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Editor: R. J. Arnould
Series handle: RePEc:eee:quaeco
ISSN: 1062-9769
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Content
2020, Volume 78, Issue C
- 273-287 Regulation, welfare, and the risk of asset stranding
by Guthrie, Graeme
- 288-303 Seasonal liquidity effects and their determinants on the covered bond market
by Weigerding, Michael
- 304-308 Why must it always be so Real with tax evasion?
by Gupta, Rangan & Makena, Philton
- 309-320 The cross-country transmission of credit risk between sovereigns and firms in Asia
by Zha, Yiling & Power, David & Tantisantiwong, Nongnuch
- 321-337 Natural gas price, market fundamentals and hedging effectiveness
by Chiou-Wei, Song-Zan & Chen, Sheng-Hung & Zhu, Zhen
- 338-354 Window dressing in equity mutual funds
by Hung, Pi-Hsia & Lien, Donald & Kuo, Ming-Sin
- 355-371 Momentum, asymmetric volatility and idiosyncratic risk-momentum relation: Does technology-sector matter?
by Ahmed, Mohamed S. & Alhadab, Mohammad
- 372-388 The impact of employee relations on the reputation of the board of directors and CEO
by Unsal, Omer & Brodmann, Jennifer
2020, Volume 77, Issue C
- 1-13 Cross-border spillovers of macroprudential policy in the Euro area
by Badarau, Cristina & Carias, Marcos & Figuet, Jean-Marc
- 14-36 Quantitative easing in the Euro Area – An event study approach
by Urbschat, Florian & Watzka, Sebastian
- 37-49 The empirical properties of euro area M3, 1980-2017
by Jung, Alexander & Carcel Villanova, Hector
- 50-61 Persistence, non-linearities and structural breaks in European stock market indices
by Caporale, Guglielmo Maria & Gil-Alana, Luis A. & Poza, Carlos
- 62-74 Macroeconomic variables and stock market indices: Asymmetric dynamics in the US and Canada
by Bhuiyan, Erfan M. & Chowdhury, Murshed
- 75-83 Financial institutions, asymmetric information and capital structure adjustments
by Ripamonti, Alexandre
- 84-97 Financial vulnerability, fiscal procyclicality and inflation targeting in developing commodity exporting economies
by Jalali-Naini, Ahmad Reza & Naderian, Mohammad Amin
- 98-107 Deficits and crowding out through private loan spreads
by Thia, Jang Ping
- 108-117 Avoiding the crowding-out of prosocial motivation in microfinance
by De Pril, Julie & Godfroid, Cécile
- 118-130 Does sub-Saharan Africa overinvest? Evidence from a panel of non-financial firms
by Khémiri, Wafa & Noubbigh, Hédi
- 131-143 Remittances, real exchange rate and the Dutch disease in Asian developing countries
by Hien, Nguyen Phuc & Hong Vinh, Cao Thi & Phuong Mai, Vu Thi & Kim Xuyen, Le Thi
- 144-149 Is bitcoin money? And what that means
by Hazlett, Peter K. & Luther, William J.
- 150-155 Effects of economic policy uncertainty shocks on the interdependence between Bitcoin and traditional financial markets
by Matkovskyy, Roman & Jalan, Akanksha & Dowling, Michael
- 156-164 Bitcoin, gold, and commodities as safe havens for stocks: New insight through wavelet analysis
by Bouri, Elie & Shahzad, Syed Jawad Hussain & Roubaud, David & Kristoufek, Ladislav & Lucey, Brian
- 165-185 Time-varying linkages among gold, stocks, bonds and real estate
by Yunus, Nafeesa
- 186-194 The determinants of capital ratios in Islamic banking
by Smaoui, Houcem & Salah, Ines Ben & Diallo, Boubacar
- 195-205 Earnings management around Islamic bonds issuance
by Abdul Halim, Zairihan & Xu, Suichen & Abdul Majid, Norakma
- 206-219 Liquidity risk in the Saudi banking system: Is there any Islamic banking specificity?
