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Content
2012, Volume 29, Issue 3
- 684-690 Are securitised real estate markets efficient?
by Su, Jen-Je & Cheung, Adrian (Wai-Kong) & Roca, Eduardo
- 691-699 Minimum wage, on-the-job search and employment: On the sectoral and aggregate equilibrium effect of the mandatory minimum wage
by Gavrel, Frédéric & Lebon, Isabelle & Rebière, Thérèse
- 700-715 Disability benefit microsimulation models in the Netherlands
by van Sonsbeek, Jan-Maarten & Alblas, Ridwan
- 716-724 The impact of the Interaction between institutional quality and aid volatility on growth: theory and evidence
by Kathavate, Jay & Mallik, Girijasankar
- 725-733 Measuring absorptive capacity constraints to foreign aid
by Feeny, Simon & de Silva, Ashton
- 734-741 Non linear and asymmetric linkages between real growth in the Euro area and global financial market conditions: New evidence
by Mili, Mehdi & Sahut, Jean-Michel & Teulon, Frédéric
- 742-750 Upstream and downstream horizontal R&D networks
by Kesavayuth, Dusanee & Zikos, Vasileios
- 751-760 Does corporate governance play an important role in BHC performance? Evidence from the U.S
by Wang, Wei-Kang & Lu, Wen-Min & Lin, Yi-Ling
- 761-765 Liberalization and tax amnesty in a developing economy
by Bose, Pinaki & Jetter, Michael
- 766-779 Investment creation and diversion effects of the ASEAN–China free trade agreement
by Lakatos, Csilla & Walmsley, Terrie
- 780-786 The double exponential jump diffusion model for pricing European options under fuzzy environments
by Zhang, Li-Hua & Zhang, Wei-Guo & Xu, Wei-Jun & Xiao, Wei-Lin
- 787-794 Impact of education and health on poverty reduction: Monetary and non-monetary evidence from Fiji
by Gounder, Rukmani & Xing, Zhongwei
- 795-809 Modelling the risk–return relation for the S&P 100: The role of VIX
by Kanas, Angelos
- 810-816 Some cautions on the use of nonlinear panel unit root tests: Evidence from a modified series-specific non-linear panel unit-root test
by Lau, Chi Keung Marco & Suvankulov, Farrukh & Su, Yongyang & Chau, Frankie
- 817-822 Choice is suffering: A Focused Information Criterion for model selection
by Behl, Peter & Dette, Holger & Frondel, Manuel & Tauchmann, Harald
- 823-839 Modeling male and female employment policy in Greece from local data
by Prodromídis, Pródromos-Ioánnis K.
- 840-847 Environmental protection mechanisms and technological dynamics
by Antoci, Angelo & Borghesi, Simone & Russu, Paolo
- 848-857 Basel II procyclicality: The case of South Africa
by Liu, Guangling (Dave) & Seeiso, Nkhahle E.
- 858-867 Regulation and the market for checks
by Tumen, Semih
- 868-878 Economic growth, exports and foreign direct investment in Least Developed Countries: A panel Granger causality analysis
by Tekin, Rıfat Barış
- 879-883 Simultaneity between export and import flows and the Marshall–Lerner condition
by Sastre, Luis
- 884-892 Nonlinearities in carbon spot-futures price relationships during Phase II of the EU ETS
by Arouri, Mohamed El Hédi & Jawadi, Fredj & Nguyen, Duc Khuong
- 893-899 Durable goods produced by state owned enterprises
by Goering, Gregory E. & Sarangi, Sudipta
- 900-907 Multi-objective private wealth allocation without subportfolios
by Cai, Jun & Ge, Chenliang
- 908-916 South African stock return predictability in the context data mining: The role of financial variables and international stock returns
by Gupta, Rangan & Modise, Mampho P.
- 917-925 On tariff and quality innovation in a market with discrete preferences
by Acharyya, Rajat & Banerjee, Swapnendu
- 926-935 The interactive trade decision-making research: An application case of novel hybrid MCDM model
by Wang, Tsung-Cheng
- 936-942 Comovements among U.S. state housing prices: Evidence from fractional cointegration
by Barros, Carlos Pestana & Gil-Alana, Luis A. & Payne, James E.
