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Content
2018, Volume 54, Issue C
- 143-153 Modeling and forecasting multifractal volatility established upon the heterogeneous market hypothesis
by Tao, Qizhi & Wei, Yu & Liu, Jiapeng & Zhang, Ting
- 154-164 Closer monetary union and product market integration in emerging economies: Evidence from the Common Monetary Area in Southern Africa
by Nchake, Mamello A. & Edwards, Lawrence & Rankin, Neil
- 165-177 Can public subsidy on education necessarily improve wage inequality?
by Chaudhuri, Sarbajit & Ghosh, Arnab & Banerjee, Dibyendu
- 178-192 Yield curve interactions with the macroeconomic factors during global financial crisis among Asian markets
by Sowmya, Subramaniam & Prasanna, Krishna
- 193-205 Economic integration, border costs and FDI location: Evidence from the fifth European Union enlargement
by Jones, Jonathan & Serwicka, Ilona & Wren, Colin
- 206-217 Information cost or heterogeneous beliefs? An examination of the impact of value uncertainty on auction-style SEO discounts in China
by Yang, Mingjing & Cheng, Xiaoke & Chan, Kam C. & Gao, Shenghao
- 218-224 Financial development, institutional investors, and economic growth
by Ruiz, Jose L.
- 225-231 Objectives of governments in tax competition: Role of capital supply elasticity
by Wang, Wenming & Ogawa, Hikaru
- 232-243 Entry mode, technology transfer and management delegation of FDI
by Chen, Ho-Chyuan
- 244-261 The gains from trade in intermediate goods: A Ricardo-Sraffa-Samuelson model
by Soo, Kwok Tong
- 262-273 Multiproduct competition in a North-South model with technological differences
by Kim, Kyungmin
- 274-288 Punching out of one's weight class? Cross agreement retaliation in the WTO
by Hartigan, James C.
- 289-298 Foreign direct investment and export quality upgrading in China's manufacturing sector
by Anwar, Sajid & Sun, Sizhong
- 299-310 Does the debt tax shield distort ownership efficiency?
by Norbäck, Pehr-Johan & Persson, Lars & Tåg, Joacim
- 311-325 Foreign ownership and stock market liquidity
by Lee, Jieun & Chung, Kee H.
2018, Volume 53, Issue C
- 1-15 Is the idiosyncratic volatility anomaly driven by the MAX or MIN effect? Evidence from the Chinese stock market
by Wan, Xiaoyuan
- 16-24 Firm-asymmetry and strategic outsourcing
by Cao, Jiyun & Mukherjee, Arijit & Sinha, Uday Bhanu
- 25-38 Co-movement between equity and bond markets
by Sakemoto, Ryuta
- 39-56 Do bank-appointed directors affect corporate cash holding?
by Chauhan, Yogesh & Pathak, Rajesh & Kumar, Satish
- 57-70 The effects of government spending shocks on the trade account balance in Korea
by Kim, Hyeongwoo & Lee, Daeyup
- 71-87 A quantitative study on endogenous formation of comparative advantage in South Korea
by Sim, Seung-Gyu & Yoo, Dongwoo
- 88-97 New approaches to measure the social performance of microfinance institutions (MFIs)
by Bibi, Uzma & Balli, Hatice Ozer & Matthews, Claire D. & Tripe, David W.L.
- 98-108 Valuation and analysis of performance sensitive debt with contingent convertibility
by Ming, Lei & Yang, Shenggang & Song, Dandan
- 109-117 “How relevant is capital structure for aggregate investment? a regime-switching approach”
by Simmons-Süer, Banu
- 118-132 Idiosyncratic volatility, conditional liquidity and stock returns
by Malagon, Juliana & Moreno, David & Rodríguez, Rosa
- 133-150 Managing exchange rate exposure with hedging activities: New approach and evidence
by Bae, Sung C. & Kwon, Taek Ho & Park, Rae Soo
- 151-159 Optimal policy for attracting FDI: Investment cost subsidy versus tax rate reduction
by Tian, Yuan
- 160-167 Product quality, incomplete contract and the product cycle
by He, Huanlang & Yu, Zhihao
- 168-184 Does the predictive power of variable moving average rules vanish over time and can we explain such tendencies?
by Strobel, Marcus & Auer, Benjamin R.