by Boukhatem, Jamel & Djelassi, Mouldi
- 220-249 Industrial banks: Challenging the traditional separation of commerce and banking
by Barth, James R. & Sun, Yanfei
- 250-265 The sources of pricing factors underlying the cross-section of currency returns
by Chen, Chih-Nan & Lin, Chien-Hsiu
- 266-270 Pure announcement and time effects in the dividend-discount model
by Bask, Mikael
- 271-285 Heterogeneous market hypothesis approach for modeling unbiased extreme value volatility estimator in presence of leverage effect: An individual stock level study with economic significance analysis
by Zargar, Faisal Nazir & Kumar, Dilip
- 286-295 The origin, ownership and use of cash flows in leveraged buyouts
by Ayash, Brian
- 296-310 Reliable factors of Capital structure: Stability selection approach
by Sohrabi, Narges & Movaghari, Hadi
- 311-326 Bank diversification and systemic risk
by Yang, Hsin-Feng & Liu, Chih-Liang & Yeutien Chou, Ray
- 327-339 Are NPL-backed securities an investment opportunity?
by Bolognesi, Enrica & Stucchi, Patrizia & Miani, Stefano
- 340-354 Does the CEO elite education affect firm hedging policies?
by Boubaker, Sabri & Clark, Ephraim & Mefteh-Wali, Salma
- 355-366 Impact of US policy uncertainty on Mexico: Evidence from linear and nonlinear tests
by Alam, Md Rafayet & Istiak, Khandokar
2020, Volume 76, Issue C
- 1-11 Arbitrage risk and a sentiment as causes of persistent mispricing: The European evidence
by Guidolin, Massimo & Ricci, Andrea
- 12-21 The value premium puzzle, behavior versus risk: New evidence from China
by Clark, Ephraim & Qiao, Zhuo
- 22-37 How informative are variance risk premium and implied volatility for Value-at-Risk prediction? International evidence
by Slim, Skander & Dahmene, Meriam & Boughrara, Adel
- 38-58 Fiscal credibility, target revisions and disagreement in expectations about fiscal results
by Montes, Gabriel Caldas & Acar, Tatiana
- 59-67 Foreign aid, institutional quality and government fiscal behavior in emerging economies: An empirical investigation
by Kaya, Ilker & Kaya, Ozgur
- 68-83 Privatization and state ownership of natural advantage industries
by Cosset, Jean-Claude & Durnev, Art & Oliveira dos Santos, Igor
- 84-96 Financial development curse in resource-rich countries: The role of commodity price shocks
by Mlachila, Montfort & Ouedraogo, Rasmané
- 97-104 Do external quality certifications improve firms’ conduct? International evidence from manufacturing and service industries
by Goel, Rajeev K. & Nelson, Michael A.
- 105-114 Stay-out adjustments and multi-year regulatory rate plans
by Davies, Ryan J. & Hevert, Kathleen T.
- 115-138 Stress testing household balance sheets in Luxembourg
by Giordana, Gastón & Ziegelmeyer, Michael
- 139-156 Earnings management under different ownership and corporate governance structure: A natural experiment with master limited partnerships
by Chen, Haiwei & Jory, Surendranath & Ngo, Thanh
- 157-166 Evaluating a consumption function with precautionary savings and habit formation under a general income process
by Reis Gomes, Fábio Augusto
- 167-180 Dynamics of the global fine art market prices
by Le Fur, Eric
- 181-189 Feedback trading strategies and long-term volatility
by Kyriakou, Maria I. & Babalos, Vassilios & Kiohos, Apostolos & Koulakiotis, Athanasios
- 190-197 Are U.S. lung cancer mortality rates converging?
by Sameem, Sediq
- 198-206 The asymmetric relationship between the oil price and the US-Canada exchange rate
by Jung, Young Cheol & Das, Anupam & McFarlane, Adian
- 207-217 Measuring co-dependencies of economic policy uncertainty in Latin American countries using vine copulas
by Çekin, Semih Emre & Pradhan, Ashis Kumar & Tiwari, Aviral Kumar & Gupta, Rangan
- 218-229 The drivers of Bitcoin trading volume in selected emerging countries
by Bouraoui, Taoufik
- 230-242 Is too much liquidity harmful to economic growth?
by Chu, Lan Khanh & Chu, Hung Viet
- 243-248 Forecasting equity premium in a panel of OECD countries: The role of economic policy uncertainty
by Christou, Christina & Gupta, Rangan
- 249-259 An evaluation of Chinese securities investment fund performance
by Gao, Jun & O’Sullivan, Niall & Sherman, Meadhbh
- 260-269 Extreme returns and the investor’s expectation for future volatility: Evidence from the Finnish stock market
by Ali, Syed Riaz Mahmood & Ahmed, Shaker & Östermark, Ralf
- 270-277 Does short selling affect the clustering of stock prices?
by Baig, Ahmed S. & Sabah, Nasim
- 278-291 Price stabilization, short selling, and IPO secondary market liquidity
by Boulton, Thomas J. & Braga-Alves, Marcus V.
