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Content
2020, Volume 65, Issue C
2019, Volume 64, Issue C
- 1-8 Foreign aid, human capital acquisition and educated Unemployment:Fish or fishing
by Liu, Xiangbo & Fan, Hua & Chao, Chi-Chur & Yu, Eden S.H.
- 9-28 A futures pricing model with long-term and short-term traders
by Gao, Bin & Xie, Jun & Jia, Yun
- 29-40 Goodness of governance effect on European banking efficiency
by Pérez-Cárceles, María Concepción & Gómez-García, Juan & Gómez Gallego, Juan Cándido
- 41-61 Asset prices with stochastic volatilities and a UIP puzzle
by Lee, Eunhee
- 62-83 Transmission of uncertainty shocks: Learning from heterogeneous responses on a panel of EU countries
by Claeys, Peter & Vašíček, Bořek
- 84-101 Market structure, performance, and efficiency: Evidence from the MENA banking sector
by González, Luis Otero & Razia, Alaa & Búa, Milagros Vivel & Sestayo, Rubén Lado
- 102-121 The economic sources of China's CSI 300 spot and futures volatilities before and after the 2015 stock market crisis
by Chen, Qiang & Gong, Yuting
- 122-146 The dynamics of finance-growth nexus in advanced economies
by Swamy, Vighneswara & Dharani, Munusamy
- 147-164 How does the Chinese economy react to uncertainty in international crude oil prices?
by Cheng, Dong & Shi, Xunpeng & Yu, Jian & Zhang, Dayong
- 165-175 Do stock markets follow a random walk? New evidence for an old question
by Durusu-Ciftci, Dilek & Ispir, M. Serdar & Kok, Dundar
- 176-194 Effectiveness of capital account regulation: Lessons from Brazil and Peru
by Aguirre, Pablo & Alonso, José Antonio & Jerez, Miguel
- 195-216 Financialization and commodity excess spillovers
by Liu, Lu & Zhang, Xiang
- 217-241 Global inflation dynamics and inflation expectations
by Feldkircher, Martin & Siklos, Pierre L.
- 242-270 Ambiguity and capital structure adjustments
by Ban, Mingyuan & Chen, Chang-Chih
- 271-289 Is CEO pay disparity relevant to seasoned bondholders?
by Huang, Guan-Ying & Huang, Henry H. & Lee, Chun I
- 290-307 Financial systemic risk measurement based on causal network connectedness analysis
by Gong, Xiao-Li & Liu, Xi-Hua & Xiong, Xiong & Zhang, Wei
- 308-322 Bank regulation and efficiency: Evidence from transition countries
by Djalilov, Khurshid & Piesse, Jenifer
- 323-342 Does analyst information influence the cost of debt? Some international evidence
by Ferrer, Elena & Santamaría, Rafael & Suárez, Nuria
- 343-358 Carry trades, agent heterogeneity and the exchange rate
by Li, Xiao-Ping & Zhou, Chun-Yang & Tong, Bin
- 359-376 Comprehensive performance evaluation of banking branches: A three-stage slacks-based measure (SBM) data envelopment analysis
by Mahmoudabadi, Mohammad Zarei & Emrouznejad, Ali
- 377-392 The effects of economic policy uncertainty on outward foreign direct investment
by Hsieh, Hui-Ching & Boarelli, Sofia & Vu, Thi Huyen Chi
- 393-411 Board gender diversity and the technical efficiency of microfinance institutions: Does size matter?
by Adusei, Michael
- 412-426 Volatility information trading in the index options market: An intraday analysis
by Yang, Heejin & Kutan, Ali M. & Ryu, Doojin
- 427-442 Women on boards, firm risk and the profitability nexus: Does gender diversity moderate the risk and return relationship?
by Nadeem, Muhammad & Suleman, Tahir & Ahmed, Ammad
- 443-464 Swarm intelligence? Stock opinions of the crowd and stock returns
by Breitmayer, Bastian & Massari, Filippo & Pelster, Matthias
- 465-475 The cost of speaking in two tongues
by Xing, Cunyu & Li, Yanglei
- 476-492 A re-evaluation of the term spread as a leading indicator
by Plakandaras, Vasilios & Gogas, Periklis & Papadimitriou, Theophilos & Gupta, Rangan
- 493-512 The interaction of quantity and quality of finance: Did it make industries more resilient to the recent global financial crisis?
by Mirzaei, Ali & Grosse, Robert
- 513-528 What is the real relationship between cash holdings and stock returns?
