Contact information of Elsevier
Serial Information
Download restrictions: Full text for ScienceDirect subscribers only
Editor: R. J. Arnould
Editor: R. J. Arnould
Series handle: RePEc:eee:quaeco
ISSN: 1062-9769
Citations RSS feed: at CitEc
Impact factors
Access and download statisticsTop item:
Corrections
All material on this site has been provided by the respective publishers and authors. You can help
correct errors and omissions. When requesting a correction, please mention this item's handle: RePEc:eee:quaeco. See general information about how to correct material in RePEc.
For technical questions regarding this item, or to correct its authors, title, abstract, bibliographic or download information, contact: Catherine Liu (email available below). General contact details of provider: http://www.elsevier.com/locate/inca/620167 .
Content
December 2004, Volume 44, Issue 5
- 678-709 Interest rate risk in an emerging economy
by Fernandez, Viviana
- 710-726 Selective hedging with market views and risk limits: the case of Hydro-Quebec
by Lalancette, Simon & Leclerc, Frank & Turcotte, David
- 727-750 Corporate risk management and asymmetric information
by Zhao, Longkai
- 751-767 Managing risk and uncertainty in complex capital projects
by Alessandri, Todd M. & Ford, David N. & Lander, Diane M. & Leggio, Karyl B. & Taylor, Marilyn
September 2004, Volume 44, Issue 4
- 475-486 Modelling the U.S. interest rate in terms of I(d) statistical models
by Gil-Alana, Luis A.
- 487-507 Stock prices, firm size, and changes in the federal funds rate target
by Guo, Hui
- 508-520 Day-of-the-week effects in commercial paper yield rates
by Nippani, Srinivas & Pennathur, Anita K.
- 521-538 Heterogeneous expectations and stock prices in segmented markets: application to Chinese firms
by Li, Lianfa & Fleisher, Belton M.
- 539-558 The market's reaction to unexpected, catastrophic events: the case of airline stock returns and the September 11th attacks
by Carter, David A. & Simkins, Betty J.
- 559-573 Aggressive dealer pricing
by Locke, Peter R. & Sarajoti, Pattarake
- 574-600 The effect of mergers on firms' costs: evidence from the HMO industry
by Engberg, John & Wholey, Douglas & Feldman, Roger & Christianson, Jon B.
- 601-623 The performance of economic tracking portfolios in an IT-intensive stock market
by Junttila, Juha & Kinnunen, Heli
- 624-632 Efficient markets, fair bets, and profitability in NBA totals 1995-96 to 2001-02
by Paul, Rodney J. & Weinbach, Andrew P. & Wilson, Mark
July 2004, Volume 44, Issue 3
- 363-368 Concepts, measures, and models of technology and technical progress in medical care and health economics
by Okunade, Albert A.
- 369-389 Sources of U.S. longevity increase, 1960-2001
by Lichtenberg, Frank R.
- 390-409 Quality-constant "prices" for the ongoing treatment of schizophrenia: an exploratory study
by Frank, Richard G. & Berndt, Ernst R. & Busch, Alisa B. & Lehman, Anthony F.
- 410-429 New information technology systems and a Bayesian hierarchical bivariate probit model for profiling surgeon quality at a large hospital
by Hall, Bruce Lee & Hamilton, Barton H.
- 430-447 Measuring levels of technology in hospitals
by Spetz, Joanne & Maiuro, Lisa Simonson
- 448-463 Specifying technical change: a research on the nature of technical change in Dutch hospital industry
by Blank, Jos L. T. & Vogelaar, Iris
- 464-473 Zvi Griliches as a qualified humanitarian: his thoughts on quantifying technological change and productivity
by Gootzeit, Michael J. & Okunade, Albert A.
May 2004, Volume 44, Issue 2
- 191-207 Stock prices and the dividend discount model: did their relation break down in the 1990s?
by Nasseh, Alireza & Strauss, Jack
- 208-223 The present value model of U.S. stock prices redux: a new testing strategy and some evidence
by Bohl, Martin T. & Siklos, Pierre L.
- 224-236 A factor model of seasonality in stock returns
by Gardeazabal, Javier & Regulez, Marta
- 237-252 Stock returns and real activity in the G-7 countries: did the relationship change during the 1980s?
by Binswanger, Mathias
- 253-264 Dating the productivity slowdown with a structural time-series model
by Pelaez, Rolando F.