- 943-973 Global imbalances, cross-market linkages, and the financial crisis: A multivariate Markov-switching analysis
by Chevallier, Julien
- 974-981 Financial development, political rights, civil liberties and economic growth: Evidence from South Asia
by Anwar, Sajid & Cooray, Arusha
- 982-989 Socially responsible firms and endogenous choice of strategic incentives
by Kopel, Michael & Brand, Björn
- 990-993 Does farmer economic organization and agricultural specialization improve rural income? Evidence from China
by Yang, Dan & Liu, Zimin
2012, Volume 29, Issue 2
- 87-95 Is East Asia an optimum currency area?
by Lee, Grace H.Y. & Azali, M.
- 96-102 The prospects of a monetary union in East Asia
by Lee, Grace H.Y. & Koh, Sharon G.M.
- 103-118 Worker remittances, migration, accumulation and growth in poor developing countries: Survey and analysis of direct and indirect effects
by Ziesemer, Thomas H.W.
- 119-131 Modeling the dependence structure between default risk premium, equity return volatility and the jump risk: Evidence from a financial crisis
by Naifar, Nader
- 132-141 Bank regulation and supervision and its welfare implications
by Kilinc, Mustafa & Neyapti, Bilin
- 142-150 Asset arbitrage and the price of oil
by Arora, Vipin & Tyers, Rod
- 151-157 Currency crisis transmission through international trade
by Haidar, Jamal Ibrahim
- 158-165 Empirical determination of aggregate demand and supply curves: The example of the RWI Business Cycle Model
by Heilemann, Ullrich & Findeis, Hagen
- 166-177 The impact of fiscal policies on agricultural household decisions
by Glauben, Thomas & Herzfeld, Thomas & Loy, Jens-Peter & Renner, Swetlana & Hockmann, Heinrich
- 178-184 On ridge estimators for the negative binomial regression model
by Månsson, Kristofer
- 185-197 A smooth coefficient quantile regression approach to the social capital–economic growth nexus
by Deng, Wen-Shuenn & Lin, Yi-Chen & Gong, Jinguo
- 198-207 Optimal reinsurance and dividend for a diffusion model with capital injection: Variance premium principle
by Zhou, Ming & Yuen, Kam C.
- 208-216 R&D, productivity, and exports: Plant-level evidence from Indonesia
by Yang, Chih-Hai & Chen, Ying-Hui
- 217-232 The welfare cost of banking regulation
by Tchana Tchana, Fulbert
- 233-238 A monetary model of China–US trade relations
by Cheng, Wenli & Zhang, Dingsheng
- 239-261 FiMod — A DSGE model for fiscal policy simulations
by Stähler, Nikolai & Thomas, Carlos
- 262-270 The Feldstein–Horioka Puzzle and structural breaks: Evidence from EU members
by Ketenci, Natalya
- 271-282 Fiscal deficits, banking crises and policy reversal in a semi-open economy
by Sharma, Anurag & Jha, Raghbendra
- 283-290 Measuring business cycles: A temporal disaggregation model with regime switching
by Huang, Yu-Lieh
- 291-298 Examining the stochastic behavior of REIT returns: Evidence from the regime switching approach
by Chen, Shyh-Wei & Shen, Chung-Hua
- 299-302 Some properties of periodically collapsing bubbles
by Yoon, Gawon
- 303-308 The energy consumption-real GDP nexus revisited: Empirical evidence from 93 countries
by Narayan, Paresh Kumar & Popp, Stephan
- 309-315 Modeling income inequality and openness in the framework of Kuznets curve: New evidence from China
by Jalil, Abdul
- 316-325 Inequality convergence revisited: Evidence from stationarity panel tests with breaks and cross correlation
by Lin, Pei-Chien & Huang, Ho-Chuan (River)
- 326-332 On the application of the rank tests for nonlinear cointegration to PPP: The case of Papua New Guinea
by Liew, Venus Khim-Sen & Ling, Tai-Hu & Chia, Ricky Chee-Jiun & Yoon, Gawon
- 333-340 Inflation and economic growth in Latin America: Some panel time-series evidence