by Chuan ‘Chewie’ Ang, Tze & Lam, F.Y. Eric C. & Ma, Tai & Wang, Shujing & Wei, K.C. John
- 529-540 Can export tax rebate alleviate financial constraint to increase firm productivity? Evidence from China
by Zhang, Dongyang
- 541-556 Comovement and disintegration of EU sovereign bond markets during the crisis
by Vácha, Lukáš & Šmolík, Filip & Baxa, Jaromír
- 557-571 Price discovery in the price disagreement between equity and option markets: Evidence from SSE ETF50 options of China
by Liu, Dehong & Qiu, Qi & Hughen, J. Christopher & Lung, Peter
- 572-585 Trading hours extension and intraday price behavior
by Miwa, Kotaro
- 586-599 Idiosyncratic risk, managerial discretion and capital structure
by Gan, Liu & Xia, Xin
- 600-611 Financial development and the composition of government expenditure: Theory and cross-country evidence
by Chen, Zhigang & Lv, Bingyang & Liu, Yongzheng
- 612-624 An analytical measure of market underreaction to earnings news
by Chung, Kee H. & Kim, Oliver & Lim, Steve C. & Yang, Sean
- 625-640 The information content of realized volatility of sector indices in China’s stock market
by Lin, Tiantian & Liu, Dehong & Zhang, Lili & Lung, Peter
- 641-656 Legal systems and the financing of working capital
by Troilo, Michael & Walkup, Brian R. & Abe, Masato & Lee, Seulki
2019, Volume 63, Issue C
- 4-23 Does quasi-mandatory dividend rule restrain overinvestment?
by Wei, Xiaoquan & Wang, Chunfei & Guo, Yunnan
- 24-36 Motives for corporate philanthropy propensity: Does short selling matter?
by Hou, Deshuai & Meng, Qingbin & Zhang, Kai & Chan, Kam C.
- 37-60 The impact of analyst coverage on partial acquisitions: Evidence from M&A premium and firm performance in China
by Li, Ying & Lu, Miao & Lo, Y. Ling
- 61-75 CEO media exposure, political connection and Chinese firms' stock price synchronicity
by Li, Xiaoqing & Qiao, Penghua & Zhao, Lin
- 76-93 The impact of corporate social responsibility on financial constraints: Does the life cycle stage of a firm matter?
by Zhao, Tianjiao & Xiao, Xiang
- 94-110 Do political connections enhance or impede corporate innovation?
by Su, Zhong-qin & Xiao, Zuoping & Yu, Lin
- 111-127 The anchoring effect of underwriters' proposed price ranges on institutional investors' bid prices in IPO auctions: Evidence from China
by Gao, Shenghao & Cao, Feng & Fok, Robert (Chi-Wing)
- 128-137 Political connection and stock returns: Evidence from party alternation in Taiwan
by Lee, Jen-Sin & Yen, Pi-Hsia & Lee, Liang-Chien
- 138-151 Risk disclosure in annual reports and corporate investment efficiency
by Li, Yanqiong & He, Jie & Xiao, Min
- 152-162 How does customer concentration affect informal financing?
by Peng, Xuan & Wang, XiongYuan & Yan, Lina
- 163-175 CEO effects on the IPO market under different policy regimes: Evidence from the Chinese SME board
by Ge, Yuanjing & Guo, Haifeng & Fung, Hung-Gay & Guang, Kuncheng
- 176-197 Effects of shadow banking on bank risks from the view of capital adequacy
by Wu, Meng-Wen & Shen, Chung Hua
- 198-208 How does analyst forecast dispersion affect SEO discounts in uniform-price auction system? Evidence from investor bids in China
by Yang, Mingjing & Cheng, Xiaoke & Sun, Qian & Lu, Chao
- 209-225 Independent director connectedness in China: An examination of the trade credit financing hypothesis
by Xia, Changyuan & Zhang, Xiaowei & Cao, Chunfang & Xu, Nan
- 226-239 Do insiders share pledging affect executive pay-for-performance sensitivity?
by Ouyang, Caiyue & Xiong, Jiacai & Fan, Lyu
- 240-252 Local corruption and stock price crash risk: Evidence from China
by Cao, Peng & Qin, Lu & Zhu, Hongquan
- 253-272 What role does the investor-paid rating agency play in China? Competitor or information provider
by Huang, Yu-Li & Shen, Chung-Hua
- 273-283 The impact of government property right law on collateral loans: A quasi-natural experiment based on the enactment of Chinese property law
by Zeng, Jing & Wang, Xiongyuan & Xiao, Min
- 284-296 The power of sharing: Evidence from institutional investor cross-ownership and corporate innovation
by Gao, Kaijuan & Shen, Hanxiao & Gao, Xi & Chan, Kam C.