- 292-309 Exploring economic anomalies in the S&P500 index
by Parnes, Dror
- 310-324 Fractal dynamics and wavelet analysis: Deep volatility and return properties of Bitcoin, Ethereum and Ripple
by Celeste, Valerio & Corbet, Shaen & Gurdgiev, Constantin
- 325-334 Corruption, agency costs and dividend policy: International evidence
by Tran, Quoc Trung
- 335-344 Size-threshold effect in debt-firm performance nexus in the sub-Saharan region: A Panel Smooth Transition Regression approach
by Khémiri, Wafa & Noubbigh, Hédi
- 345-356 The valuation of deposit insurance allowing for the interest rate spread and early-bankruptcy risk
by Chiang, Shu Ling & Tsai, Ming Shann
- 357-367 Disentangling bubbles in equity REITs
by Huerta-Sanchez, Daniel & Jafarinejad, Mohammad & Kim, Dongshin & Soyeh, Kenneth W.
- 368-378 Share repurchases and wealth transfer among shareholders
by DeLisle, R. Jared & Morscheck, Justin D. & Nofsinger, John R.
- 379-385 The impact of corporate strategy on capital structure: evidence from Italian listed firms
by Cappa, Francesco & Cetrini, Giorgio & Oriani, Raffaele
- 386-395 Investors and dividend yields
by Baker, H. Kent & De Ridder, Adri & Råsbrant, Jonas
- 396-409 Do Bitcoin and other cryptocurrencies jump together?
by Bouri, Elie & Roubaud, David & Shahzad, Syed Jawad Hussain
- 410-413 The name game: The importance of resourcefulness, ruses, and recall in stock ticker symbols
by Baer, Naomi & Barry, Erica & Smith, Gary
- 414-423 Analysis of the five-factor asset pricing model with wavelet multiscaling approach
by Bera, Anil Kumar & Uyar, Umut & Kangalli Uyar, Sinem Guler
2020, Volume 75, Issue C
- 1-18 Do market participants misprice lottery-type assets? Evidence from the European soccer betting market
by Franke, Maximilian
- 19-30 Does corruption grease or sand the wheels of development? New results based on disaggregated data
by Nur-tegin, Kanybek & Jakee, Keith
- 31-39 Import tax evasion and avoidance: Evidence from Iran
by Yousefi, Kowsar & Vesal, Mohammad & Pilvar, Hanifa
- 40-52 Is fiscal policy effective in Brazil? An empirical analysis
by Holland, Marcio & Marçal, Emerson & de Prince, Diogo
- 53-66 US real estate inflation prediction: Exchange rates and net foreign assets
by McGurk, Zachary
- 67-83 The Economic Performance Effects of Capital Flows in OPEC Member Countries
by Ibhagui, Oyakhilome W.
- 84-94 How financially integrated are trading blocs in Africa?
by Bonga-Bonga, Lumengo & Mabe, Queen Magadi
- 95-108 Does the presence of international students improve domestic graduations in the US?
by Abegaz, Melaku & Lahiri, Sajal & Morshed, A.K.M. Mahbub
- 109-119 The effects of credit on high school graduation: Evidence from U.S. bank branching deregulation
by Reilly, Patrick A.
