc
- 408-420 Welfare effects of monetary policy in an economy with vertical production and trade: An analysis based on the perspective of local currency pricing
by Dohwa, Kohjiro
- 421-434 Nontradable sector reform and external rebalancing in monetary union: A model-based analysis
by Vogel, Lukas
2014, Volume 40, Issue C
- 1-11 A dynamic estimation of governance structures and financial performance for Singaporean companies
by Nguyen, Tuan & Locke, Stuart & Reddy, Krishna
- 12-20 Parity in professional sports when revenues are maximized
by Biner, Burhan
- 21-32 Shifting Armington trade preferences: A re-examination of the Mercosur–EU negotiations
by Philippidis, G. & Resano, H. & Sanjuán, A.I.
- 33-41 The impact of financial development, income, energy and trade on carbon emissions: Evidence from the Indian economy
by Boutabba, Mohamed Amine
- 42-51 Money demand instability and real exchange rate persistence in the monetary model of USD–JPY exchange rate
by Hunter, John & Menla Ali, Faek
- 52-58 Are Hungarian investors reluctant to realize their losses?
by Ormos, Mihály & Joó, István
- 59-67 Modeling and estimating returns to seller reputation with unobserved heterogeneity in online auctions
by Shiu, Ji-Liang & Sun, Chia-Hung D.
- 68-75 Ripple effect in house prices and trading volume in the UK housing market: New viewpoint and evidence
by Tsai, I-Chun
- 76-80 Application of artificial neural networks in tendency forecasting of economic growth
by Feng, Lihua & Zhang, Jianzhen
- 81-90 Dynamic hedging strategy in incomplete market: Evidence from Shanghai fuel oil futures market
by Lin, Xiaoqiang & Chen, Qiang & Tang, Zhenpeng
- 91-100 Bilateral counterparty risk valuation for credit default swap in a contagion model using Markov chain
by Dong, Yinghui & Wang, Guojing
- 101-116 Realized volatility models and alternative Value-at-Risk prediction strategies
by Louzis, Dimitrios P. & Xanthopoulos-Sisinis, Spyros & Refenes, Apostolos P.
- 117-135 Determinants of the sacrifice ratio: Evidence from OECD and non-OECD countries
by Mazumder, Sandeep
- 136-151 Euro introduction: Has there been a structural change? Study on 10 European Union countries
by Legrand, Romain
- 152-157 Estimating IPO pricing efficiency by Bayesian stochastic frontier analysis: The ChiNext market case
by Luo, Changqing & Ouyang, Zisheng
- 158-166 Cross-market index with Factor-DCC
by Aboura, Sofiane & Chevallier, Julien
- 167-174 Mixed copula model with stochastic correlation for CDO pricing
by Chen, Jianli & Liu, Zhen & Li, Shenghong
- 175-183 Monetary easing policy and long-run food prices: Evidence from China
by Yu, Xiaohua
- 184-190 Reexamining the PPP hypothesis: A nonlinear asymmetric heterogeneous panel unit root test
by Emirmahmutoglu, Furkan & Omay, Tolga
- 191-198 Information and capital flows revisited: The Internet as a determinant of transactions in financial assets
by Choi, Changkyu & Rhee, Dong-Eun & Oh, Yonghyup
- 199-207 So you want to build a trade model? Available resources and critical choices
by McCleery, Robert & DePaolis, Fernando
- 208-226 Current account sustainability in Sub-Saharan Africa: Does the exchange rate regime matter?
by Gnimassoun, Blaise & Coulibaly, Issiaka
- 227-241 The existence of uncovered interest parity in the CIS countries
by Bhatti, Razzaque H.
