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Content
2021, Volume 95, Issue C
- 298-310 Capital flow and banking credit in Indonesia
by Mara, Mirza Yuniar Isnaeni & Purwanto, Nur M.Adhi & Kurniati, Ina Nurmalia & Fauziah, Nanda Rizki & Aqmaliyah, Euis
- 311-329 Transitions between monetary policy frameworks and their effects on economic performance
by Cobham, David & Song, Mengdi
- 330-343 Stock market mispricing and firm innovation based on path analysis
by Shen, Huayu & Zheng, Shaofeng & Xiong, Hao & Tang, Wenjie & Dou, Jiachun & Silverman, Henry
- 344-360 Inefficiency and bank failure: A joint Bayesian estimation method of stochastic frontier and hazards models
by Sanchez González, Jim & Restrepo-Tobón, Diego & Ramírez Hassan, Andrés
- 361-373 A model for calculating optimal credit guarantee fee for small and medium-sized enterprises
by Taghizadeh-Hesary, Farhad & Yoshino, Naoyuki & Fukuda, Lisa & Rasoulinezhad, Ehsan
- 374-384 Intraday momentum and return predictability: Evidence from the crude oil market
by Wen, Zhuzhu & Gong, Xu & Ma, Diandian & Xu, Yahua
- 385-393 Disagreement on sunspots and soybeans futures price
by Wang, Hanjie & Feil, Jan-Henning & Yu, Xiaohua
- 394-407 Market-based environmental regulation and total factor productivity: Evidence from Chinese enterprises
by Peng, Jiaying & Xie, Rui & Ma, Chunbo & Fu, Yang
- 408-417 Does economic convergence hold? A spatial quantile analysis on European regions
by Cartone, Alfredo & Postiglione, Paolo & Hewings, Geoffrey J.D.
- 418-429 Effects of political promotion on local firms’ social responsibility in China
by Kong, Dongmin & Cheng, Xu & Jiang, Xiandeng
- 430-440 Equity premium and monetary policy in a model with limited asset market participation
by Horvath, Roman & Kaszab, Lorant & Marsal, Ales
- 441-452 Chief executive officer (CEO)’s rural origin and internal control quality
by Shen, Huayu & Xiong, Hao & Zheng, Shaofeng & Hou, Fei
- 453-461 Effects of minimum wage on workers’ on-the-job effort and labor market outcomes
by Zhao, Naibao & Sun, Meng
- 462-472 Mixed-frequency SV model for stock volatility and macroeconomics
by Shang, Yuhuang & Zheng, Tingguo
- 473-488 The effects of urban transformation on productivity spillovers in China
by He, Ming & Chen, Yang & van Marrewijk, Charles
- 489-499 Default risks, moral hazard and market-based solution: Evidence from renewable energy market in Bangladesh
by Hossain, Monzur & Yoshino, Naoyuki & Taghizadeh-Hesary, Farhad
2021, Volume 94, Issue C
- 1-13 Evidence on time-varying inflation synchronization
by Szafranek, Karol
- 14-27 The effect of information frictions on FDI persistence
by Khraiche, Maroula & de Araujo, Pedro
- 28-44 Can human development and political stability improve environmental quality? New evidence from the MENA region
by Mrabet, Zouhair & Alsamara, Mouyad & Mimouni, Karim & Mnasri, Ayman
- 45-57 “The buck stops with the executives”: Assessing the impact of workforce composition and cultural distance on French firms’ exports
by Chiappini, Raphaël & Jégourel, Yves
- 58-74 Counterparty choice in the UK credit default swap market: An empirical matching approach
by Ferrara, Gerardo & Kim, Jun Sung & Koo, Bonsoo & Liu, Zijun
- 75-90 Price explosiveness in nonferrous metal futures markets
by Ma, Richie Ruchuan & Xiong, Tao
- 91-103 Sectoral Okun's law and cross-country cyclical differences
by Goto, Eiji & Bürgi, Constantin
- 104-120 The effect of financial fragility on employment
by Chletsos, Michael & Sintos, Andreas
- 121-129 How do powerful CEOs influence corporate environmental performance?