- 265-295 Investors's distrust and the marketing of new financial assets
by Kawamura, Enrique
- 296-320 Health human capital and economic growth in Sub-Saharan African and OECD countries
by Gyimah-Brempong, Kwabena & Wilson, Mark
- 321-336 Maritime businesses: volatile stock prices and market valuation inefficiencies
by Mulligan, Robert F. & Lombardo, Gary A.
- 337-361 The mathematics of the portfolio frontier: a geometry-based approach
by Bick, Avi
February 2004, Volume 44, Issue 1
- 1-19 Estimating the profit markup component of the bid-ask spread: evidence from the London Stock Exchange
by Levin, Eric J. & Wright, Robert E.
- 20-43 Information flow, volatility and spreads of infrequently traded Nasdaq stocks
by Wu, Chunchi
- 44-57 An empirical examination of the intraday volatility in euro-dollar rates
by Cyree, Ken B. & Griffiths, Mark D. & Winters, Drew B.
- 58-76 Bid-ask spreads, informed investors, and the firm's financial condition
by Agrawal, Vipin & Kothare, Meeta & Rao, Ramesh K. S. & Wadhwa, Pavan
- 77-101 Bank capital requirements and managerial self-interest
by Bris, Arturo & Cantale, Salvatore
- 102-121 The impact of health on employment, wages, and hours worked over the life cycle
by Pelkowski, Jodi Messer & Berger, Mark C.
- 122-154 Is exchange rate volatility excessive? An ARCH and AR approach
by Edmonds, Radcliffe Jr. & So, Jacky Y. C.
- 155-179 Fractal analysis of highly volatile markets: an application to technology equities
by Mulligan, Robert F.
2003, Volume 43, Issue 5
- 713-719 Introduction
by Baer, Werner & Neal, Larry
- 720-737 Ireland: what's Celtic about the Celtic Tiger?
by Gottheil, Fred
- 738-754 The economy of Portugal within the European Union: 1990-2002
by Baer, Werner & Leite, Antonio Nogueira
- 755-773 The economy of Spain without and within the European Union: 1945-2002
by Neal, Larry & Garcia-Iglesias, Maria Concepcion
- 774-806 Greece in the European Union: policy lessons from two decades of membership
by Oltheten, Elisabeth & Pinteris, George & Sougiannis, Theodore
- 807-826 Fatal attraction: Turkey's troubled relationship with the European Union
by Esfahani, Hadi Salehi
- 827-862 Growth at the EU periphery: the next enlargement
by Facchini, Giovanni & Segnana, Maria Luigia
- 863-892 Mexico under NAFTA: a critical assessment
by Ramirez, Miguel D.
2003, Volume 43, Issue 4
- 583-591 Introduction to capital accumulation and allocation in economic growth
by Villamil, Anne P.
- 592-613 Modeling fiscal federalism: a decomposition analysis of changes in intra-European Union budgetary transfers
by Deltas, George & Van Der Beek, Gregor
- 614-626 Debt relief and institutional reform: a focus on Heavily Indebted Poor Countries
by Asiedu, Elizabeth
- 627-642 Corruption, credit market imperfections, and economic development
by Antunes, Antonio R. & Cavalcanti, Tiago V.
- 643-667 Growth equations: a quantile regression exploration
by Mello, Marcelo & Perrelli, Roberto
- 668-696 Aggregate risk, credit rationing and capital accumulation
by Elosegui, Pedro Luis
- 697-712 Diversification of risk and saving
by Wilson, Bonnie
2003, Volume 43, Issue 3
- 405-417 Nominal rates, real rates, and expected inflation: Results from a study of U.S. Treasury Inflation-Protected Securities
by Laatsch, Francis E. & Klein, Daniel P.
- 418-432 Interest-sensitive wealth and the life-cycle hypothesis: implications for fiscal policy
by Russo, Benjamin & Gandar, John M.
- 433-465 Futures hedge ratios: a review
by Chen, Sheng-Syan & Lee, Cheng-few & Shrestha, Keshab
- 466-482 Shareholder intervention, managerial resistance, and corporate control: a Nash equilibrium approach
by Mason, Charles F. & Gottesman, Aron A. & Prevost, Andrew K.
- 483-504 Why companies use open-market repurchases: A managerial perspective
by Baker, H. Kent & Powell, Gary E. & Veit, E. Theodore
- 505-517 The nonlinear dynamics of stock prices
by Shively, Philip A.