- 120-132 Financial constraints, corruption, and SME growth in transition economies
by Ullah, Barkat
- 133-146 The access of microfinance institutions to financing via the worldwide crowd
by Dorfleitner, Gregor & Oswald, Eva-Maria & Röhe, Michaela
- 147-166 A look inside banking profitability: Evidence from a dollarized emerging country
by Vera-Gilces, Paul & Camino-Mogro, Segundo & Ordeñana-Rodríguez, Xavier & Cornejo-Marcos, Gino
- 167-190 The impact of the Basel III liquidity ratios on banks: Evidence from a simulation study
by Grundke, Peter & Kühn, André
- 191-208 Efficiency, technical progress and productivity of Arab banks: A non-parametric approach
by Mansour, Rana & El Moussawi, Chawki
- 209-220 Like father, like son? Diversification decision and related performance of family firm successors – Evidence from Taiwan
by Chou, Shu-Ching & Shih, Chia-Jung
- 221-228 Dividend payouts and family-controlled firms—The effect of culture on business
by Wu, Manhwa & Ni, Yensen & Huang, Paoyu
- 229-239 Political connections and corporate debt: Evidence from two U.S. election campaigns
by Chkir, Imed & Gallali, Mohamed Imen & Toukabri, Manara
- 240-246 Securitization of revolving debt and its determinants
by Nourzad, Farrokh & Hunter, William & Szczesniak, Katherine
- 247-256 Does the type of debt matter? Stock market perception in Europe
by Fungáčová, Zuzana & Godlewski, Christophe J. & Weill, Laurent
- 257-264 Dynamics and determinants of spillovers across the option-implied volatilities of US equities
by Bouri, Elie & Lucey, Brian & Roubaud, David
- 265-275 Household stock market participation during the great financial crisis
by Zhou, Jie
- 276-293 Idiosyncratic volatility shocks, behavior bias, and cross-sectional stock returns
by Fenner, Richard G. & Han, Yufeng & Huang, Zhaodan
- 294-307 Cryptocurrencies as hedges and safe-havens for US equity sectors
by Bouri, Elie & Hussain Shahzad, Syed Jawad & Roubaud, David
- 308-324 Dynamic transmissions between main stock markets and SME stock markets: Evidence from tropical economies
by Nguyen, Trang & Chaiechi, Taha & Eagle, Lynne & Low, David
- 325-346 European equity markets: Who is the truly representative investor?
by Rojo Suárez, Javier & Alonso Conde, Ana Belén & Ferrero Pozo, Ricardo
- 347-360 Term structure estimation with missing data: Application for emerging markets
by Nagy, Krisztina
2019, Volume 74, Issue C
- 3-8 Islamic banks with mutuality and neutrality: A balance-sheet-based theoretical framework
by Rahman, Matiur
- 9-17 A statistical analysis of uncertainty for conventional and ethical stock indexes
by Jawadi, Fredj & Jawadi, Nabila & Idi Cheffou, Abdoukarim
- 18-31 Measurement of the displaced commercial risk in Islamic Banks
by Toumi, Kaouther & Viviani, Jean-Laurent & Chayeh, Zeinab
- 32-38 The contribution of market movements, asset allocation and active management to Islamic equity funds’ performance
by Peillex, Jonathan & Erragragui, Elias & Bitar, Mohammad & Benlemlih, Mohammed
- 39-55 Islamic banks and political risk: International evidence
by Belkhir, Mohamed & Grira, Jocelyn & Hassan, M. Kabir & Soumaré, Issouf
- 56-66 Are Islamic and conventional capital markets decoupled? Evidence from stock and bonds/sukuk markets in Malaysia
by Ahmed, Habib & Elsayed, Ahmed H.
- 67-74 The efficiency patterns of Islamic banks during the global financial crisis: The case of Bangladesh
by Asmild, Mette & Kronborg, Dorte & Mahbub, Tasmina & Matthews, Kent
- 75-84 Interbank offered rates in Islamic countries: Is the Islamic benchmark different from the conventional benchmarks?
by Nechi, Salem & Smaoui, Houcem Eddine
- 85-96 Taking advantage of Ramadan and January in Muslim countries
by Halari, Anwar & Helliar, Christine & Power, David M. & Tantisantiwong, Nongnuch
- 97-108 Exploring the workings of Shari’ah supervisory board in Islamic finance: A perspective of Shari’ah scholars from GCC
by Al Mannai, Muna & Ahmed, Habib
- 109-118 Are MENA banks’ capital buffers countercyclical? Evidence from the Islamic and conventional banking systems
by Ben Maatoug, Abderrazek & Ben Ayed, Wassim & Ftiti, Zied
- 119-128 Evaluation of monetary policy: Evidence of the role of money from Malaysia
by El Alaoui, Abdelkader O. & Jusoh, Hashim Bin & Yussof, Sheila Ainon & Hanifa, Mohamed Hisham
- 129-147 The Fiscal consequences of deflation: Evidence from the Golden Age of Globalization
by Afonso, António & Jalles, João Tovar
- 148-162 Profitability, capital, and risk in US commercial and savings banks: Re-examination of estimation methods
by Paroush, Jacob & Schreiber, Ben Z.