by Francoeur, Claude & Lakhal, Faten & Gaaya, Safa & Ben Saad, Itidel
- 130-138 Recessions and total factor productivity: Evidence from sectoral data
by Furceri, Davide & Kilic Celik, Sinem & Jalles, João Tovar & Koloskova, Ksenia
- 139-149 Does economic policy uncertainty dampen imports? Commodity-level evidence from India
by Sharma, Chandan & Paramati, Sudharshan Reddy
- 150-169 The use of credit cards among low- and middle-income individuals in Colombia and the channels of monetary policy
by Arango, Luis E. & Cardona-Sosa, Lina & Pedraza-Jiménez, Nataly
- 170-183 Does retail investor attention improve stock liquidity? A dynamic perspective
by Cheng, Feiyang & Chiao, Chaoshin & Wang, Chunfeng & Fang, Zhenming & Yao, Shouyu
- 184-200 Financial spillovers and spillbacks: New evidence from China and G7 countries
by Fang, Yi & Jing, Zhongbo & Shi, Yukun & Zhao, Yang
- 201-220 Which legal procedure affects business investment most, and which companies are most sensitive? Evidence from microdata
by Dejuan-Bitria, Daniel & Mora-Sanguinetti, Juan S.
- 221-234 The effect of employment protection legislation on international trade
by Roy, Jayjit
- 235-243 A consumption-based asset pricing model with disappointment aversion and uncertainty shocks
by Li, Kaifeng & Xia, Bobo & Guo, Zhaoxuan
- 244-255 Environmental expenditure interactions among OECD countries, 1995–2017
by Le Gallo, Julie & Ndiaye, Youba
- 256-264 The reaction of inflation forecasts to news about the Fed
by Mazumder, Sandeep
- 265-275 Are remittances and foreign aid interlinked? Evidence from least developed and developing countries
by Abbas, Syed Ali & Selvanathan, Eliyathamby A. & Selvanathan, Saroja & Bandaralage, Jayatilleke S.
- 276-287 Inequality and conditionality in cash transfers: Demographic transition and economic development
by Kitaura, Koji & Miyazawa, Kazutoshi
- 288-295 Consumption and life insurance decisions under hyperbolic discounting and taxation
by Koo, Ja Eun & Lim, Byung Hwa
- 296-302 Trade models and macroeconomics
by Fair, Ray C.
- 303-319 How diversification affects bank performance: The role of human capital
by Adesina, Kolade Sunday
- 320-339 Can traditional farming practices explain attitudes towards scientific progress?
by Jayasekara, Dinithi N.
- 340-350 Forecasting U.S. Yield Curve Using the Dynamic Nelson–Siegel Model with Random Level Shift Parameters
by Luo, Deqing & Pang, Tao & Xu, Jiawen
- 351-369 Asymmetric effects of financial conditions on GDP growth in Korea: A quantile regression analysis
by Kwark, Noh-Sun & Lee, Changhyun
- 370-385 What drives labor share change? Evidence from Korean industries
by Song, Eunbi
- 386-400 Does corruption matter for stock markets? The role of heterogeneous institutions
by Lakshmi, Geeta & Saha, Shrabani & Bhattarai, Keshab
- 401-414 Financial contagion and contagion channels in the forex market: A new approach via the dynamic mixture copula-extreme value theory
by Wang, Haiying & Yuan, Ying & Li, Yiou & Wang, Xunhong
- 415-429 Statehood experience and income inequality: A historical perspective
by Vu, Trung V.
- 433-441 Is military spending converging to a low level across countries?
by Clements, Benedict J. & Gupta, Sanjeev & Khamidova, Saida
- 442-454 Modeling retirees’ investment behaviors in the presence of health expenditure risk and financial crisis risk
by Gao, Xiang & Sun, Li
- 473-482 Why socially concerned firms use low-powered managerial incentives: A complementary explanation
by Kopel, Michael & Putz, Eva Maria
- 483-500 Mortgage credit volumes and monetary policy after the Great Recession
by Leu, Shawn C.-Y. & Robertson, Mari L.