- 185-202 Protecting health or protecting imports? Evidence from EU non-tariff measures
by Kareem, Fatima Olanike & Martínez-Zarzoso, Inmaculada & Brümmer, Bernhard
2017, Volume 52, Issue C
- 1-20 Social capital and corporate cash holdings
by Habib, Ahsan & Hasan, Mostafa Monzur
- 21-28 Treatment of endogenous monadic variables in gravity equations
by Bayar, Omer
- 29-38 Timing of entry and product location in a linear barbell model: Application to flexible manufacturing systems
by Sun, Chia-Hung
- 39-54 Trade credit, sovereign risk and monetary policy in Europe
by Cantero Sáiz, María & Sanfilippo Azofra, Sergio & Torre Olmo, Begoña & López Gutiérrez, Carlos
- 55-76 The effect of liquidity shocks on the bank lending channel: Evidence from India
by Mishra, Ankita & Burns, Kelly
- 77-90 Factor specificity and wage inequality in a developing economy: The role of technology and trade in Indian manufacturing
by Barua, Alokesh & Ghosh, Priyanta
- 91-106 Does higher bank concentration reduce the level of competition in the banking industry? Further evidence from South East Asian economies
by Khan, Habib Hussain & Kutan, Ali M. & Ahmad, Rubi Binti & Gee, Chan Sok
- 107-126 Multiple policy interest rates and economic performance in a multiple monetary-policy-tool environment
by Varlik, Serdar & Berument, M. Hakan
- 127-146 How institutional monitoring creates value: Evidence for the free cash flow hypothesis
by Karpavičius, Sigitas & Yu, Fan
- 147-164 Moral hazard, skin in the game regulation and CRA performance
by Ozerturk, Saltuk
- 165-187 Seeing is not necessarily the truth: Do institutional investors' corporate site visits reduce hosting firms' stock price crash risk?
by Gao, Shenghao & Cao, Feng & Liu, Xiangqiang
- 188-209 Detecting speculative bubbles under considerations of the sign asymmetry and size non-linearity: New international evidence
by Chen, Shyh-Wei & Xie, Zixiong
- 212-221 Confidence in Chinese monetary policy
by Zhang, Chengsi & Sun, Yuchen
- 222-235 Can income inequality explain China’s saving puzzle?
by Chu, Tianshu & Wen, Qiang
- 236-245 Is there inflation in China? Evidence by a unit root approach
by Liu, Tie-Ying & Chang, Hsu-Ling & Su, Chi-Wei & Lobonţ, Oana-Ramona
- 246-256 Housing prices and business cycle in China: A DSGE analysis
by He, Qing & Liu, Fangge & Qian, Zongxin & Tai Leung Chong, Terence
- 257-267 Bank financing, institutions and regional entrepreneurial activities: Evidence from China
by Hasan, Iftekhar & Kobeissi, Nada & Wang, Haizhi & Zhou, Mingming
- 268-288 Does credit market impede innovation? Based on the banking structure analysis
by Xin, Fu & Zhang, Jie & Zheng, Wenping
- 289-301 China’s electrical equipment manufacturing in the global value chain: A GVC income analysis based on World Input-Output Database (WIOD)
by Lu, Yingying
- 302-321 Does news matter in China’s foreign exchange market? Chinese RMB volatility and public information arrivals
by Ho, Kin-Yip & Shi, Yanlin & Zhang, Zhaoyong
- 322-329 China’s urban development policies and city growth dynamics: An analysis based on the Gibrat’s Law
by Fang, Li & Li, Peng & Song, Shunfeng
- 330-344 Heterogeneity in the intergenerational transmission of education and second generation rural-urban migrants
by Zhou, Dong & Xu, Junling
- 345-351 Property rights, labor mobility and collectivization: The impact of institutional changes on China’s agriculture in 1950–1978
by Sun, Shengmin & Lopez, Rigoberto & Liu, Xiaoou
- 352-367 Trade barrier and misallocations: The case of the photovoltaic manufacturing industry in China
by Chen, Yen-Po & Lai, Ting-Wei & Lee, Wen-Chieh & Li, Hao-Chung
- 368-379 Foreign buyers and housing price dynamics
by Tai, Meng-Yi & Hu, Shih-Wen & Chao, Chi-Chur & Wang, Vey
- 380-401 Internal imbalances in the monetary union with asymmetric openness
by Liu, Shih-Fu & Hwang, Yu-Ning & Lai, Ching-Chong
- 402-408 Asymmetric globalization and specialization
by Lee, Cheng-Te & Huang, Deng-Shing
- 409-426 The growth and welfare analysis of patent and monetary policies in a Schumpeterian economy
by Huang, Chien-Yu & Yang, Yibai & Cheng, Chu-Chuan
- 427-435 Product differentiation, research & development and IPR enforcement
by Nabin, Munirul H. & Visser, Robin & Sgro, Pasquale M.