- 518-541 What drives the term and risk structure of Japanese bonds?
by In, Francis & Batten, Jonathan & Kim, Sangbae
- 542-559 A re-examination of the unbiasedness forward rate hypothesis using dynamic SUR model
by Ho, Tsung-Wu
- 560-577 An analysis of industry and country effects in global stock returns: evidence from Asian countries and the U.S
by Wang, Chaug-Jung & Lee, Chien-Hui & Huang, Bwo-Nung
- 578-582 Utility stocks and the size effect--revisited
by Zepp, Thomas M.
2003, Volume 43, Issue 2
- 191-211 Comparative costs of negotiated versus competitive bond sales: new evidence from state general obligation bonds
by Kriz, Kenneth A.
- 213-238 Are state budget stabilization funds only the illusion of savings?: Evidence from stationary panel data
by Wagner, Gary A.
- 239-260 Capital structure, investment unanimity, and public goods: the case for social responsibility
by Bosshardt, Donald I.
- 261-272 The response of the default risk premium to macroeconomic shocks
by Ewing, Bradley T.
- 273-289 Exemption laws and consumer delinquency and bankruptcy behavior: an empirical analysis of credit card data
by Agarwal, Sumit & Liu, Chunlin & Mielnicki, Lawrence
- 291-320 Financial disruption and bank productivity: The 1994 experience of Turkish banks
by Isik, Ihsan & Hassan, M. Kabir
- 321-344 The extralegal development of securities trading in seventeenth-century Amsterdam
by Stringham, Edward
- 345-368 Explaining change in the natural rate of unemployment: A regional approach
by Murphy, Kevin J. & Payne, James E.
- 369-393 Risk and return: CAPM and CCAPM
by Chen, Ming-Hsiang
- 395-404 The declining January effect: evidences from the U.S. equity markets
by Gu, Anthony Yanxiang
2003, Volume 43, Issue 1
- 11-30 The long-run interdependence of bank-health, investment-oriented bank loans, and economic performance: A time-series analysis
by Jeong, Woocheon & Kymn, Kem O. & Kymn, Christine J.
- 31-49 An investigation into the use of mergers as a solution for the Asian banking sector crisis
by Shih, Michael S. H.
- 51-73 Public education, communities and vouchers
by Luengo-Prado, Maria Jose & Volij, Oscar
- 75-87 Do not-for-profit firms maximize profit?
by Vitaliano, Donald F.
- 89-117 The effects of dollar appreciation on sectoral labor market adjustments: Theory and evidence
by Kandil, Magda & Mirzaie, Ida Aghdas
- 119-132 Pricing catastrophe bonds by an arbitrage approach
by Vaugirard, Victor E.
- 133-146 Monetary policy and fixed income returns
by Johnson, Robert R. & Buetow, Gerald W. & Jensen, Gerald R. & Reilly, Frank K.
- 147-167 Corporate diversification strategies and capital structure
by Singh, Manohar & Davidson, Wallace III & Suchard, Jo-Ann
- 169-189 Exploring the relationship between price and quality for the case of hand-rolled cigars
by Freccia, David M. & Jacobsen, Joyce P. & Kilby, Peter
2002, Volume 42, Issue 5
- 817-824 What do economists have to contribute to policy decision-making?
by Blank, Rebecca M.
- 825-826 Introduction: Sovereignty and economic neo-liberalism: the case of Brazil
by Baer, Werner
- 827-851 How financial intermediation challenges national sovereignty in emerging markets
by Makler, Harry M. & Ness, Walter Jr.
- 853-863 National sovereignty and consumer sovereignty: Some consequences of Brazil's economic opening
by Baer, Werner & Coes, Donald V.
- 865-874 Global finance, sovereign risk and economic performance of Brazil
by Nazmi, Nader
- 875-888 Globalisation, industrial efficiency and technological sovereignty: Evidence from Brazil
by Amann, Edmund
- 889-900 Monopsony power and the market for clergy: Some evidence from the census
by Condon, Daniel
- 901-909 The banking industry after the Riegle-Neal Act: re-structure and overall performance
by Nippani, Srinivas & Green, Kenneth Jr.
- 911-919 Increasingly mean-seeking utility functions and n-asset portfolios
by Gelles, Gregory M. & Mitchell, Douglas W.