- 297-312 Is the squeaky wheel getting the grease? Earnings management and government subsidies
by Zhao, Yujie & Zhou, Donghua & Zhao, Kangsheng & Zhou, Ping
- 313-328 Portfolio rebalancing behavior with operating losses and investment regulation
by Boyer, M. Martin & Cowins, Elicia P. & Reddic, Willie D.
- 329-338 Determinants of sector of holders international equity holdings
by Balli, Faruk & Balli, Hatice Ozer & Basher, Syed Abul & Karimova, Amira & Wang, Aihua
- 339-363 Bandwagon effect: Special dividend payments
by Hu, May & Tuilautala, Mataiasi & Kang, Yuni
- 364-381 Trade and financial channels as the transmission mechanism of the financial crisis
by Shikimi, Masayo & Yamada, Kazuo
- 382-396 Import competition and financial flexibility: Evidence from corporate payout policy
by Booth, Laurence & Wang, Mengying & Zhou, Jun
- 397-411 The performance of technical trading rules in Socially Responsible Investments
by Urquhart, Andrew & Zhang, Hanxiong
- 412-422 Inflation of home appraisal values and the access to mortgage loans of credit constrained borrowers
by Diaz-Serrano, Luis
- 423-433 Earnings management and convertible preferred stock calls
by Omar, Ayishat & Tang, Alex P.
- 434-454 Female CFOs and corporate cash holdings: Precautionary motive or agency motive?
by Xu, Xixiong & Li, Wanli & Li, Yaoqin & Liu, Xing
2019, Volume 62, Issue C
- 1-19 Predicting corporate bankruptcy: What matters?
by Li, Leon & Faff, Robert
- 20-40 Asymmetric jump beta estimation with implications for portfolio risk management
by Alexeev, Vitali & Urga, Giovanni & Yao, Wenying
- 41-52 Are Chinese and international oil markets integrated?
by Zhang, Bing
- 53-65 Asset price effects of peer benchmarking: Evidence from a natural experiment
by Pedraza, Alvaro & Pulga, Fredy
- 66-78 Financial reforms and corruption: Evidence using GMM estimation
by Jha, Chandan Kumar
- 79-86 Assessing the effects of disruptive events on technology firms using non-negative matrix factorization
by Pineiro-Chousa, Juan & Vizcaíno-González, Marcos & Ribeiro-Navarrete, Belén
- 87-105 Momentum or contrarian trading strategy: Which one works better in the Chinese stock market
by Yu, Lin & Fung, Hung-Gay & Leung, Wai Kin
- 106-120 Nash equilibrium in tax and public investment competition
by Sharma, Ajay & Pal, Rupayan
- 121-130 Mixed oligopoly with state holding corporations and consumer-friendly firm
by Dong, Quan & Wang, Leonard F.S.
- 131-152 Risk shifting consequences depending on manager characteristics
by Andreu, Laura & Sarto, José Luis & Serrano, Miguel
- 153-159 Dynamic responses of real output to financial spreads
by Huang, Yu-Fan
- 160-179 The ‘smart money effect’ among socially responsible mutual fund investors
by Muñoz, Fernando
- 180-195 Do the intellectual property rights of regional trading arrangements impact foreign direct investment? An empirical examination
by Ghosh, Sucharita & Yamarik, Steven
- 196-212 It's not austerity. Or is it? Assessing the effect of austerity on growth in the European Union, 2010-15
by Fragetta, Matteo & Tamborini, Roberto
- 213-229 State interventions to rescue banks during the global financial crisis
by Abreu, José Filipe & Alves, Marta Guerra & Gulamhussen, Mohamed Azzim
- 230-239 Licensing, entry, and privatization
by Wang, Leonard F.S. & Zeng, Chenhang
- 240-266 Forward-looking information on growth and uncertainty implied by derivative securities: Evidence from an emerging market
by Yen, Yu-Min
- 267-286 Predictive power of dividend yields and interest rates for stock returns in South Asia: Evidence from a bias-corrected estimator
by Rahman, Md Lutfur & Shamsuddin, Abul & Lee, Doowon
- 287-308 External growth opportunities and a firm's financing policy
by Karpavičius, Sigitas & Yu, Fan
- 309-320 Asymmetric relationship between order imbalance and realized volatility: Evidence from the Australian market
by Bissoondoyal-Bheenick, Emawtee & Brooks, Robert & Do, Hung Xuan
- 321-331 Foreign direct investment and credit market reform in a developing economy: Could these be alternative policies?