- 436-445 Explaining the nonlinearity of inflation and economic growth: The role of tax evasion
by Hung, Fu-Sheng
- 446-456 Input price discrimination, technology licensing and social welfare
by Kao, Kuo-Feng & Hwang, Hong
2017, Volume 51, Issue C
- 1-18 Stock market and exchange rate information in the Taylor rule: Evidence from OECD countries
by Heimonen, Kari & Junttila, Juha & Kärkkäinen, Samu
- 19-35 Path dependent and heterogeneity effects in investment risk ratings: A cross-country evidence
by Rakotoarisoa, Manitra A.
- 36-59 Mutual information and persistence in the stochastic volatility of market returns: An emergent market example
by Dima, Bogdan & Dima, Ştefana Maria
- 60-81 Evaluating exchange rate forecasts along time and frequency
by Caraiani, Petre
- 82-98 Family ownership and financial performance relations in emerging markets
by Wang, Kun Tracy & Shailer, Greg
- 99-106 Implications of fund manager turnover in China
by Wang, Yaping & Ko, Kwangsoo
- 107-120 The impact of CEO power on corporate capital structure: New evidence from dynamic panel threshold analysis
by Chao, Chi Chur & Hu, May & Munir, Qaiser & Li, Tongxia
- 121-144 Economic forecast and corporate leverage choices: The role of the institutional environment
by Pindado, Julio & Requejo, Ignacio & Rivera, Juan C.
- 145-156 Input trade reform and wage inequality
by Mukherjee, Soumyatanu
- 157-173 Time-varying return-volatility relation in international stock markets
by Jin, Xiaoye
- 174-192 Firm-specific stock and bond predictability: New evidence from Canada
by Cao, N. & Galvani, V. & Gubellini, S.
- 193-213 Bond market integration in East Asia: Multivariate GARCH with dynamic conditional correlations approach
by Tsukuda, Yoshihiko & Shimada, Junji & Miyakoshi, Tatsuyoshi
- 214-234 Stock liquidity and second blockholder as drivers of corporate value: Evidence from Latin America
by Pombo, Carlos & Taborda, Rodrigo
- 235-244 Did the Bundesbank react to the US dollar exchange rate?
by Eleftheriou, Maria
- 245-257 Markov-switching analysis of exchange rate pass-through: Perspective from Asian countries
by Baharumshah, Ahmad Zubaidi & Soon, Siew-Voon & Wohar, Mark E.
- 258-272 Does IPO subscription demand affect investor herd behavior in Taiwan?
by Wang, Chao-Shi & Tang, Hui-Wen & Chen, Roger C.Y.
- 273-282 Sudden stops, limited enforcement, and optimal reserves
by Kim, Yun Jung
- 283-294 The efficiency of the art market: Evidence from variance ratio tests, linear and nonlinear fractional integration approaches
by Aye, Goodness C. & Gil-Alana, Luis A. & Gupta, Rangan & Wohar, Mark E.