by Bittencourt, Manoel
- 341-348 Wage–productivity differentials and Indian economic efficiency
by Sahoo, Amarendra & ten Raa, Thijs
- 349-360 What can we learn from the history of gasoline crack spreads?: Long memory, structural breaks and modeling implications
by Wang, Yudong & Wu, Chongfeng
- 361-368 Liquidity-adjusted conditional capital asset pricing model
by Wang, Jinan & Chen, Langnan
- 369-381 The social economic impact of AIDS: Accounting for intergenerational transmission, productivity and fertility
by Vasilakis, Chrysovalantis
- 382-394 Financial market integration: Theory and empirical results
by Arouri, Mohamed El Hedi & Foulquier, Philippe
- 395-407 Dynamic modelling of real estate investment trusts and stock markets
by Lee, Chien-Chiang & Chien, Mei-Se & Lin, Tsoyu Calvin
- 408-420 The choice of a foreign price measure in a Bayesian estimated new-Keynesian model for Israel
by Argov, Eyal
- 421-427 The dynamics of a differentiated duopoly with quantity competition
by Fanti, Luciano & Gori, Luca
- 428-434 Hysteresis vs. natural rate of US unemployment
by Cheng, Ka Ming & Durmaz, Nazif & Kim, Hyeongwoo & Stern, Michael L.
- 435-443 Host country's strategic policies and multinational firm's choice of entry mode
by Chun, Bong Geul
- 444-449 Nonlinear adjustment in the real dollar–euro exchange rate: The role of the productivity differential as a fundamental
by Camarero, Mariam & Ordóñez, Javier
- 450-461 Managerial efficiency in Taiwan bank branches: A network DEA
by Yang, Chyan & Liu, Hsian-Ming
- 462-470 Structural sign patterns and reduced form restrictions
by Buck, Andrew J. & Lady, George M.
- 471-477 Unilateral CVA for CDS in a contagion model with stochastic pre-intensity and interest
by Bao, Qunfang & Chen, Si & Li, Shenghong
- 478-486 Modelling economic growth with internal and external imbalances: Empirical evidence from Portugal
by Soukiazis, Elias & Cerqueira, Pedro A. & Antunes, Micaela
- 487-501 Financial development shocks and contemporaneous feedback effect on key macroeconomic indicators: A post Keynesian time series analysis
by Chaiechi, Taha
- 502-513 Skilled–unskilled wage inequality, product variety, public input and increasing returns: A static general equilibrium analysis
by Gupta, Manash Ranjan & Dutta, Priya Brata
- 514-521 Aid effectiveness, governance and public investment
by Kasuga, Hidefumi & Morita, Yuichi
- 522-522 Obituary: Prof. B. Bhaskara Rao (1939–2011)
by Kumar, Saten
- 523-533 Pricing decisions in a dual channels system with different power structures
by Zhang, Rong & Liu, Bin & Wang, Wenliang
2012, Volume 29, Issue 1
- 3-11 Clusters of firms in an inhomogeneous space: The high-tech industries in Milan
by Arbia, G. & Espa, G. & Giuliani, D. & Mazzitelli, A.
- 12-21 A dynamic spatial panel data approach to the German wage curve
by Baltagi, Badi H. & Blien, Uwe & Wolf, Katja
- 22-31 Regional convergence clubs in Europe: Identification and conditioning factors
by Bartkowska, Monika & Riedl, Aleksandra
- 32-40 Expert opinion versus actual transaction evidence in the valuation of non-market amenities
by Cotteleer, Geerte & van Kooten, G. Cornelis
- 41-47 Spatial panel data analysis with feasible GLS techniques: An application to the Chinese real exchange rate
by Hall, Stephen G. & Guo, Qian
- 48-59 Debt, interest rates, and integration of financial markets
by Claeys, Peter & Moreno, Rosina & Suriñach, Jordi
- 60-71 Income convergence in Japan: A Bayesian spatial Durbin model approach
by Seya, Hajime & Tsutsumi, Morito & Yamagata, Yoshiki
- 72-78 Spatial random utility model with an application to recreation demand
by Smirnov, Oleg A. & Egan, Kevin J.