- 242-249 Modeling conditional covariance for mixed-asset portfolios
by Zhou, Jian
- 250-258 A frequency domain causality investigation between futures and spot prices of Indian commodity markets
by Joseph, Anto & Sisodia, Garima & Tiwari, Aviral Kumar
- 259-268 Unidirectional transshipment policies in a dual-channel supply chain
by He, Yong & Zhang, Peng & Yao, Yuliang
- 269-274 Morocco and the US Free Trade Agreement: A specific factors model with unemployment and energy imports
by Malki, Mostafa & Thompson, Henry
- 275-283 Intergenerational transfer, human capital and long-term growth in China under the one child policy
by Zhu, Xi & Whalley, John & Zhao, Xiliang
- 284-289 Economic stress and cigarette smoking: Evidence from the United States
by Goel, Rajeev K.
- 290-298 Dynamic relationship between Turkey and European countries during the global financial crisis
by Sensoy, Ahmet & Soytas, Ugur & Yildirim, Irem & Hacihasanoglu, Erk
- 299-313 The effects of oil shocks on government expenditures and government revenues nexus (with an application to Iran's sanctions)
by Dizaji, Sajjad Faraji
- 314-319 Parameter identification in mixed Brownian–fractional Brownian motions using Powell's optimization algorithm
by Zhang, Pu & Sun, Qi & Xiao, Wei-Lin
- 320-333 CO2 emissions converge in the 50 U.S. states — Sequential panel selection method
by Li, Xiao-Lin & Tang, D.P. & Chang, Tsangyao
- 334-341 Explaining Italy's economic growth: A balance-of-payments approach with internal and external imbalances and non-neutral relative prices
by Soukiazis, Elias & Cerqueira, Pedro André & Antunes, Micaela
- 342-354 Heterogeneous bank regulatory standards and the cross-border supply of financial services
by Bouvatier, Vincent
- 355-366 Endogenous (re-)distributive policies and economic growth: A comparative static analysis
by Rehme, Günther
- 369-381 Optimal and investable portfolios: An empirical analysis with scenario optimization algorithms under crisis market prospects
by Al Janabi, Mazin A.M.
- 382-391 Equity portfolio insurance against a benchmark: Setting, replication and optimality
by Bahaji, Hamza
- 392-399 Energy price transmissions during extreme movements
by Joëts, Marc
- 400-409 Regime-dependent adjustment in energy spot and futures markets
by Beckmann, Joscha & Belke, Ansgar & Czudaj, Robert
- 410-422 On the optimality of funding and hiring/firing according to stochastic demand: The role of growth and shutdown options
by Letifi, N. & Prigent, J.-L.
- 423-434 Employee ownership: A theoretical and empirical investigation of management entrenchment vs. reward management
by Aubert, Nicolas & Garnotel, Guillaume & Lapied, André & Rousseau, Patrick
2014, Volume 39, Issue C
- 1-7 Evolutionary models in cash management policies with multiple assets
by Moraes, Marcelo Botelho da Costa & Nagano, Marcelo Seido
- 8-18 Long-term research and development incentives in a dynamic Cournot duopoly
by Yap, Yee Jiun & Luckraz, Shravan & Tey, Siew Kian
- 19-31 Stock market integration of emerging Asian economies: Patterns and causes
by Narayan, S. & Sriananthakumar, S. & Islam, S.Z.
- 32-48 Intangible capital in a real business cycle model
by Malik, Kashif Zaheer & Ali, Syed Zahid & Khalid, Ahmed M.
- 49-62 On modeling task, skill and technology upgrading effects of globalization with heterogeneous labor
by Jung, Jaewon & Mercenier, Jean
- 63-70 Monetary policy responses to the exchange rate: Empirical evidence from the ECB
by Demir, İshak
- 71-81 The state's role and position in international trade: A complex network perspective
by Fan, Ying & Ren, Suting & Cai, Hongbo & Cui, Xuefeng
- 82-94 Risk-taking channel, bank lending channel and the “paradox of credibility”
by Montes, Gabriel Caldas & Peixoto, Gabriel Barros Tavares
- 95-100 Higher order expectations in sentiment asset pricing model
by Yang, Chunpeng & Cai, Chuangqun
- 101-109 The endogenous objective function of a partially privatized firm: A Nash bargaining approach
by Kamijo, Yoshio & Tomaru, Yoshihiro
- 110-122 Control–ownership wedge, board of directors, and the value of excess cash
by Belkhir, Mohamed & Boubaker, Sabri & Derouiche, Imen
- 123-137 The economic effects of lowering HIV incidence in South Africa: A CGE analysis
by Roos, E.L. & Giesecke, J.A.