- 295-313 The effects of affiliations on the initial public offering pricing
by Geranio, Manuela & Mazzoli, Camilla & Palmucci, Fabrizio
- 314-327 What drives dynamic comovements of stock markets in the Pacific Basin region?: A quantile regression approach
by Lee, Hyunchul & Cho, Seung Mo
- 328-341 Agricultural R&D, policies, (in)determinacy, and growth
by Lai, Chung-Hui & Hu, Shih-Wen & Wang, Vey & Chao, Chi-Chur
- 342-353 Merge to be too big to fail: A real option approach
by Zhu, Jiaqing & Li, Guangzhong & Li, Jie
- 354-369 Growth option, contingent capital and agency conflicts
by Tan, Yingxian & Yang, Zhaojun
- 370-390 Foreign exchange intervention in Asian countries: What determine the odds of success during the credit crisis?
by Chang, Mei-Ching & Suardi, Sandy & Chang, Yuanchen
- 391-404 The effects of R&D and competition on firm value: International evidence
by Gupta, Kartick & Banerjee, Rajabrata & Onur, Ilke
- 405-416 Does the reserve options mechanism really decrease exchange rate volatility? The synthetic control method approach
by Aytuğ, Hüseyin
- 417-430 Not all firms react the same to exchange rate volatility? A firm level study
by Tunc, Cengiz & Solakoglu, M. Nihat
- 431-443 Does equalization transfer enhance partial tax cooperation?
by Wang, Wenming & Kawachi, Keisuke & Ogawa, Hikaru
- 444-454 Consumers awareness and environmental policy in differentiated mixed oligopoly
by Hsu, Chu-Chuan & Lee, Jen-Yao & Wang, Leonard F.S.
- 455-469 Acquisition or direct entry, technology transfer, and FDI policy liberalization
by Ghebrihiwet, Nahom
- 470-486 Heterogeneity in the debt-growth nexus: Evidence from EMU countries
by Gómez-Puig, Marta & Sosvilla-Rivero, Simón
- 487-509 Herding within industries: Evidence from Asian stock markets
by Zheng, Dazhi & Li, Huimin & Chiang, Thomas C.
- 510-526 Financial ratios and bankruptcy predictions: An international evidence
by Tian, Shaonan & Yu, Yan
- 527-534 Production and hedging under state-dependent preferences and background risk
by Wong, Kit Pong
- 535-544 Production fragmentation and factor price convergence
by Saygılı, Hülya
- 545-561 International R&D funding and patent collateral in an R&D-based growth model
by Huang, Wei-Chi & Lai, Ching-Chong & Chen, Ping-Ho
- 562-573 Hierarchy, cluster, and time-stable information structure of correlations between international financial markets
by Cai, Yumei & Cui, Xiaomei & Huang, Qianyun & Sun, Jianqiang
- 574-598 Real determinants of stock split announcements
by Hu, May & Chao, Chi-Chur & Malone, Chris & Young, Martin
- 599-620 Threshold effects of financial stress on monetary policy rules: A panel data analysis
by Floro, Danvee & van Roye, Björn
- 621-644 Macroeconomic factors and equity premium predictability
by Buncic, Daniel & Tischhauser, Martin
- 645-659 Firm heterogeneity and the market scope of European multinational activity
by Alguacil, Maite & Martí, Josep & Orts, Vicente
- 660-676 Volatility and public information flows: Evidence from disclosure and media coverage in the Japanese stock market
by Aman, Hiroyuki & Moriyasu, Hiroshi
2017, Volume 50, Issue C
- 1-7 Ex-ante versus ex-post privatization policies with foreign penetration in free-entry mixed markets
by Xu, Lili & Lee, Sang-Ho & Matsumura, Toshihiro
- 8-22 Hot money and cross-section of stock returns during the global financial crisis
by Kim, Daehwan & Iwasawa, Seiichiro
- 23-48 Estimating the effects of FX-related macroprudential policies in Korea
by Kim, Kyungmin & Lee, Joo Yong
- 49-64 Exploring international linkages using generalised connectedness measures: The case of Korea
by Park, Hail & Shin, Yongcheol
- 65-74 The impact of financial development on income convergence: An application of two exogenous growth models
by Ranjbar, Omid & Rassekh, Farhad
- 75-84 A convenient method for the estimation of ARDL parameters and test statistics: USA trade balance and real effective exchange rate relation
by Arize, Augustine C.
- 85-97 Momentum returns, market states, and market dynamics: Is China different?
by Cheema, Muhammad A. & Nartea, Gilbert V.