- 79-85 One-directional adjacency matrices in spatial autoregressive model: A land price example and Monte Carlo results
by Yokoi, Takahisa & Ando, Asao
2011, Volume 28, Issue 6
- 2359-2368 Short- and long-term impact of remarkable economic events on the growth causes of China–Germany trade in agri-food products
by Guo, Zhichao & Feng, Yuanhua & Tan, Xiangyong
- 2369-2376 Investigating regional house price convergence in the United States: Evidence from a pair-wise approach
by Holmes, Mark J. & Otero, Jesús & Panagiotidis, Theodore
- 2377-2386 Testing for serial correlation and random effects in a two-way error component regression model
by Wu, Jianhong & Zhu, Lixing
- 2387-2394 Investment choices: Indivisible non-marketable assets and suboptimal solutions
by Pattitoni, Pierpaolo & Savioli, Marco
- 2395-2403 Sensitive products in the Doha negotiations: The case of European and Japanese market access
by Gouel, Christophe & Mitaritonna, Cristina & Ramos, Maria Priscila
- 2404-2408 Regime-switching effects of debt on real GDP per capita the case of Latin American and Caribbean countries
by Chang, Tsangyao & Chiang, Gengnan
- 2409-2415 Remittances for economic development: The investment perspective
by Le, Thanh
- 2416-2423 Military expenditure and economic growth across different groups: A dynamic panel Granger-causality approach
by Chang, Hsin-Chen & Huang, Bwo-Nung & Yang, Chin Wei
- 2424-2431 Application of factor models for the identification of countries sharing international reference-cycles
by Santos, Sonia de Lucas & Rodríguez, María Jesús Delgado & Ayuso, Inmaculada Álvarez
- 2432-2438 Timeless perspective versus discretionary policymaking when the degree of inflation persistence is unknown
by Paez-Farrell, Juan
- 2439-2450 The empirical validity of the New Keynesian Phillips curve using survey forecasts of inflation
by Mazumder, Sandeep
- 2451-2461 Assessing the effects of financial heterogeneity in a monetary union a DSGE approach
by Badarau, Cristina & Levieuge, Grégory
- 2462-2468 Output gap measurement and the New Keynesian Phillips curve for China
by Zhang, Chengsi & Murasawa, Yasutomo
- 2469-2477 The Zero-Inflated ordered probit approach to modelling sports participation
by Downward, Paul & Lera-Lopez, Fernando & Rasciute, Simona
- 2478-2482 Pension and child care policies with endogenous fertility
by Yasuoka, Masaya & Goto, Naohisa
- 2483-2487 Regret theory and the banking firm: The optimal bank interest margin
by Wong, Kit Pong
- 2488-2493 Bootstrapping asset price bubbles
by Gutierrez, Luciano
- 2494-2501 Job-search and foreign capital inflow — A two sector general equilibrium analysis
by Bandopadhyay, Titas Kumar & Chaudhuri, Sarbajit
- 2502-2508 Unions, government's preference, and privatization
by Choi, Kangsik
- 2509-2516 Calibrating spatial models of trade
by Paris, Quirino & Drogué, Sophie & Anania, Giovanni
- 2517-2527 How strong is the global integration of emerging market regions? An empirical assessment
by Guesmi, Khaled & Nguyen, Duc Khuong
- 2528-2531 Endogenous fluctuations induced by nonlinear pollution accumulation in an OLG economy and the bifurcation control
by Cao, Dong & Wang, Lin & Wang, Yaozhong
- 2532-2543 Asset price volatility and government revenue
by Tagkalakis, Athanasios
- 2544-2559 Fiscal institutions and public spending volatility in Europe
by Albuquerque, Bruno
- 2560-2565 How globally contagious was the recent US real estate market crisis? Evidence based on a new contagion test
by Hatemi-J, Abdulnasser & Roca, Eduardo
- 2566-2578 On the median regression for SURE models with applications to 3-generation immigrants data in Sweden
by Shukur, Ghazi & Zeebari, Zangin
- 2579-2588 Productivity growth decomposition with FE-IV approach: Rethinking Thai commercial banks after the financial crisis
by Rangkakulnuwat, Poomthan & Wang, H. Holly
- 2589-2595 Modelling aggregate personal income tax revenue in multi-schedular and multi-regional structures
by Creedy, John & Sanz-Sanz, José Félix
- 2596-2599 Corruption in a model of vertical linkage between formal and informal credit sources and credit subsidy policy
by Chaudhuri, Sarbajit & Dastidar, Krishnendu Ghosh
- 2600-2608 Remittances flow and financial development in Bangladesh
by Chowdhury, Mamta B.