- 138-145 Estimation of state changes in system descriptions for dynamic Bayesian networks by using a genetic procedure and particle filters
by Lu, Jianjun & Tokinaga, Shozo
- 146-150 Competing back for foreign direct investment
by Zhai, Weifeng
- 151-162 Tax evasion in Kenya and Tanzania: Evidence from missing imports
by Levin, Jörgen & Widell, Lars M.
- 163-167 Combining an improved multi-delivery policy into a single-producer multi-retailer integrated inventory system with scrap in production
by Chiu, Yuan-Shyi Peter & Chen, Yung-Chung & Lin, Hong-Dar & Chang, Huei-Hsin
- 168-173 Can gold hedge and preserve value when the US dollar depreciates?
by Reboredo, Juan C. & Rivera-Castro, Miguel A.
- 174-181 The impacts of education investment on skilled–unskilled wage inequality and economic development in developing countries
by Pan, Lijun
- 182-189 Total factor productivity change of MENA microfinance institutions: A Malmquist productivity index approach
by Soltane Bassem, Ben
- 190-194 Capital account openness and early warning system for banking crises in G20 countries
by Qin, Xiao & Luo, Chengying
- 195-203 The broken window: Fallacy or fact – A Kaleckian–Post Keynesian approach
by Chaiechi, Taha
- 204-212 Analysis on the dynamics of a Cournot investment game with bounded rationality
by Ding, Zhanwen & Wang, Qiao & Jiang, Shumin
- 213-220 The non-linear impact of high and growing government external debt on economic growth: A Markov Regime-switching approach
by Doğan, İbrahim & Bilgili, Faik
- 221-231 Semiconductor industry cycles: Explanatory factors and forecasting
by Aubry, Mathilde & Renou-Maissant, Patricia
- 232-239 Collective behavior and options volatility smile: An agent-based explanation
by Liu, Yi-Fang & Zhang, Wei & Xu, Hai-Chuan
- 240-246 Capital flows and current account dynamics in Turkey: A nonlinear time series analysis
by Cecen, Aydin & Xiao, Linlan
- 247-256 Fuzzy value-at-risk and expected shortfall for portfolios with heavy-tailed returns
by Mbairadjim Moussa, A. & Sadefo Kamdem, J. & Terraza, M.
- 257-264 Joint decision on pricing and advertising for competing retailers under emergency purchasing
by Liu, Bin & Ma, Xindi & Zhang, Rong
- 265-272 Some thought experiments on the changes in labor supply in Turkey
by Üngör, Murat
- 273-281 Are Dow Jones Islamic equity indices exposed to interest rate risk?
by Shamsuddin, Abul
- 282-292 Enhanced index tracking with multiple time-scale analysis
by Li, Qian & Bao, Liang
- 293-304 A multi-period positive mathematical programming approach for assessing economic impact of drought in the Murray–Darling Basin, Australia
by Qureshi, M. Ejaz & Ahmad, Mobin-ud-Din & Whitten, Stuart M. & Kirby, Mac
- 305-313 A small macroeconometric model of the Nigerian economy
by Olofin, S.O. & Olubusoye, O.E. & Mordi, C.N.O. & Salisu, A.A. & Adeleke, A.I. & Orekoya, S.O. & Olowookere, A.E. & Adebiyi, M.A.