- 163-174 Tougher than the rest? The resilience of specialized financial intermediation to macroeconomic shocks
by Molterer, Manuel
- 175-189 Subprime credit, idiosyncratic risk, and foreclosures
by Simlai, Prodosh
- 190-205 Institutional investors and medical innovation
by Unsal, Omer & Rayfield, Blake
- 206-219 Corporate diversification, debt maturity structures and firm value: The role of geographic segment data
by Olibe, Kingsley O. & Rezaee, Zabihollah & Flagg, James & Ott, Richard
- 220-241 Relative performance and systemic risk contributions of small and large banks during the financial crisis
by Elyasiani, Elyas & Jia, Jingyi (Jane)
- 242-250 Information dissemination and investors’ sensitivity
by Lee, Chia-Hao & Chou, Pei-I
- 251-266 The effect of debt market imperfection on capital structure and investment: Evidence from the 2008 global financial crisis in Japan
by Iwaki, Hiromichi
- 267-277 Market reaction to actual daily share repurchases in Greece
by Drousia, Angeliki & Episcopos, Athanasios & Leledakis, George N.
- 278-291 Scandinavia: Towards the European Monetary Union?
by Stoupos, Nikolaos & Kiohos, Apostolos
- 292-300 Partial adjustment of hybrid book-building IPOs with a pre-IPO market
by Kao, Lanfeng & Chen, Anlin
- 301-307 Premiums of the Pension Benefit Guarantee Corporation and risk-taking by pension plans
by Romaniuk, Katarzyna
- 308-327 Effect of interbank activities on bank risk: Why is China different?
by Huang, Yu-Li & Shen, Chung-Hua
- 328-335 Subjective well-being in housing purchasing: Evidence with survey data from the U.K. housing residential market
by Apergis, Nicholas & Hayat, Tasawar & Kadasah, Nasser A.
- 336-346 The role of the volatility index in asset pricing: The case of the Indian stock market
by Pati, Pratap Chandra & Rajib, Prabina & Barai, Parama
2019, Volume 73, Issue C
- 3-13 Household asset wealth and female labor supply in MENA
by AlAzzawi, Shireen & Hlasny, Vladimir
- 14-23 Gender wage disparities in Egypt: Evidence from ELMPS 2006 and 2012
by Biltagy, Marwa
- 24-33 On the interaction between exports and labor market regulation: Evidence from the MENA countries
by Selwaness, Irène & Zaki, Chahir
- 34-43 How to enlarge the fiscal space and gain efficiency when adopting automatic fuel pricing mechanisms? The Tunisian case
by Chebbi, Ali
- 44-55 Asset inequality in the MENA: The missing dimension?
by Hlasny, Vladimir & AlAzzawi, Shireen
- 56-77 Why Don’t MENA Countries Trade More? The Curse of Deficient Institutions
by Karam, Fida & Zaki, Chahir
- 78-87 Empirical evidence on the long and short run determinants of health expenditure in the Arab world
by Barkat, Karim & Sbia, Raschid & Maouchi, Youcef
- 88-94 Comparative entrepreneurship factors between North Mediterranean and North African Countries: A regression tree analysis
by Cinar, E. Mine & Hienkel, Tyler & Horwitz, William
- 95-110 The migration of fear: An analysis of migration choices of Syrian refugees
by Balcilar, Mehmet & Nugent, Jeffrey B.
- 111-118 On the link between real effective value of Tunisia’s Dinar and its sectoral trade with the rest of the world: New evidence from asymmetry analysis
by Bahmani-Oskooee, Mohsen & Hadj Amor, Thouraya & Maki Nayeri, Majid & Niroomand, Farhang
- 119-135 The dynamic behavior of evolving efficiency: Evidence from the UAE stock markets
by Al-Shboul, Mohammad & Alsharari, Nizar
- 136-150 Market risk disclosures and corporate governance structure: Evidence from GCC financial firms
by Al-Hadi, Ahmed & Al-Yahyaee, Khamis Hamed & Hussain, Syed Mujahid & Taylor, Grantley
- 151-158 Determinants of Turkish real effective exchange rates
by Tunaer Vural, Burçak Müge
- 159-171 Oil price fluctuations and exchange rate dynamics in the MENA region: Evidence from non-causality-in-variance and asymmetric non-causality tests
by Nouira, Ridha & Hadj Amor, Thouraya & Rault, Christophe
- 172-183 Where does economic growth in the Middle Eastern and North African countries come from?
by Acikgoz, Senay & Ben Ali, Mohamed Sami
- 184-191 Governance, capital and economic growth in the Arab Region
by Abdelbary, Islam & Benhin, James
- 192-204 Does foreign aid play a role in the maintenance of economic growth? A non-linear analysis
by Harb, Nermeen & Hall, Stephen G.