- 921-935 Assessing the economic knowledge and economic opinions of adults
by Walstad, William B. & Rebeck, Ken
- 937-943 Optimal full-hedging under state-dependent preferences
by Broll, Udo & Wong, Kit Pong
2002, Volume 42, Issue 4
- 649-671 Regression evidence of safety-net support in Canada and the U.S., 1893-1992
by Kane, Edward J. & Wilson, Berry
- 673-694 The effect of deposit insurance on financial depth: A cross-country analysis
by Cull, Robert & Senbet, Lemma W. & Sorge, Marco
- 695-699 Cross-country evidence on deposit-insurance
by Demirguc-Kunt, Asli & Kane, Edward J.
- 701-719 Deposit insurance as private club: is Germany a model?
by Beck, Thorsten
- 721-732 International evidence on the value of deposit insurance
by Laeven, Luc
- 733-746 Does long-run real interest parity hold among EU countries? Some new panel data evidence
by Holmes, Mark J.
- 747-764 The relative efficiency of interest-free monetary system: some empirical evidence
by Darrat, Ali F.
- 765-777 Asset sales and takeover threats
by MacKinnon, Greg
- 779-802 Exogenous cash: testing financing constraints on inventory investment using dynamic panels with additional information from annual reports
by Wang, Hung-Jen
- 803-815 Dynamic interactions between Main Street and Wall Street
by Laopodis, Nikiforos T. & Sawhney, Bansi L.
2002, Volume 42, Issue 3
- 423-436 Too big to fail in banking: What remains?
by Kaufman, George G.
- 439-463 Event-study evidence of the value of relaxing long-standing regulatory restraints on banks, 1970-2000
by Carow, Kenneth A. & Kane, Edward J.
- 465-485 Capital market reactions to the passage of the Financial Services Modernization Act of 1999
by Carow, Kenneth A. & Heron, Randall A.
- 487-503 Wealth effects of banks' rights to market and originate annuities
by Cowan, Arnold R. & Howell, Jann C. & Power, Mark L.
- 505-527 Welfare effects of expanding banking organization opportunities in the securities arena
by Narayanan, Rajesh P. & Rangan, Nanda K. & Sundaram, Sridhar
- 529-542 Spurious inflation: The legacy of Laspeyres and others
by von Auer, Ludwig
- 543-575 Investigating the links between growth and real stock price changes with empirical evidence from the G-7 economies
by Hassapis, Christis & Kalyvitis, Sarantis
- 577-586 Lognormal option pricing for arbitrary underlying assets: a synthesis
by Rodriguez, Ricardo J.
- 587-598 Branch banking, economic diversity and bank risk
by Shiers, Alden F.
- 599-609 Fractional integration and mean reversion in stock prices
by Caporale, Guglielmo Maria & Gil-Alana, Luis A.
- 611-631 A comparative study of technical trading strategies and return predictability: an extension of Brock, Lakonishok, and LeBaron (1992) using NYSE and NASDAQ indices
by Kwon, Ki-Yeol & Kish, Richard J.
- 633-647 Competitive bank pricing and adverse selection, with implications for testing the SCP hypothesis
by Shaffer, Sherrill
2002, Volume 42, Issue 2
- 163-168 Oil and the economy: introduction
by Smith, James L.
- 169-191 World oil production & prices 1947-2000
by Adelman, M. A.
- 193-208 Energy prices and aggregate economic activity: an interpretative survey
by Brown, Stephen P. A. & Yucel, Mine K.
- 209-233 OPEC behavior, 1998-2001
by Kohl, Wilfrid L.
- 235-250 Energy security: is the wolf at the door?
by Bielecki, J.
- 251-272 A new political economy of oil
by Mitchell, John V.
- 273-284 It's not your father's oil industry anymore
by Olien, Roger M.
- 285-317 Smaller and smaller? The price responsiveness of nontransport oil demand
by Ryan, David L. & Plourde, Andre
- 319-334 Technology and the exploratory success rate in the U.S. onshore
by Forbes, Kevin F. & Zampelli, Ernest M.
- 335-372 Characteristics of North Sea oil reserve appreciation
by Watkins, G. C.
- 373-389 Forecasting oil supply: theory and practice
by Lynch, Michael C.
- 391-400 Sheep in wolves' clothing? Speculators and price volatility in petroleum futures
by Weiner, Robert J.
- 401-415 The role of inventories in oil market stability
by Jaffe, Amy Myers & Soligo, Ronald
- 417-421 Are minerals exhaustible?
by Houthakker, Hendrik S.