- 501-512 Decentralization and firm innovation: Evidence from a natural experiment in China
by Liu, Shasha & Ji, Mianmian & Wang, Huijuan
- 513-525 Is Textual Tone Informative or Inflated for Firm’s Future Value? Evidence from Chinese Listed Firms
by Xiao Wu, Dong & Yao, Xiao & Luan Guo, Jian
- 526-538 Do we need ramsey taxation? Our existing taxes are largely corrective
by Yan, Eric & Feng, Qu & Ng, Yew-Kwang
- 539-547 Policy-related risk and corporate financing behavior: Evidence from China’s listed companies
by Lee, Chi-Chuan & Lee, Chien-Chiang & Xiao, Shunyi
- 548-559 Do independent directors restrain controlling shareholders’ tunneling? Evidence from a natural experiment in China
by Gong, Min & Wang, Yanan & Yang, Xiandong
- 560-569 Aging, voters and lower income tax: A role for pension design
by Day, Creina & Day, Garth
- 570-579 Investment shocks and inequality dynamics
by Gokmen, Gunes & Morin, Annaig
- 580-597 Increasing public investment can be an effective policy in bad times: Evidence from emerging EU economies
by Petrović, Pavle & Arsić, Milojko & Nojković, Aleksandra
- 598-630 The transmission mechanisms of macroprudential policies on bank risk
by Ely, Regis A. & Tabak, Benjamin M. & Teixeira, Anderson M.
- 631-648 Impact of tighter controls on Japanese chemical exports to Korea
by Hosoe, Nobuhiro
- 649-661 Symbolic transfer entropy test for causality in longitudinal data
by Camacho, Maximo & Romeu, Andres & Ruiz-Marin, Manuel
- 662-671 ICT diffusion, financial development, and economic growth: An international cross-country analysis
by Cheng, Chih-Yang & Chien, Mei-Se & Lee, Chien-Chiang
- 672-680 Global supply chain shifting: A macro sense of production relocation based on multi-regional input-output table
by Fan, Xiao-mei & Liu, Hong-guang
- 681-691 The joint spillover index
by Lastrapes, William D. & Wiesen, Thomas F.P.
- 692-702 Business and institutional determinants of Effective Tax Rate in emerging economies
by Fernández-Rodríguez, Elena & García-Fernández, Roberto & Martínez-Arias, Antonio
- 703-714 Investor sentiment and stock price: Empirical evidence from Chinese SEOs
by Lan, Yueqin & Huang, Yong & Yan, Chao
- 715-725 Explain or conceal? Causal language intensity in annual report and stock price crash risk
by Kong, Dongmin & Shi, Lu & Zhang, Fan
- 726-736 Shadow prices of industrial air pollutant emissions in China
by Wu, Yinyin & Yu, Jie & Song, Malin & Chen, Jiandong & Hou, Wenxuan
- 737-747 Scale-adaptive estimation of mixed geographically weighted regression models
by Chen, Feng & Mei, Chang-Lin
- 748-767 Winners and losers of central bank foreign exchange interventions
by Viziniuc, Mădălin
- 768-779 How does government intervention affect the formation of zombie firms?
by Chang, Qingqing & Zhou, Yisihong & Liu, Guangqiang & Wang, Di & Zhang, Xiaojie
- 780-788 Identifying bubbles and the contagion effect between oil and stock markets: New evidence from China
by Zhao, Zhao & Wen, Huwei & Li, Ke
- 789-803 The impact of remittances on savings, capital and economic growth in small emerging countries
by Ait Benhamou, Zouhair & Cassin, Lesly
- 804-821 The interaction between private sector and public sector labor markets: Evidence from Romania
by Nalban, Valeriu & Smădu, Andra
- 822-830 Economic growth, corruption, and financial development: Global evidence
by Song, Chang-Qing & Chang, Chun-Ping & Gong, Qiang
- 831-842 The dynamics of global financial cycle and domestic economic cycles: Evidence from India and Indonesia
by Prabheesh, K.P. & Anglingkusumo, Reza & Juhro, Solikin M.
- 843-872 The response of hedge fund tail risk to macroeconomic shocks: A nonlinear VAR approach
by Gregoriou, Greg N. & Racicot, François-Éric & Théoret, Raymond
- 873-884 The impact of household real estate and self-employment: Evidence from China
by Xiang, Junyi & Liu, Chenhao & Li, Yiming
- 885-895 Risk tolerance and household wealth--Evidence from Chinese households
by Fang, Ming & Li, Haiyang & Wang, Qin
- 896-907 BitCoin: A new basket for eggs?
by Qin, Meng & Su, Chi-Wei & Tao, Ran
- 908-922 Total factor productivity (TFP) and fiscal consolidation: How harmful is austerity?