- 98-105 Lobbying for a Common External Tariff from inside and out
by Bandyopadhyay, Subhayu & Lahiri, Sajal
- 106-121 Further evidence on bear market predictability: The role of the external finance premium
by Chen, Nan-Kuang & Chen, Shiu-Sheng & Chou, Yu-Hsi
- 122-135 Production and hedging with optimism and pessimism under ambiguity
by Lien, Donald & Yu, Chia-Feng (Jeffrey)
- 136-174 Impacts of oil price shocks on Chinese stock market liquidity
by Zheng, Xinwei & Su, Dan
- 175-195 How product market competition and complexity influence the on-job-learning effect and entrenchment effect of board tenure
by Lu, Cheng-Shou & Chen, Anlin & Kao, Lanfeng
- 196-244 Effect of credibility and exchange rate pass-through on inflation: An assessment for developing countries
by de Mendonça, Helder Ferreira & Tiberto, Bruno Pires
- 245-260 The terms of trade, the external balance, and the size of the net foreign asset position
by Erauskin, Iñaki & Gardeazabal, Javier
- 261-274 Pricing corporate bonds and constructing credit curves in a developing country: The case of the Taiwan bond fund crisis
by Lee, Shyan Yuan & Chiou, Wan-Jiun Paul & Chung, Yi-Fang
- 275-304 Corporate governance and stock liquidity dimensions: Panel evidence from pure order-driven Australian market
by Ali, Searat & Liu, Benjamin & Su, Jen Je
2017, Volume 49, Issue C
- 1-16 Stochastic volatility vs. jump diffusions: Evidence from the Chinese convertible bond market
by Fan, Chenxi & Luo, Xingguo & Wu, Qingbiao
- 17-57 Does institutional ownership influence firm performance? Evidence from China
by Lin, Yongjia Rebecca & Fu, Xiaoqing Maggie
- 58-68 Mixed duopoly with foreign firm and subcontracting
by Lyu, Yuanzhen & Shuai, Jie
- 69-83 Forecasting stock index futures returns with mixed-frequency sentiment
by Gao, Bin & Yang, Chunpeng
- 84-101 Corporate credit ratings: Selection on size or productivity?
by Bakhtiari, Sasan
- 102-111 Spillover effects of debt and growth in the euro area: Evidence from a GVAR model
by Kempa, Bernd & Khan, Nazmus Sadat
- 112-124 Cointegrated market-neutral strategy for basket trading
by Yu, Philip L.H. & Lu, Renjie
- 125-148 Credit, Endogenous Collateral and Risky Assets: A DSGE Model
by Falagiarda, Matteo & Saia, Alessandro
- 149-167 Realized volatility transmission from crude oil to equity sectors: A study with economic significance analysis
by Kumar, Dilip
- 168-189 Conditional asset pricing in international equity markets
by Huynh, Thanh D.
- 190-210 The optimal stringency of accounting regulation to alleviate time inconsistency problems
by Kang, Seongill
- 211-222 Empirical conditional quantile test for purchasing power parity: Evidence from East Asian countries
by Ma, Wei & Li, Haiqi & Park, Sung Y.
- 223-242 Learning about the interdependence between the macroeconomy and the stock market
by Milani, Fabio
- 243-254 The macroeconomic impact of foreign exchange intervention: An empirical study of Thailand
by Kubo, Akihiro
- 255-265 Effect of net foreign assets on persistency of time-varying risk premium: Evidence from the Dollar-Yen exchange rate
by Shimizu, Makoto
- 266-275 Companies intangibles: Unique versus generic
by Parshakov, Petr & Zavertiaeva, Marina
- 276-291 Realized volatility forecast of agricultural futures using the HAR models with bagging and combination approaches
by Yang, Ke & Tian, Fengping & Chen, Langnan & Li, Steven
- 292-312 Capital structure and corporate reaction to negative stock return shocks
by Won Seo, Sung & Jin Chung, Hae
- 313-326 Do exchange rate changes improve the trade balance: An asymmetric nonlinear cointegration approach
by Arize, Augustine C. & Malindretos, John & Igwe, Emmanuel U.