2002, Volume 42, Issue 1
- 1-17 The economics of regional economics associations
by Siegfried, John J.
- 19-39 Effects of insider trading under different market structures
by Jain, Neelam & Mirman, Leonard J.
- 41-57 An investigation of causality between insider transactions and stock returns
by Iqbal, Zahid & Shetty, Shekar
- 59-72 Insider trading and performance of seasoned equity offering firms after controlling for exogenous trading needs
by Lee, Inmoo
- 73-94 An investigation of insider trading profits in the Spanish stock market
by Del Brio, Esther B. & Miguel, Alberto & Perote, Javier
- 95-113 Time-varying estimates of the natural rate of unemployment: a revisitation of Okun's law
by Grant, Alan P.
- 115-141 The share market boom and the recent disinflation in the OECD countries: the tax-effects, the inflation-illusion and the risk-aversion hypotheses reconsidered1
by Madsen, Jakob B.
- 143-153 Assessing the impact of political unrest on currency returns: A look at Latin America
by Crowley, Frederick D. & Loviscek, Anthony L.
- 155-162 A note on stock market seasonality: The impact of stock price volatility on the application of dummy variable regression model
by Chien, Chin-Chen & Lee, Cheng-few & Wang, Andrew M. L.
2001, Volume 41, Issue 5
- 579-583 Introduction
by Baer, Werner & Cavalcanti, Tiago
- 585-607 Regulation policies towards utilities and competitive industries. The case of Argentina
by Artana, Daniel & Navajas, Fernando & Urbiztondo, Santiago
- 609-620 Privatization, regulation and income distribution in Brazil1
by Baer, Werner & Coes, Donald V.
- 621-643 Institutions for commitment in the Brazilian regulatory system
by Mueller, Bernardo
- 645-656 The changing nature of technological dependence: Brazil's public utilities before and after privatisation
by Amann, Edmund & Baer, Werner
- 657-681 The Mexican regulatory experience in the airline, banking and telecommunications sectors
by Ramirez, Miguel D.
- 683-711 Regulatory reform in Colombia's electric utilities
by Pombo, Carlos
- 713-725 After privatization: regulation of Peruvian public utilities
by Tavera, Jose A.
- 727-735 Failed reforms and economic collapse in Ecuador
by Nazmi, Nader
- 737-753 Privatization in Paraguay: some lessons
by Anibal Insfran Pelozo, Jose
- 755-770 The East German electric power industry: between national property and competition
by Birke, Anja & Hensel, Vanessa & Hirschfeld, Olaf & Lenk, Thomas
2001, Volume 41, Issue 4
- 441-460 A multivariate GARCH in mean approach to testing uncovered interest parity: evidence from Asia-Pacific foreign exchange markets
by Tai, Chu-Sheng
- 461-475 The determinants of the survival of realigned exchange rate arrangements in emerging economies
by Baek, In-Mee
- 477-490 Dynamic relationship between stock prices and exchange rates for G-7 countries
by Nieh, Chien-Chung & Lee, Cheng-Few
- 491-513 The effect of care quality on medical malpractice litigation
by Spurr, Stephen J. & Howze, Sandra
- 515-532 Supply shocks and the rationality of inflation forecasts
by Grant, Alan P. & Thomas, Lloyd B.
- 533-543 Federal grants and the flight to the suburbs1
by Temimi, Akram & Dix, Manfred
- 545-560 Random shocks in experimental spot and forward auction markets
by Phillips, Owen R. & Menkhaus, Dale J.
- 561-578 The evidence from Canadian firms on multinational diversification and performance
by Mathur, Ike & Singh, Manohar & Gleason, Kimberly C.
2001, Volume 41, Issue 3
- 295-311 The Industrial Revolution and the economic history of technology: Lessons from the British experience, 1760-1850
by Mokyr, Joel
- 313-334 Evidence of irreversibility in the UK property market
by Sing, Tien-Foo & Patel, Kanak
- 335-346 Time varying risk premia for real estate investment trusts: A GARCH-M model
by Devaney, Michael
- 347-364 A model for IPO pricing and contract choice decision
by Cho, Sung-II
- 365-385 Extreme-value and margin setting with and without price limits
by Broussard, John Paul
- 387-403 Does mutual fund disclosure at banks matter? Evidence from a survey of investors1
by Alexander, Gordon J. & Jones, Jonathan D. & Nigro, Peter J.