by Bardaka, Ioanna & Bournakis, Ioannis & Kaplanoglou, Georgia
- 923-933 Do investor relations matter in the tourism industry? Evidence from public opinions in China
by Xu, Mingli & Yang, Wei & Huang, Zhixiong
- 934-944 Impact of income inequality and fiscal decentralization on public health: Evidence from China
by Hao, Yu & Liu, Jiahui & Lu, Zhi-Nan & Shi, Ruijie & Wu, Haitao
- 945-952 Does administrative decentralization enhance economic growth? Evidence from a quasi-natural experiment in China
by Gong, Qiang & Liu, Chong & Wu, Min
- 953-966 A Sino-US comparative analysis of the hi-tech entrepreneurial model
by Shi, Huihong & Mu, Congming & Yang, Jinqiang & Huang, Wenli
- 967-980 The effects of productivity and benefits on unemployment: Breaking the link
by Brown, Alessio J.G. & Kohlbrecher, Britta & Merkl, Christian & Snower, Dennis J.
- 981-994 Macroeconomic forecasts and commodity futures volatility
by Ye, Wuyi & Guo, Ranran & Deschamps, Bruno & Jiang, Ying & Liu, Xiaoquan
- 995-1006 Risk attitude, financial literacy and household consumption: Evidence from stock market crash in China
by Zhang, Yixing & Jia, Qinmin & Chen, Chen
- 1007-1017 Does innovation stimulate employment? Evidence from China
by Zhu, Chen & Qiu, Zhiyi & Liu, Fengjun
- 1018-1029 Economic policy uncertainty and financial stability–Is there a relation?
by Phan, Dinh Hoang Bach & Iyke, Bernard Njindan & Sharma, Susan Sunila & Affandi, Yoga
- 1030-1042 High-speed rails and rural-urban migrants’ wages
by Kong, Dongmin & Liu, Lihua & Yang, Zhiqing
- 1043-1057 The nonlinear connection between 52-week high and announcement effect of insider trading — Evidence from mainland China and Taiwan
by Chu, Chien Chi & Chang, Chiao Yi & Zhou, Rui Jie
- 1058-1065 Are loans cheaper when tomorrow seems further?
by Godlewski, Christophe & Weill, Laurent
2020, Volume 93, Issue C
- 1-12 Multidimensional financial development, exporter behavior and export diversification
by Nieminen, Mika
- 13-26 Financial crises and sudden stops: Was the European monetary union crisis different?
by Albonico, Alice & Tirelli, Patrizio
- 27-50 Market structure and credit procyclicality: Lessons from loan markets in the European Union banking sectors
by Kouretas, Georgios P. & Pawłowska, Małgorzata & Szafrański, Grzegorz
- 51-68 Stabilizing and destabilizing mechanisms: A new perspective to understand business cycles
by Gao, Yang & Gong, Gang
- 69-81 Forex interventions and exchange rate exposure: Evidence from emerging market firms
by Sikarwar, Ekta
- 82-99 Tropical cyclones and post-disaster reconstruction of public infrastructure in developing countries
by Adam, Christopher & Bevan, David
- 100-111 Mortgage payments and household consumption in urban China
by Zhao, Da & Chen, Yifan & Shen, Jim.H.
- 112-124 The static and dynamic connectedness of environmental, social, and governance investments: International evidence
by Umar, Zaghum & Kenourgios, Dimitris & Papathanasiou, Sypros
- 125-141 What drives bilateral foreign direct investment among Asian economies?
by Nguyen, Anh T.N. & Haug, Alfred A. & Owen, P. Dorian & Genç, Murat
- 142-153 Is external debt sustainable? A probabilistic approach
by Navarro-Ortiz, Josep & Sapena, Juan
- 154-161 Foreign direct investment and economic growth: Is more financial development better?
by Osei, Michael J. & Kim, Jaebeom
- 162-174 Can child allowances improve fertility in a gender discrimination economy?
by Wang, Ruiting & Xu, Gang
- 175-186 Matching in segmented labor markets: An analytical proposal based on high-dimensional contingency tables
by Álvarez de Toledo, Pablo & Núñez, Fernando & Usabiaga, Carlos
- 187-204 China's liberalizing stock market, crude oil, and safe-haven assets: A linkage study based on a novel multivariate wavelet-vine copula approach
by Ji, Hao & Wang, Hao & Zhong, Rui & Li, Min
- 205-216 The welfare impact of migration with endogenous cross-border movement: An application to the European Union
by Cardoso, Miguel
- 217-229 Is market liquidity less resilient after the financial crisis? Evidence for US Treasuries
by Broto, Carmen & Lamas, Matías
- 230-258 Quantile spillovers and dependence between Bitcoin, equities and strategic commodities
by Urom, Christian & Abid, Ilyes & Guesmi, Khaled & Chevallier, Julien
- 259-277 Redistribution, inequality, and efficiency with credit constraints: Implications for South Africa
by Getachew, Yoseph Y. & Turnovsky, Stephen J.