- 205-216 The switching impact of financial stability and economic growth in Qatar: Evidence from an oil-rich country
by Alsamara, Mouyad & Mrabet, Zouhair & Jarallah, Shaif & Barkat, Karim
- 217-222 Oil price and inflation in Algeria: A nonlinear ARDL approach
by Lacheheb, Miloud & Sirag, Abdalla
2019, Volume 72, Issue C
- 1-13 Oil and macro-financial linkages: Evidence from the GCC countries
by Ibrahim, Mansor H.
- 14-33 Measuring persistence of dependence between crude oil prices and GCC stock markets: A copula approach
by Mokni, Khaled & Youssef, Manel
- 34-40 Oil prices and corporate high-yield spreads: Evidence from panels of nonenergy and energy European firms
by Apergis, Nicholas
- 41-51 Asymmetric impact of oil prices on exchange rate and stock prices
by Kumar, Satish
- 52-64 Income inequality in S&P 500 companies
by Uygur, Ozge
- 65-72 Measuring inequality persistence in OECD 1963–2008 using fractional integration and cointegration
by Gil-Alana, Luis A. & Škare, Marinko & Pržiklas-Družeta, Romina
- 73-79 Using currency iconography to measure institutional quality
by Lawson, Kerianne
- 80-100 Political institutions and finance-growth nexus in emerging markets and developing countries: A tale of one threshold
by Slesman, Ly & Baharumshah, Ahmad Zubaidi & Azman-Saini, W.N.W.
- 101-116 Testing the alternative two-state options pricing models: An empirical analysis on TXO
by Su, EnDer & Wen Wong, Kai
- 117-122 Nassim Taleb heads international banking’s first Grey/Black Swan Committee
by Phillips, Emir
- 123-131 Financial asset valuations: The total demand approach
by Žukauskas, Vytautas & Hülsmann, Jörg Guido
- 132-144 The effect of executive stock option delta and vega on the spin-off decision
by Mazur, Mieszko & Salganik-Shoshan, Galla
- 145-151 The firm value in case of deleveraging using leasing and the optimal restructuring level
by Elsiefy, Elsayed & AbdElaal, Moustafa Ahmed
- 152-158 Do industry returns predict the stock market? A reprise using the random forest
by Ciner, Cetin
- 159-167 Comparing relative valuation efficiency between two stock markets
by Yi, Ronghua & Chang, Yu-Wei & Xing, Wen & Chen, Jun
- 168-177 An analysis of the weak form efficiency, multifractality and long memory of global, regional and European stock markets
by Mensi, Walid & Tiwari, Aviral Kumar & Al-Yahyaee, Khamis Hamed
- 178-190 Bidder excess control, target overpayment and control contestability: Evidence from France
by Thraya, Mohamed Firas & Hamza, Taher
- 191-205 Islamic and conventional equity markets: Two sides of the same coin, or not?
by Ahmed, Walid M.A.
- 206-214 The behaviour of bidders in quantitative-easing auctions of sovereign bonds in Japan: Determinants of the popularity of the 9 to 10-year maturity segment
by Inaba, Kei-Ichiro
- 215-231 Does cross-listing in the US improve investment efficiency? Evidence from UK firms
by Abdallah, Abed AL-Nasser & Abdallah, Wissam
- 232-239 The impact of natural disasters on the banking sector: Evidence from hurricane strikes in the Caribbean
by Brei, Michael & Mohan, Preeya & Strobl, Eric
2019, Volume 71, Issue C
- 1-13 Political economists or political economists? The role of political environments in the formation of fed policy under burns, Greenspan, and Bernanke
by Salter, Alexander W. & Smith, Daniel J.
- 14-26 Institutions and return predictability in oil-exporting countries
by Aramonte, Sirio & Jahan-Parvar, Mohammad R. & Shugarman, Justin K.
- 27-36 The effects of fiscal policy on output: Does the business cycle matter?
by Papaioannou, Sotiris K.