- 405-425 Health in the development process: The case of Brazil
by Baer, Werner & Campino, Antonio & Cavalcanti, Tiago
- 427-438 Effects of decision interval on optimal intertemporal portfolios with serially correlated returns
by Mitchell, Douglas W.
2001, Volume 41, Issue 2
- 137-165 Asymmetry in the effects of us government spending shocks: evidence and implications
by Kandil, Magda
- 167-181 The distributional implications of tax and transfer programs in US
by Zandvakili, Sourushe & Mills, Jeffrey A.
- 183-203 Asset markets, relative price shocks and trade anomalies in international real business cycle models
by Nadenichek, Jon
- 205-222 The performance of firms before and after they adopt accounting-based performance plans
by Brooks, Raymond M. & May, Don O. & Mishra, Chandra S.
- 223-238 Management turnover and executive compensation in synergistic takeovers
by Choi, Yoon K.
- 259-277 Non-reversed trade and equilibrium in forward exchange markets
by Blenman, Lloyd P. & Chen, Jianguo
- 279-294 The impact of margins in futures markets: evidence from the gold and silver markets
by Chatrath, Arjun & Adrangi, Bahram & Allender, Mary
2001, Volume 41, Issue 1
- 1-17 Investment timing decisions under threat of potential competition: Why firm size matters1
by Joaquin, Domingo Castelo & Khanna, Naveen
- 19-31 Government spending on public infrastructure, prices, production and international trade
by Anwar, Sajid
- 33-47 Leasing versus purchasing: Direct evidence on a corporation's motivations for leasing and consequences of leasing
by Ezzell, John R. & Vora, Premal P.
- 49-68 Tax rate uncertainty, labor supply and saving in a nonexpected utility maximizing model
by Basu, Parantap & Ghosh, Satyajit
- 69-88 Entry, financing, and bankruptcy decisions: The limited liability effect
by Jou, Jyh-Bang
- 89-110 Monitoring costs and trade credit
by Jain, Neelam
- 111-118 The credibility of the Colombian exchange rate target zone: Its impact over the volatility of interest rate differentials
by Galindo, Arturo Jose
- 119-135 Impact of liquidity on premia/discounts in closed-end funds
by Datar, Vinay
2000, Volume 40, Issue 4
- 417-430 Economics, economists, and public policy
by Woodbury, Stephen A.
- 431-449 Evidence on the financial characteristics of banks that do and do not use derivatives
by SinkeyJr., Joseph F. & Carter, David A.
- 451-466 Bank forbearance: A market-based explanation
by Schellhorn, Carolin D. & Spellman, Lewis J.
- 467-484 Acquisition activity of large depository institutions in the 1990s:: An empirical analysis of motives
by Ely, David P. & Song, Moon H.
- 485-502 Regulatory barriers to entry in the healthcare industry: the case of alternative medicine
by Anderson, Gary M. & Halcoussis, Dennis & Johnston, Linda & Lowenberg, Anton D.
- 503-517 Stranded costs, access charges, and Ramsey pricing in the U.S. electric utility industry
by Berry, S. Keith
- 519-532 Measuring and valuing intangible capital in the wireless communications industry
by Klock, Mark & Megna, Pamela
2000, Volume 40, Issue 3
- 295-301 The impact of women's employment on the distribution of earnings among married-couple households: a comparison between 1973 and 1992-1994
by Lehrer, Evelyn L.
- 303-323 An empirical analysis of state labor markets: has worker insecurity shifted wages in the 1990s?
by Partridge, Mark D. & Dalenberg, Douglas R.
- 325-336 Labor quality, natural unemployment, and US inflation
by Crary, David B.
- 337-354 A bivariate causality between stock prices and exchange rates: evidence from recent Asianflu
by Granger, Clive W. J. & Huangb, Bwo-Nung & Yang, Chin-Wei
- 355-374 Determinants of share price movements in emerging equity markets:: Some evidence from america's past
by Grossman, Peter Z.
- 375-386 Stock returns during the German hyperinflation
by Lee, S. R. & Tang, D. P. & Wong, K. Matthew
- 387-399 Small business financing sources between immigrants and natives in Puerto Rico
by Ruiz-Vargas, Yolanda
- 401-416 The impact of bank failures on local bank pricing decisions
by Hendrickson, Jill M.
2000, Volume 40, Issue 2