- 314-321 Evidence of public capital spillovers and endogenous growth in Taiwan
by Wang, Yi-Chia
2014, Volume 38, Issue C
- 1-5 The phenomenon of equifinality in innovative development of the monetary private ownership economy —An axiomatic set-up
by Ciałowicz, Beata
- 6-11 Interpreting and evaluating CESIfo's World Economic Survey directional forecasts
by Hutson, Mark & Joutz, Fred & Stekler, Herman
- 12-22 International price transmission in CGE models: How to reconcile econometric evidence and endogenous model response?
by Siddig, Khalid & Grethe, Harald
- 23-32 The price stability under inflation targeting regime: An analysis with a new intermediate approach
by Ftiti, Zied & Hichri, Walid
- 33-44 A reflection principle for a random walk with implications for volatility estimation using extreme values of asset prices
by Kumar, Dilip & Maheswaran, S.
- 45-56 Credit market imperfection, labor supply complementarity, and output volatility
by Agliari, Anna & Vachadze, George
- 57-66 A life-cycle analysis of ending mandatory retirement
by Koka, Katerina & Kosempel, Stephen
- 67-70 Price leadership in a vertically differentiated market
by Li, Youping
- 71-74 On the optimal choices of R&D risk in a market with network externalities
by Xing, Mingqing
- 75-79 Does fine wine price contain useful information to forecast GDP? Evidence from major developed countries
by Qiao, Zhuo & Chu, Patrick Kuok-Kun
- 80-86 Measuring environmental performance with stochastic environmental DEA: The case of APEC economies
by Jin, Jingliang & Zhou, Dequn & Zhou, Peng
- 87-101 EU fiscal stance vulnerability: Are the old members the gold members?
by Dybczak, Kamil & Melecky, Martin
- 102-111 Manufacturer's pricing strategy in a two-level supply chain with competing retailers and advertising cost dependent demand
by Giri, B.C. & Sharma, S.
- 112-120 Endogenous growth and intellectual property rights: A north–south modeling proposal
by Azevedo, Mónica L. & Afonso, Óscar & Silva, Sandra T.
- 121-132 Testing for nonlinear panel unit roots under cross-sectional dependency — With an application to the PPP hypothesis
by Månsson, Kristofer & Sjölander, Pär
- 133-141 Corporate governance practices in emerging markets: The case of GCC countries
by Al-Malkawi, Husam-Aldin N. & Pillai, Rekha & Bhatti, M.I.
- 142-151 Firm return volatility and economic gains: The role of oil prices
by Narayan, Paresh Kumar & Sharma, Susan Sunila
- 152-162 On corruption, bribes and the exchange of favors
by Rodrigues-Neto, José A.
- 163-174 Tax effort performance in sub-Sahara Africa and the role of colonialism
by Feger, Thuto & Asafu-Adjaye, John
- 175-183 Volatility and dynamic conditional correlations of worldwide emerging and frontier markets
by Baumöhl, Eduard & Lyócsa, Štefan
- 184-189 Does the economic integration of China affect growth and inflation in industrial countries?
by Dreger, Christian & Zhang, Yanqun
- 190-195 Partisanship and antidumping
by Avsar, Veysel
- 196-203 The nexus of market concentration and privatization policy in mixed oligopoly
by Hsu, Su-Ying & Lo, Chu-Ping & Wu, Shih-Jye
- 204-210 External debt growth nexus: Role of macroeconomic polices
by Ramzan, Muhammad & Ahmad, Eatzaz
- 211-219 EU membership, institutions and growth: The case of Turkey
by Hisamoglu, Ebru
- 220-226 Relationship between the benchmark interest rate and a macroeconomic indicator
by Duan, Qihong & Wei, Ying & Chen, Zhiping
- 227-237 The nexus between electricity consumption and economic growth in Bahrain
by Hamdi, Helmi & Sbia, Rashid & Shahbaz, Muhammad
- 238-245 Model structure or data aggregation level: Which leads to greater bias of results?