- 37-47 Is the financial accelerator story, empirically relevant for the determinants of the interest rate spread?
by Catalán-Herrera, Juan & Arriaza, Juan Carlos & Alvarado, Ricardo
- 48-55 Divergent interest rates in the theory of financial markets
by Kruschwitz, Lutz & Löffler, Andreas & Lorenz, Daniela
- 56-66 Market power among UAE banks: The 2008 financial crisis and its impact
by Mirzaei, Ali
- 67-78 Business cycle accounting of trade barriers in a small open economy
by Madanizadeh, Seyed Ali & Karimirad, Ali & Rahmati, Mohammad H.
- 79-94 The impact of trade intensity and Market characteristics on asymmetric volatility, spillovers and asymmetric spillovers: Evidence from the response of international stock markets to US shocks
by Newaz, Mohammad Khaleq & Park, Jin Suk
- 95-106 Drivers of the underground economy for over a century: A long term look for the United States
by Goel, Rajeev K. & Saunoris, James W. & Schneider, Friedrich
- 107-113 Holding Bitcoin longer: The dynamic hedging abilities of Bitcoin
by Chan, Wing Hong & Le, Minh & Wu, Yan Wendy
- 114-131 Market reaction to the effect of corporate social responsibility on mergers and acquisitions: Evidence on emerging markets
by Yen, Tze-Yu & André, Paul
- 132-147 Assessing the marketing and investment efficiency of Taiwan’s life insurance firms under network structures
by Huang, Tai-Hsin & Lin, Chung-I & Wu, Ruei-Cian
- 148-160 Determinants of capital structure and firm financial performance—A PLS-SEM approach: Evidence from Malaysia and Indonesia
by Ramli, Nur Ainna & Latan, Hengky & Solovida, Grace T.
- 161-175 The impact of state ownership and business models on bank stability: Empirical evidence from the Eurasian Economic Union
by Pak, Olga
- 176-187 Dual-class firms, M&As and SOX
by Chourou, Lamia & Hossain, Ashrafee T. & Kryzanowski, Lawrence
- 188-204 Testing extensions of Fama & French models: A quantile regression approach
by González, María de la O & Jareño, Francisco
- 205-210 Increasing worldwide environmental consciousness and environmental policy adjustment
by Weng, Yungho & Hsu, Kuang-Chung & Liu, Bih Jane
- 211-222 Time-varying predictive content of financial variables in forecasting GDP growth in the G-7 countries
by Kuosmanen, Petri & Vataja, Juuso
- 223-227 A focused information criterion for quantile regression: Evidence for the rebound effect
by Behl, Peter & Dette, Holger & Frondel, Manuel & Vance, Colin
- 228-238 Portfolio selection in a multi-asset, incomplete-market economy
by Lian, Yu-Min & Chen, Jun-Home
- 239-246 Semi-strong inefficiency in the fixed odds betting market: Underestimating the positive impact of head coach replacement in the main European soccer leagues
by Bernardo, Giovanni & Ruberti, Massimo & Verona, Roberto
- 247-257 Intra-day dynamics of exchange rates: New evidence from quantile regression
by Kuck, Konstantin & Maderitsch, Robert
- 258-269 Board gender diversity and the capital structure of microfinance institutions: A global analysis
by Adusei, Michael & Obeng, Emmanuella Yaa Takyiwah
- 270-279 Centralized and decentralized bitcoin markets: Euro vs USD vs GBP
by Matkovskyy, Roman
- 280-290 Cash flow statements and firm value: Evidence from Taiwan
by Ni, Yensen & Huang, Paoyu & Chiang, Pinhui & Liao, Yulu
- 291-302 Competition in the insurance industry in Ecuador: An econometric analysis in life and non-life markets
by Camino-Mogro, Segundo & Armijos-Bravo, Grace & Cornejo-Marcos, Gino
2018, Volume 70, Issue C
- 1-5 Monetary policy and overshooting of oil prices in an open economy
by Baek, Jungho & Miljkovic, Dragan
- 6-20 Unemployment fluctuations in a small open-economy model with segmented labour markets: The case of Canada
by Zhang, Yahong
- 21-25 Would a free banking system stabilize NGDP growth?
by Salter, Alexander William & Young, Andrew T.
- 26-37 Effects of fiscal transparency on inflation and inflation expectations: Empirical evidence from developed and developing countries
by Montes, Gabriel Caldas & da Cunha Lima, Luiza Leitão
- 38-51 Can cryptocurrencies fulfil the functions of money?
by Ammous, Saifedean
- 52-61 Expenditure decentralization and natural resources
by Armey, Laura E. & McNab, Robert M.