- 278-298 So alike, yet so different: Comparing fiscal multipliers across EU members and candidates
by Ianc, Nicolae-Bogdan & Turcu, Camelia
- 299-309 Economic development with public capital accumulation: The crucial role of wage flexibility on business cycles
by Murakami, Hiroki & Sasaki, Hiroaki
- 310-320 Performance sensitivity of non-executive compensation in China: The role of economic policy uncertainty
by Yao, Wenyun & Sang, Yadi & Shen, Yongjian & Han, Pengfei
- 321-353 State-dependent fiscal multipliers in NORA - A DSGE model for fiscal policy analysis in Norway
by Aursland, Thor Andreas & Frankovic, Ivan & Kanik, Birol & Saxegaard, Magnus
- 354-364 Import to invest: Impact of cultural goods on cross-border mergers and acquisitions
by Li, Chang & Yang, Lianxing
- 365-383 Are high–frequency traders informed?
by Anagnostidis, Panagiotis & Fontaine, Patrice & Varsakelis, Christos
- 384-397 Can government improve tax compliance by adopting advanced information technology? Evidence from the Golden Tax Project III in China
by Li, Jianjun & Wang, Xuan & Wu, Yaping
- 398-414 The distribution of index futures realised volatility under seasonality and microstructure noise
by Alemany, Nuria & Aragó, Vicent & Salvador, Enrique
- 415-429 Systemic risk: The coordination of macroprudential and monetary policies in China
by Zhang, Ailian & Pan, Mengmeng & Liu, Bai & Weng, Yin-Che
- 430-444 Fire sales by euro area banks and funds: What is their asset price impact?
by Mirza, Harun & Moccero, Diego & Palligkinis, Spyros & Pancaro, Cosimo
- 445-464 Structural current accounts in the European Union countries: cross-sectional exploration
by Kuziemska-Pawlak, Kamila & Mućk, Jakub
- 465-473 The People’s bank of China’s response to the coronavirus pandemic: A quantitative assessment
by Funke, Michael & Tsang, Andrew
- 474-479 The evolving nature of the college wage premium
by Birulin, Oleksii & Smirnov, Vladimir & Wait, Andrew
- 480-498 Culture, financial crisis and the demand for property, accident and health insurance in the OECD countries
by Trinh, Cong Tam & Nguyen, Xuan & Sgro, Pasquale & Pham, Cong S.
- 499-509 Wellbeing trajectories around life events in Australia
by O’Leary, Nigel & Li, Ian W. & Gupta, Prashant & Blackaby, David
- 510-519 Aggregate stability under a budget rule and labor mobility
by Micheli, Martin
- 520-525 On the optimality of social status seeking
by Liu, Chia-Ying & Wang, Wei-Neng
- 526-545 Emerging economy business cycles: Interest rate shocks vs trend shocks
by Letendre, Marc-André & Obaid, Sabreena
- 546-558 Relationship between city size and firm productivity – A new interpretation using the Chinese experience
by Yang, Yang & Mukhopadhaya, Pundarik & Yu, Zhuangxiong
- 559-575 Determining the information share of liquidity and order flows in extreme price movements
by Wu, Liang & Liu, Hengzhi & Liu, Chang & Long, Yunshen
- 576-585 Economic forecasting with evolved confidence indicators
by Claveria, Oscar & Monte, Enric & Torra, Salvador
- 586-594 Disinflation costs in China and monetary policy regimes
by Ferrara, Maria & Garofalo, Antonio & Agovino, Massimiliano
- 595-604 Trend instrumental variable regression with an application to the US New Keynesian Phillips Curve
by Chen, Zhihong & Xia, Huizhu
- 605-619 Global predictive power of the upside and downside variances of the U.S. equity market
by Xu, Yahua & Xiao, Jun & Zhang, Liguo
- 620-641 Financing government investment and its implications for public capital: A small open economy perspective
by Hickey, Rónán & Lozej, Matija & Smyth, Diarmaid
- 642-650 Which types of commodity price information are more useful for predicting US stock market volatility?