by Brockmeier, Martina & Bektasoglu, Beyhan
- 246-257 A barrier option framework for rescue package designs and bank default risks
by Chang, Chuen-Ping
- 258-269 Conditional Markov regime switching model applied to economic modelling
by Goutte, Stéphane
- 270-281 What does MENA region initially need: Grow output or mitigate CO2 emissions?
by Farhani, Sahbi & Shahbaz, Muhammad & Sbia, Rashid & Chaibi, Anissa
- 282-287 Consumption externality and indeterminacy under increasing returns to scale and endogenous capital depreciation
by Wang, Gaowang & Zou, Heng-fu
- 288-295 Integration of current account imbalances in the OECD
by Narayan, Seema
- 296-304 Determinants of wage stickiness in a developing economy
by Ahmed, Waqas & Choudhary, M. Ali & Khan, Sajawal & Naeem, Saima & Zoega, Gylfi
- 305-310 Return and volatility transmission between oil prices and oil-exporting and oil-importing countries
by Guesmi, Khaled & Fattoum, Salma
- 311-315 Pedestrian fatality and natural light: Evidence from South Africa using a Bayesian approach
by Das, Sonali
- 316-327 The conditional equity premium, cross-sectional returns and stochastic volatility
by Fung, Ka Wai Terence & Lau, Chi Keung Marco & Chan, Kwok Ho
- 328-340 Modelling the distribution of returns on higher education: A microsimulation approach
by Courtioux, Pierre & Gregoir, Stéphane & Houeto, Dede
- 341-350 A recursive formula for a participating contract embedding a surrender option under regime-switching model with jump risks: Evidence from stock indices
by Lin, Shih-Kuei & Lin, Chien-Hsiu & Chuang, Ming-Che & Chou, Chia-Yu
- 351-356 On the self-fulfilling prophecy of changes in sovereign ratings
by Schumacher, Ingmar
- 357-366 A simple endogenous growth model of financial intermediation with multiplicity and indeterminacy
by Eggoh, Jude C. & Villieu, Patrick
- 367-371 Environment and labor movement of skilled labor and unskilled labor between sectors
by Li, Xiaochun & Xu, Yuanting & Wang, Dianshuang
- 372-380 Modelling the dynamics of European carbon futures price: A Zipf analysis
by Zhu, Bangzhu & Ma, Shujiao & Chevallier, Julien & Wei, Yiming
- 381-384 Re-examining the Turkish stock market efficiency: Evidence from nonlinear unit root tests
by Gozbasi, Onur & Kucukkaplan, Ilhan & Nazlioglu, Saban
- 385-391 Media exposure and individual choices: Evidence from lottery players
by De Paola, Maria & Scoppa, Vincenzo
- 392-403 Building a financial conditions index for the euro area and selected euro area countries: What does it tell us about the crisis?
by Angelopoulou, Eleni & Balfoussia, Hiona & Gibson, Heather D.
- 404-416 Is the natural resource production a blessing or curse for China's urbanization? Evidence from a space–time panel data model
by Liu, Yaobin
- 417-425 Deunionization and pay inequality in OECD Countries: A panel Granger causality approach
by Töngür, Ünal & Elveren, Adem Yavuz
- 426-434 CO2 emissions, output, energy consumption, and trade in Tunisia
by Farhani, Sahbi & Chaibi, Anissa & Rault, Christophe
- 435-442 Asymmetric contracts, cash flows and risk taking of mutual funds
by Sheng, Jiliang & Wang, Jian & Wang, Xiaoting & Yang, Jun
- 443-450 Cronyism and education performance
by Coco, Giuseppe & Lagravinese, Raffaele
- 451-462 Long-run determinants of current accounts in OECD countries: Lessons for intra-European imbalances
by Gossé, Jean-Baptiste & Serranito, Francisco
- 463-469 The persistence and asymmetric volatility in the Nigerian stock bull and bear markets
by Yaya, OlaOluwa S. & Gil-Alana, Luis A.