- 327-339 Time-varying risk aversion and return predictability
by Yoon, Sun-Joong
- 340-352 Real exchange rate returns and real stock price returns
by Wong, Hock Tsen
- 353-369 The dynamic and asymmetric herding behavior of US equity fund managers in the stock market
by Fang, Hao & Shen, Chung-Hua & Lee, Yen-Hsien
- 370-385 Effects of the shareholder base on firm behavior and firm value in China
by Yung, Kenneth & Jian, Yi
- 386-421 Macroeconomic Dynamics in Korea during and after the Global Financial Crisis: A Bayesian DSGE Approach
by Kang, Hyunju & Suh, Hyunduk
- 422-436 The effect of diversification on auditor selection in business groups: A case from Taiwan
by Chang, Wen-Ching & Lin, Huey-Yeh & Koo, Meihua
- 437-452 Effects of directors and officers liability insurance on accounting restatements
by Weng, Tzu-Ching & Chen, Guang-Zheng & Chi, Hsin-Yi
- 453-483 Time-varying causality between crude oil and stock markets: What can we learn from a multiscale perspective?
by Jammazi, Rania & Ferrer, Román & Jareño, Francisco & Shahzad, Syed Jawad Hussain
- 484-498 Co-movements of returns in the health care sectors from the US, UK, and Germany stock markets: Evidence from the continuous wavelet analyses
by Chen, Mei-Ping & Chen, Wen-Yi & Tseng, Tseng-Chan
- 499-514 Total factor productivity or labor productivity? Firm heterogeneity and location choice of multinationals
by Tang, Meng-Chi
- 515-535 Ownership level choice and value creation in international joint ventures: The role of investor protection
by Aguir, Iness & Misra, Lalatendu
- 536-547 Does the crude oil price influence the exchange rates of oil-importing and oil-exporting countries differently? A wavelet coherence analysis
by Yang, Lu & Cai, Xiao Jing & Hamori, Shigeyuki
- 548-567 The dynamic effects of quantitative easing on stock price: Evidence from Asian emerging markets, 2001–2016
by Miyakoshi, Tatsuyoshi & Shimada, Junji & Li, Kui-Wai
- 568-581 Borrowing constraint, heterogeneous production sectors and policy implications: The case of China
by Wang, Ren & Hou, Jie & He, Xiaobei & Song, Hui
- 582-595 International trade and quality of labour
by Chaudhuri, Sarbajit & Marjit, Sugata
- 596-611 Optimal capital structure and credit spread under incomplete information
by Liu, Bo & Liu, Yang & Peng, Juan & Yang, Jinqiang
2017, Volume 48, Issue C
- 1-17 Does gold hedge stock market, inflation and exchange rate risks? An econometric investigation
by Iqbal, Javed
- 18-33 Measuring uncertainty in the stock market
by Chuliá, Helena & Guillén, Montserrat & Uribe, Jorge M.
- 34-48 Causality between oil prices and the stock market in China: The relevance of the reformed oil product pricing mechanism
by Bouri, Elie & Chen, Qian & Lien, Donald & Lv, Xin
- 49-55 The German motor vehicle industry: Costs and crisis
by Truett, Lila J. & Truett, Dale B.
- 69-82 Exchange rate pass through, cost channel to monetary policy transmission, adaptive learning, and the price puzzle
by Ali, Syed Zahid & Anwar, Sajid
- 83-97 How does banking sector globalization affect economic growth?
by Ghosh, Amit
- 98-115 Liquidity basis between credit default swaps and corporate bonds markets
by Kim, Kwanho
- 116-133 Underfunding or distress? An analysis of corporate pension underfunding and the cross-section of expected stock returns
by Tao, Qizhi & Chen, Carl & Lu, Rui & Zhang, Ting
- 134-147 Product-market competitiveness and investor reaction to corporate governance failures
by Gupta, Atul & Misra, Lalatendu & Shi, Yilun
- 148-160 Nonlinear relationship between institutional factors and FDI flows: Dynamic panel threshold analysis
by Kurul, Zühal
- 161-178 Cost efficiency and technological gap in Western European banks: A stochastic metafrontier analysis
by Lee, Chi-Chuan & Huang, Tai-Hsin
- 179-200 Time-varying return predictability in South Asian equity markets
by Rahman, Md. Lutfur & Lee, Doowon & Shamsuddin, Abul
- 201-211 The IA-CEPA and sector adjustments: A specific-factors model of production
by Toledo, Hugo
- 212-234 Strategic risk-taking and value creation: Evidence from the market for corporate control
by Hegde, Shantaram P. & Mishra, Dev R.