- 2609-2621 Financial market imperfections and monetary policy strategy
by Dai, Meixing
- 2622-2627 Sources of exchange rate fluctuations with Taylor rule fundamentals
by Kempa, Bernd & Wilde, Wolfram
- 2628-2633 A note on quantitative trade restrictions, income effects and wage inequality
by Acharyya, Rajat
- 2634-2656 Evaluating the carbon-macroeconomy relationship: Evidence from threshold vector error-correction and Markov-switching VAR models
by Chevallier, Julien
- 2657-2668 Fiscal consolidation with high growth: A policy simulation model for India
by Mundle, Sudipto & Bhanumurthy, N.R. & Das, Surajit
- 2669-2673 Research & development and growth: A Bayesian model averaging analysis
by Horvath, Roman
- 2674-2682 Sector-specific productivity shocks in a matching model
by Wesselbaum, Dennis
- 2683-2690 Ex-ante evaluation of a targeted job program: Hypothetical integration in a social accounting matrix of South Africa
by Kim, Kijong
- 2691-2700 Not-quite-great depressions of Turkey: A quantitative analysis of economic growth over 1968–2004
by Çiçek, Deniz & Elgin, Ceyhun
- 2701-2718 On the feasibility of monetary union: Does it make sense to look for shocks symmetry across countries when none of the countries constitutes an optimum currency area?
by Jean Louis, Rosmy & Brown, Ryan & Balli, Faruk
- 2719-2729 Credit rationing, interest rates and capital accumulation
by Nabi, Mahmoud Sami & Suliman, Mohamed Osman
- 2730-2735 Cost performance of Brazilian soccer clubs: A Bayesian varying efficiency distribution model
by Barros, Carlos Pestana & Assaf, A.George & de Araujo, Ari Francisco
- 2736-2742 MNEs and wages: The role of productivity spillovers and imperfect labor markets
by Saglam, Bahar Bayraktar & Sayek, Selin
- 2743-2747 Stochastic evolutionary selection in finite populations
by Zhang, Yanfang & Mei, Shue & Zhong, Weijun
- 2748-2760 How does financial development influence the impact of remittances on growth volatility?
by Ahamada, Ibrahim & Coulibaly, Dramane
- 2761-2775 Optimal versus realized policy rules in a regime-switching framework
by Pardo, S. & Rautureau, N. & Vallée, T.
- 2776-2782 The top-dog and the lean and hungry look strategies in endogenous entry
by Cato, Susumu & Oki, Ryoko
- 2783-2792 Carbon motivated regional trade arrangements: Analytics and simulations
by Dong, Yan & Whalley, John
- 2793-2802 The effects of environmental taxes and quotas on the optimal timing of emission reductions under Choquet–Brownian uncertainty
by Agliardi, Elettra & Sereno, Luigi
- 2803-2810 Carbon sequestration and permit trading on the competitive fringe
by Caplan, Arthur J.
- 2811-2819 Imports and growth in China
by Herrerias, M.J. & Orts, Vicente
- 2820-2831 Structural models, information and inherited restrictions
by Lady, George M. & Buck, Andrew J.