- 470-485 Energy portfolio risk management using time-varying extreme value copula methods
by Ghorbel, Ahmed & Trabelsi, Abdelwahed
- 486-494 Revisiting the shock and volatility transmissions among GCC stock and oil markets: A further investigation
by Jouini, Jamel & Harrathi, Nizar
- 495-503 Modelling under ambiguity with dynamically consistent Choquet random walks and Choquet–Brownian motions
by Kast, Robert & Lapied, André & Roubaud, David
- 504-511 Persistence and cycles in US hours worked
by Caporale, Guglielmo Maria & Gil-Alana, Luis A.
- 512-521 Fertility and mortality changes in an overlapping-generations model with realistic demography
by Lau, Sau-Him Paul
- 522-532 Impact of Chinese growth and trade on labor in developed countries
by Mirza, Tasneem & Narayanan, Badri & van Leeuwen, Nico
- 533-540 Energy consumption, carbon emissions, and economic growth in India: Evidence from directed acyclic graphs
by Yang, Zihui & Zhao, Yongliang
- 541-554 Smooth transition, non-linearity and current account sustainability: Evidence from the European countries
by Chen, Shyh-Wei
- 555-563 A recovery mechanism for a two echelon supply chain system under supply disruption
by Hishamuddin, Hawa & Sarker, Ruhul A. & Essam, Daryl
- 564-571 Elasticities of substitution between energy and non-energy inputs in China power sector
by Zha, Donglan & Ding, Ning
- 572-580 The different impacts of home countries characteristics in FDI on Chinese spillover effects: Based on one-stage SFA
by Zhang, Cheng & Guo, Bingnan & Wang, Jianke
- 581-591 Urbanization and renewable and non-renewable energy consumption in OECD countries: An empirical analysis
by Salim, Ruhul A. & Shafiei, Sahar
- 592-603 An alternative measure of structural unemployment
by Aysun, Uluc & Bouvet, Florence & Hofler, Richard
- 604-608 A multivariate approach in measuring socio-economic development of MENA countries
by Milenkovic, Nemanja & Vukmirovic, Jovanka & Bulajic, Milica & Radojicic, Zoran
- 609-618 Modeling volatility and conditional correlations between socially responsible investments, gold and oil
by Sadorsky, Perry
- 619-626 Forecasting with a state space time-varying parameter VAR model: Evidence from the Euro area
by Bekiros, Stelios
- 627-632 State dependent asymmetric loss and the consensus forecast of real U.S. GDP growth
by Higgins, Matthew L. & Mishra, Sagarika
- 633-639 PSO-based high order time invariant fuzzy time series method: Application to stock exchange data
by Egrioglu, Erol
- 640-647 Estimating entrants' productivity when prices are unobserved
by Kılınç, Umut
2014, Volume 37, Issue C
- 1-15 Testing for fiscal sustainability: New evidence from the G-7 and some European countries
by Chen, Shyh-Wei
- 16-22 Rent seeking opportunities and economic growth in transitional economies
by Iqbal, Nasir & Daly, Vince
- 23-31 Long-term growth driven by a sequence of general purpose technologies
by Schaefer, Andreas & Schiess, Daniel & Wehrli, Roger
- 32-40 Forecasting exchange rates using panel model and model averaging
by Garratt, Anthony & Mise, Emi
- 41-52 Foreign aid, external debt and governance
by Qayyum, Unbreen & Din, Musleh-ud & Haider, Adnan
- 53-64 Optimal risk and dividend control problem with fixed costs and salvage value: Variance premium principle
by Yao, Dingjun & Yang, Hailiang & Wang, Rongming
- 65-78 China's potential future growth and gains from trade policy bargaining: Some numerical simulation results
by Li, Chunding & Whalley, John
- 79-88 Real convergence and its illusions
by Kolasa, Marcin
- 89-102 Conditional heteroscedasticity with leverage effect in stock returns: Evidence from the Chinese stock market
by Long, Ling & Tsui, Albert K. & Zhang, Zhaoyong
- 103-112 A dynamic duopoly model with bounded rationality based on constant conjectural variation
by Yu, Weisheng & Yu, Yu
- 113-119 Should the US streamline its tax system? Analysis on an endogenous growth model
by Gómez, Manuel A. & Sequeira, Tiago N.