- 235-254 Overvaluation and the cost of bank debt
by Chiou, Chyi-Lun & Shu, Pei-Gi
- 255-268 Dividends and earnings quality: Evidence from China
by Deng, Lu & Li, Sifei & Liao, Mingqing
- 269-279 Do cay and cayMS predict stock and housing returns? Evidence from a nonparametric causality test
by Balcilar, Mehmet & Gupta, Rangan & Sousa, Ricardo M. & Wohar, Mark E.
- 280-288 Foreign capital, pollution control, and wage inequality in developing countries
by Pi, Jiancai & Zhang, Pengqing
- 289-308 Sudden stops of capital flows to emerging markets: A new prediction approach
by Suh, Sangwon
- 309-325 Dynamic conditional correlations between Chinese sector returns and the S&P 500 index: An interpretation based on investment shocks
by Kim, Myeong Hyeon & Sun, Lingxia
- 326-338 Optimal capital structure with moral hazard
by Mu, Congming & Wang, Anxing & Yang, Jinqiang
- 339-354 Asymmetric adjustment and smooth breaks in dividend yields: Evidence from international stock markets
by Chen, Shyh-Wei & Xie, Zixiong
- 355-366 Is the price path learnable under a fixed exchange rate regime?
by Lin, Yo-Long
- 367-388 Different strokes by different folks: The dynamics of hedge fund systematic risk exposure and performance
by Huang, Ying Sophie & Chen, Carl R. & Kato, Isamu
- 389-405 Choices and impacts of cross-licensing contracts
by Zhao, Dan
- 406-422 Does fairness breed efficiency? Pay gap and firm productivity in China
by Dai, Yunhao & Kong, Dongmin & Xu, Jin
- 423-439 Investor attention and the expected returns of reits
by Yung, Kenneth & Nafar, Nadia
- 440-451 Overnight returns of stock indexes: Evidence from ETFs and futures
by Liu, Qingfu & Tse, Yiuman
- 452-477 Macroeconomic factors and index option returns
by Lai, Ya-Wen
- 478-491 Inflation and consumption of nontradable goods: Global implications from regional analyses
by Nagayasu, Jun
- 492-512 The growth effects of financial openness and exchange rates
by Rodriguez, Cesar M.
2017, Volume 47, Issue C
- 1-21 Nonlinear relationship between CEO power and capital structure: Evidence from China's listed SMEs
by Li, Tongxia & Munir, Qaiser & Abd Karim, Mohd Rahimie
- 22-34 Diffusion of optimistic and pessimistic investor sentiment: An empirical study of an emerging market
by Tsai, I-Chun
- 35-45 Export profitability, competition and technology
by Marjit, Sugata & Ray, Moushakhi
- 46-61 Directional and bidirectional causality between U.S. industry credit and stock markets and their determinants
by Shahzad, Syed Jawad Hussain & Nor, Safwan Mohd & Hammoudeh, Shawkat & Shahbaz, Muhammad
- 62-69 Do analysts' forecasts of term spread differential help predict directional change in exchange rates?
by Baghestani, Hamid & Toledo, Hugo
- 70-87 The effects of expectations-based monetary policy on international stock markets: An application of heterogeneous agent model
by Hung, Kuo-Che & Ma, Tai
- 88-100 Pseudo market-makers, market quality and the minimum tick size
by Lepone, Andrew & Wong, Jin Boon
- 101-114 Catching up or drifting apart: Convergence of household and business credit in Europe
by Bahadir, Berrak & Valev, Neven
- 115-127 Momentum in strategic asset allocation
by Wu, Hui & Ma, Chaoqun & Yue, Shengjie
- 128-142 Government interventions and equity liquidity in the sub-prime crisis period: Evidence from the ETF market
by Chiu, Junmao & Tsai, Kunchi
- 143-158 Strategic merger decisions across business cycles: Evidence from bidders' time-varying appetite for operating leverage
by Chung, Chune Young & Hur, Seok-Kyun & Wang, Kainan
- 159-175 Volatility Spillovers from Australia's major trading partners across the GFC
by Allen, David E. & McAleer, Michael & Powell, Robert J. & Singh, Abhay K.
- 176-200 Uncertainty and corporate R&D investment: Evidence from Chinese listed firms
by Wang, Yizhong & Wei, Yueling & Song, Frank M.