by Liang, Chao & Ma, Feng & Li, Ziyang & Li, Yan
- 651-659 Further empirical evidence on the forecasting of volatility with smooth transition exponential smoothing
by Liu, Min & Taylor, James W. & Choo, Wei-Chong
- 660-674 Environmental decentralization and innovation in China
by Feng, Suling & Sui, Bo & Liu, Huimin & Li, Guoxiang
- 675-692 Immigration and remittances in a two-country model of growth with labor market frictions
by Ikhenaode, Bright Isaac & Parello, Carmelo Pierpaolo
- 693-701 Financial cycle and business cycle: An empirical analysis based on the data from the U.S
by Yan, Chuanpeng & Huang, Kevin X.D.
- 702-716 Present bias and the inefficiency of the centralized economy: The role of the elasticity of intertemporal substitution
by Cabo, Francisco & Martín-Herrán, Guiomar & Martínez-García, María Pilar
- 717-727 Does eliminating international profit shifting increase tax revenue in high-tax countries?
by Pieretti, Patrice & Pulina, Giuseppe
- 728-736 Quantile nonlinear unit root test with covariates and an application to the PPP hypothesis
by Yang, Yang & Zhao, Zhao
2020, Volume 92, Issue C
- 1-22 Are microfinance institutions resilient to economic slowdown? Evidence from their capital ratio adjustment over the business cycle
by Soumaré, Issouf & Tchakoute Tchuigoua, Hubert & Hessou, Hélyoth T.S.
- 23-36 Monetary policy and consumers' demand
by Cavallari, Lilia
- 37-47 Genetic distance, economic growth and top income shares: Evidence from OECD countries
by Saha, Anjan K. & Mishra, Vinod
- 48-56 What drives cross-country differences in export variety? A bilateral panel approach
by Parteka, Aleksandra
- 57-69 Does bank shareholding impact corporate innovation? Evidence from China
by Lai, Shaojie & Li, Xiaorong & Chan, Kam C.
- 70-86 Loss aversion and market crashes
by Ouzan, Samuel
- 87-98 Determinants of corporate default risk in China: The role of financial constraints
by Zhang, Xuan & Ouyang, Ruolan & Liu, Ding & Xu, Liao
- 99-108 Food security in Kenya: Insights from a household food demand model
by Korir, Lilian & Rizov, Marian & Ruto, Eric
- 109-125 Changing transmission of monetary policy on disaggregate inflation in India
by Kumar, Ankit & Dash, Pradyumna
- 126-146 Trends and cycles under changing economic conditions
by Duarte, Cláudia & Maria, José R. & Sazedj, Sharmin
- 147-161 Antidumping and heterogeneous quality adjustment of multi-product firms: Evidence from Chinese exporters
by Meng, Ning & Milner, Chris & Song, Huasheng
- 162-169 Spatial contagion in the subprime crisis context: Adjusted correlation versus local correlation approaches
by Zorgati, Imen & Lakhal, Faten
- 170-179 On government-created credit markets for education and endogenous growth
by Del Rey, Elena & Lopez-Garcia, Miguel-Angel
- 180-194 Country and industry factors in tests of Capital Asset Pricing Models for partially integrated emerging markets
by Bai, Ye & Green, Christopher J.
- 195-206 Credit risk – Return puzzle: Evidence from India
by Nedumparambil, Elizabeth & Bhandari, Anup Kumar
- 207-215 Insurance activity, real output, and geopolitical risk: Fresh evidence from BRICS
by Lee, Chi-Chuan & Lee, Chien-Chiang
- 216-229 Testing for individual and time effects in the two-way error component model with time-invariant regressors
by Chen, Jing & Yue, Rongxian & Wu, Jianhong
- 230-238 Export, FDI and the welfare gains from trade liberalization
by Sun, Puyang & Tan, Yong & Yang, Guang
- 239-256 Does medicaid generosity affect household income?
by Kumar, Anil
- 257-267 Housing market cycles in large urban areas
by Alqaralleh, Huthaifa & Canepa, Alessandra
- 268-276 The signaling effects of education in the online lending market: Evidence from China
by Huang, Wenli & Qian, Yanhong & Xu, Nanyan
- 277-294 An empirical investigation of the balance of embodied emission in trade: Industry structure and emission abatement
by Honma, Satoshi & Yoshida, Yushi
- 295-308 Raising productivity with pension premium
by Bandyopadhyay, Debasis & La Pere, Anatoly
- 309-317 Why the money multiplier has remained persistently so low in the post-crisis United States?