- 120-126 Fiscal deficit and inflation: New evidences from Pakistan using a bounds testing approach
by Jalil, Abdul & Tariq, Rabbia & Bibi, Nazia
- 127-136 Short-run dynamics in bank credit: Assessing nonlinearities in cyclicality
by Bouvatier, Vincent & López-Villavicencio, Antonia & Mignon, Valérie
- 137-142 How integrated are real estate markets with the world market? Evidence from case-wise bootstrap analysis
by Hatemi-J, Abdulnasser & Roca, Eduardo & Al-Shayeb, Abdulrahman
- 143-148 Optimal run time for EPQ model with scrap, rework and stochastic breakdowns: A note
by Chiu, Yuan-Shyi Peter & Chang, Huei-Hsin
- 149-163 The impact of real exchange rates adjustments on global imbalances: A multilateral approach
by Allegret, Jean-Pierre & Sallenave, Audrey
- 164-174 The relations among accounting conservatism, institutional investors and earnings manipulation
by Lin, Fengyi & Wu, Chung-Min & Fang, Tzu-Yi & Wun, Jheng-Ci
- 175-183 An ensemble-based model for two-class imbalanced financial problem
by Liao, Jui-Jung & Shih, Ching-Hui & Chen, Tai-Feng & Hsu, Ming-Fu
- 184-192 International factor mobility, informal interest rate and capital market imperfection: A general equilibrium analysis
by Chaudhuri, Sarbajit & Gupta, Manash Ranjan
- 193-201 Assessing the effectiveness of monetary policy in Kenya: Evidence from a macroeconomic model
by Were, Maureen & Nyamongo, Esman & Kamau, Anne W. & Sichei, Moses M. & Wambua, Joseph
- 202-215 Corruption and growth: The role of governance, public spending, and economic development
by Dzhumashev, Ratbek
- 216-223 Calendar anomalies in cash and stock index futures: International evidence
by Floros, Christos & Salvador, Enrique
- 224-237 An integrated multi-objective model for allocating the limited sources in a multiple multi-stage lean supply chain
by Safaei, Mehdi
- 238-240 Optimal contract under brand name collaboration
by Basak, Debasmita & Mukherjee, Arijit
- 241-250 Working poverty, social exclusion and destitution: An empirical study
by Gangopadhyay, Partha & Shankar, Sriram & Rahman, Mustafa A.
- 251-254 Controls of the complex dynamics of a multi-market Cournot model
by Ahmed, E. & Elettreby, M.F.
- 255-270 Assessing fiscal episodes
by Afonso, António & Jalles, João Tovar
- 271-279 Trends in the extraction of non-renewable resources: The case of fossil energy
by Nyambuu, Unurjargal & Semmler, Willi
- 280-290 Oil price risk in the Spanish stock market: An industry perspective
by Moya-Martínez, Pablo & Ferrer-Lapeña, Román & Escribano-Sotos, Francisco
- 291-295 The time-dependent characteristics of relative mobility
by Huang, Jing & Wang, Yougui
- 296-305 Pricing foreign equity options with regime-switching
by Fan, Kun & Shen, Yang & Siu, Tak Kuen & Wang, Rongming
- 306-319 Speculative and hedging interaction model in oil and U.S. dollar markets with financial transaction taxes
by Carfí, David & Musolino, Francesco
- 320-331 Determinants of terrorism in Pakistan: An empirical investigation
by Ismail, Aisha & Amjad, Shehla
- 332-339 Growth and Foreign Direct Investment in the Pacific Island countries
by Feeny, Simon & Iamsiraroj, Sasi & McGillivray, Mark
- 340-349 The dynamics of a banking duopoly with capital regulations
by Fanti, Luciano