- 2832-2841 An investigation of issues relating to where energy should enter the production function
by Lecca, Patrizio & Swales, Kim & Turner, Karen
- 2842-2853 Poverty growth in Scandinavian countries: A Sen multi-decomposition
by Mussard, Stéphane & Pi Alperin, Maria Noel
- 2854-2861 Environmental resilience and economic growth: Command economy's optimization and environmental Kuznets curve
by Wang, Yi-Chia & Chuang, Yih-Chyi
- 2862-2872 LSM: A DSGE model for Luxembourg
by Deák, Szabolcs & Fontagné, Lionel & Maffezzoli, Marco & Marcellino, Massimiliano
- 2873-2876 R&D games in a Cournot duopoly with isoelastic demand functions: A comment
by Luckraz, Shravan
September 2011, Volume 28, Issue 5
- 2075-2082 Modeling life expectancy in Turkey
by Halicioglu, Ferda
- 2083-2089 Technical efficiency in the Chinese banking sector
by Barros, Carlos P. & Chen, Zhongfei & Liang, Qi Bin & Peypoch, Nicolas
- 2090-2099 Franchise fee, competition and economic growth
by Wang, Vey & Lai, Chung-Hui
- 2100-2120 Demographic trends and international capital flows in an integrated world
by Marchiori, Luca
- 2121-2128 Privatization, water access and affordability: Evidence from Malaysian household expenditure data
by Lee, Cassey
- 2129-2136 Stabilizing an unstable economy: Fiscal and monetary policy, stocks, and the term structure of interest rates
by Charpe, Matthieu & Flaschel, Peter & Hartmann, Florian & Proaño, Christian
- 2137-2142 Operational risk as a function of the state of the economy
by Moosa, Imad
- 2143-2153 A lattice approach for pricing convertible bond asset swaps with market risk and counterparty risk
by Xu, Ruxing
- 2154-2163 The impact of third-country effects and economic integration on China's outward FDI
by Chou, Kuang-Hann & Chen, Chien-Hsun & Mai, Chao-Cheng
- 2164-2173 The macrodynamics of financial fragility within a hard peg arrangement
by Cavallaro, Eleonora & Maggi, Bernardo & Mulino, Marcella
- 2174-2180 Entrepreneurship, windfall gains and financial constraints: Evidence from Germany
by Schäfer, Dorothea & Talavera, Oleksandr & Weir, Charlie
- 2181-2189 Counterparty effects on capital structure decision in incomplete market
by Chen, Chang-Chih & Shyu, So-De & Yang, Chih-Yuan
- 2190-2196 Psychological determinants of occurrence and magnitude of market crashes
by Leoni, Patrick L.
- 2197-2207 Selected MENA countries' attractiveness to G7 investors
by Abid, Fathi & Bahloul, Slah
- 2208-2214 Hysteresis in unemployment for 17 OECD countries: Stationary test with a Fourier function
by Chang, Tsangyao
- 2215-2227 New models of trader beliefs and their application for explaining financial bubbles
by Chen, Zhiping & Duan, Qihong
- 2228-2238 Trade openness and the informational efficiency of emerging stock markets
by Lim, Kian-Ping & Kim, Jae H.
- 2239-2246 Producer price adjustment to commodity price shocks: An application of threshold cointegration
by Subervie, Julie
- 2247-2253 The optimal bid/ask spread in a Specialist System
by Castellano, Rosella & Cerqueti, Roy
- 2254-2262 Costly investment, complementarities and the skill premium
by Afonso, Óscar & Thompson, Maria
- 2263-2270 The relationship banking paradox: No pain no gain versus raison d'être
by Dong, Baomin & Guo, Guixia
- 2271-2281 External monetary shocks and monetary integration: Evidence from the Bulgarian currency board
by Minea, Alexandru & Rault, Christophe
- 2282-2295 Optimal tax progressivity in unionised labour markets: What are the driving forces?
by Boeters, Stefan
- 2296-2306 Income insurance and the determinants of income insurance via foreign asset revenues and foreign liability payments
by Balli, Faruk & Basher, Syed Abul & Balli, Hatice Ozer
- 2307-2318 UK macroeconomic forecasting with many predictors: Which models forecast best and when do they do so?
by Koop, Gary & Korobilis, Dimitris
- 2319-2341 Taxation of early retirement windows and delaying retirement: The French experience
by Messe, P.J.