by Seghezza, Elena & Morelli, Pierluigi
- 318-325 Do Chinese executives reward for luck?
by Shang, Xiaodan & Luo, Chuanjian & Wen, Qian
- 326-338 Country governance, corruption, and the likelihood of firms’ innovation
by Lee, Chien-Chiang & Wang, Chih-Wei & Ho, Shan-Ju
- 339-357 A stochastic estimated version of the Italian dynamic General Equilibrium Model
by Acocella, Nicola & Beqiraj, Elton & Di Bartolomeo, Giovanni & Di Pietro, Marco & Felici, Francesco & Alleva, Giorgio & Di Dio, Fabio & Liseo, Brunero
- 358-374 Financial cycles in asset markets and regions
by Beirne, John
- 375-387 The impact of external R&D financing on innovation process from a supply-demand perspective
by Kou, Mingting & Yang, Yuanqi & Chen, Kaihua
2020, Volume 91, Issue C
- 1-11 A pricing model with dynamic repayment flows for guaranteed consumer loans
by Chen, Shou & Jiang, Xiangqian & He, Hongbo & Zhou, Xi
- 12-32 How helpful are social networks in finding a job along the economic cycle? Evidence from immigrants in France
by Moreno Galbis, Eva & Wolff, Francois-Charles & Herault, Arnaud
- 33-42 Does foreign exchange derivatives market promote R&D? International industry-level evidence
by Hao, Xiangchao & Sun, Qinru & Xie, Fang
- 43-64 Revisiting human capital and aggregate income differences
by Campbell, Susanna G. & Üngör, Murat
- 65-80 The macroeconomic drivers in hedge fund beta management
by Lambert, Marie & Platania, Federico
- 81-88 Industrial subsidy policy and the optimal level of specialization
by Dubey, Ram Sewak & Kang, Minwook
- 89-99 A simple aggregate demand analysis with dynamic optimization in a small open economy
by Hashimoto, Ken-ichi & Ono, Yoshiyasu
- 100-109 Examination and Approval of New Patents in an Endogenous Growth Model
by Akimoto, Kiyoka & Morimoto, Takaaki
- 110-116 Intellectual property right infringement, state involvement in industrial espionage, and North-South trade
by Kim, Sang-Kee
- 117-127 Tradeoffs between costly capacity investment and risk of regime shift
by Nkuiya, Bruno
- 128-137 Do news shocks increase capital utilization?
by Woo, Jinhee
- 138-147 World economic convergence: Does the estimation methodology matter?
by Desli, E. & Gkoulgkoutsika, A.
- 148-154 Artificial neural network regression models in a panel setting: Predicting economic growth
by Jahn, Malte
- 155-166 Government size, composition of public spending and economic growth in Brazil
by Divino, Jose Angelo & Maciel, Daniel T.G.N. & Sosa, Wilfredo
- 167-179 Trade tariff, wage gap and public spending
by Giuranno, Michele G. & Nocco, Antonella
- 180-197 Insolvency regimes and firms' default risk under economic uncertainty and shocks
by Gopalakrishnan, Balagopal & Mohapatra, Sanket
- 198-217 Volatility transmission between oil prices and banks' stock prices as a new source of instability: Lessons from the United States experience
by Ehouman, Yao Axel
- 218-232 The economics of the illicit drugs-for-guns trade and growth
by Lim, King Yoong & Morris, Diego
- 233-246 Public provision of health insurance and aggregate saving in an overlapping generations model with endogenous health risk: The South Korean case
by Lim, Kyoung Mook
- 247-256 Forecasting the Consumer Confidence Index with tree-based MIDAS regressions
by Qiu, Yue
- 257-273 Risk, uncertainty, and leverage
by Istiak, Khandokar & Serletis, Apostolos
- 274-299 Social insurance for the elderly
by Bae, Se Yung & Jeon, Junkee & Koo, Hyeng Keun & Park, Kyunghyun
- 300-312 Signing auditors’ foreign experience and audit pricing
by Hou, Fei & Liu, Jie & Pang, Tingyun & Xiong, Hao
- 313-325 Rethinking multidimensional poverty through a multi-criteria analysis
by Bárcena-Martín, Elena & Pérez-Moreno, Salvador & Rodríguez-Díaz, Beatriz