- 2342-2357 The effects of the subprime crisis on the Latin American financial markets: An empirical assessment
by Dufrénot, Gilles & Mignon, Valérie & Péguin-Feissolle, Anne
July 2011, Volume 28, Issue 4
- 1455-1464 Current account deficits and sustainability: Evidence from the OECD countries
by Chen, Shyh-Wei
- 1465-1470 Mixed oligopoly, optimal privatization, and foreign penetration
by Wang, Leonard F.S. & Chen, Tai-Liang
- 1471-1474 An analysis of the demand for skill in a growing economy
by Beladi, Hamid & Marjit, Sugata & Weiher, Kenneth
- 1475-1481 A Poisson ridge regression estimator
by Månsson, Kristofer & Shukur, Ghazi
- 1482-1488 Central banks and their banknote series: The efficiency-cost trade-off
by Bouhdaoui, Y. & Bounie, D. & Van Hove, L.
- 1489-1497 Investment horizon effect on asset allocation between value and growth strategies
by In, Francis & Kim, Sangbae & Gençay, Ramazan
- 1498-1509 Financial integration and the construction of historical financial data for the Euro Area
by Anderson, Heather M. & Dungey, Mardi & Osborn, Denise R. & Vahid, Farshid
- 1510-1518 Nonlinear exchange rate dynamics under stochastic official intervention
by Lee, Hsiu-Yun
- 1519-1525 Keeping up with the Joneses, consumer ethnocentrism, and optimal taxation
by Liu, Chia-ying & Chang, Juin-jen
- 1526-1535 ERM crisis in retrospect: What if a European central bank had been in existence before 1992?
by Yeh, Kuo-chun & Ho, Tai-kuang
- 1536-1549 Health care expenditure and economic growth: Quantile panel-type analysis
by Wang, Kuan-Min
- 1550-1558 Policy assessment of an EU wide flat area CAP payments system
by Erjavec, Emil & Chantreuil, Frédéric & Hanrahan, Kevin & Donnellan, Trevor & Salputra, Guna & Kozar, Maja & van Leeuwen, Myrna
- 1559-1572 Precautionary saving or denied dissaving
by Feigenbaum, James
- 1573-1586 Gold dinar for the Islamic countries?
by Lee, Grace H.Y.
- 1587-1594 The game analyses to price the target enterprise of merger and acquisition based on the perspective of real options under stochastic surroundings
by Yu, Jing & Xu, Bin
- 1595-1603 Domestic trade protection in vertically-related markets
by Wang, Kuang-Cheng A. & Koo, Hui-Wen & Chen, Tain-Jy
- 1604-1614 Optimal trade policy in tariff games with inside money
by Yu, Jun & Zhang, Shunming
- 1615-1628 External shocks and persistence of external debt in open vulnerable economies: The case of Africa
by Muhanji, Stella & Ojah, Kalu
- 1629-1641 Boosting confidence: Is there a role for fiscal policy?
by Konstantinou, Panagiotis & Tagkalakis, Athanasios
- 1642-1649 Income and consumption smoothing and welfare gains across Pacific Island Countries: The role of remittances and foreign aid
by Balli, Faruk & Balli, Hatice O.
- 1650-1672 Supply-side effects of exchange rates, exchange rate expectations and induced currency depreciation
by Ali, Syed Zahid & Anwar, Sajid
- 1673-1682 Undiscounted optimal growth with consumable capital and labor-intensive consumption goods
by Khalifa, Sherif
- 1683-1695 Growth effects of environmental policy when pollution affects health
by Aloi, Marta & Tournemaine, Frederic
- 1696-1709 Policy analysis in real time using IMF's monetary model
by Akram, Q. Farooq
- 1710-1715 Location choice under trade and environmental policies
by Celik, Sule & Orbay, Benan Zeki
- 1716-1725 Does crude oil move stock markets in Europe? A sector investigation
by Arouri, Mohamed El Hedi
- 1726-1729 Accounting for the impact of higher order moments in foreign equity option pricing model
by Xu, Weidong & Wu, Chongfeng & Li, Hongyi