by Chaudhuri, Sarbajit & Chaudhuri, Salonkara
- 332-354 Patent protection and R&D subsidy under asymmetric information
by Jeon, Haejun
- 355-378 Asset correlation and bank capital regulation: A macroprudential perspective
by Suh, Sangwon
2019, Volume 61, Issue C
- 1-16 Financial development, inequality, and poverty: Some international evidence
by Zhang, Ruixin & Ben Naceur, Sami
- 17-34 Does underwriter rating matter? Evidence from seasoned equity offerings in an emerging market
by Wang, Xiongyuan & Zhang, Linlang & Chan, Kam C. & He, Jie
- 35-51 Cash holding and over-investment behavior in firms with problem directors
by Bhuiyan, Md Borhan Uddin & Hooks, Jill
- 52-68 A dynamic network DEA model for accounting and financial indicators: A case of efficiency in MENA banking
by Wanke, Peter & Abul Kalam Azad, Md & Emrouznejad, Ali & Antunes, Jorge
- 69-90 How do regulatory ability and bank competition affect the adoption of explicit deposit insurance scheme and banks’ risk-taking behavior?
by Qian, Ningyu & Zhang, Kezhong & Zheng, Changjun & Ashraf, Badar Nadeem
- 91-107 The role of real options in the takeover premia in mergers and acquisitions
by Barbopoulos, Leonidas G. & Cheng, Louis T.W. & Cheng, Yi & Marshall, Andrew
- 108-127 A theory of political connections and financial outcomes
by O'Connor Keefe, Michael
- 128-140 Financial conditions and economic growth
by Inekwe, John Nkwoma & Jin, Yi & Valenzuela, Maria Rebecca
- 141-155 Does trade credit alleviate stock price synchronicity? Evidence from China
by Liu, Huan & Hou, Canran
- 156-169 The time-varying spillover effect between WTI crude oil futures returns and hedge funds
by Zhang, Yue-Jun & Wu, Yao-Bin
- 170-178 Long-term interest rates in Europe: A fractional cointegration analysis
by Caporale, Guglielmo Maria & Gil-Alana, Luis A.
- 179-187 Short selling restrictions and index futures pricing: Evidence from China
by Lepone, Andrew & Wen, Jun & Wong, Jin Boon & Yang, Jin Young
- 188-212 Bayesian return forecasts using realised range and asymmetric CARR model with various distribution assumptions
by Chan, Jennifer So-Kuen & Ng, Kok-Haur & Ragell, Rachel
- 213-227 Peer effects on corporate cash holdings
by Chen, Yi-Wen & Chan, Konan & Chang, Yuanchen
- 228-240 Dynamics of deterioration in internal control reported under SOX 404
by Chen, Chunhua & Li, Tianze & Shao, Ruiqing & Zheng, Steven Xiaofan
- 241-259 A sectoral analysis of asymmetric nexus between oil price and stock returns
by Salisu, Afees A. & Raheem, Ibrahim D. & Ndako, Umar B.
- 260-269 Insecure resources, rent seeking, and wage inequality
by Pi, Jiancai & Fan, Yanwei
- 270-288 Oil prices, stock markets and firm performance: Evidence from Europe
by Bagirov, Miramir & Mateus, Cesario
- 289-303 Central bank losses and monetary policy rules: A DSGE investigation
by Benchimol, Jonathan & Fourçans, André
- 304-323 Predicting failure in the U.S. banking sector: An extreme gradient boosting approach
by Carmona, Pedro & Climent, Francisco & Momparler, Alexandre
- 324-336 A fuzzy-set analysis of conditions influencing mutual fund performance
by Graham, J. Edward & Lassala, Carlos & Ribeiro-Navarrete, Belén
- 337-346 Stability in mutual fund performance rankings: A new proposal
by Grau-Carles, Pilar & Doncel, Luis Miguel & Sainz, Jorge
- 347-354 Stress test impact and bank risk profile: Evidence from macro stress testing in Europe
by Gambetta, Nicolás & García-Benau, María Antonia & Zorio-Grima, Ana
- 355-367 Economic resilience and social capital of the Italian region
by Sabatino, Michele
2019, Volume 60, Issue C
- 1-25 Stock return distribution and predictability: Evidence from over a century of daily data on the DJIA index
by Gebka, Bartosz & Wohar, Mark E.
- 26-45 How does product market competition affect corporate takeover in an emerging economy?
by Lee, Ji Hye & Byun, Hee Sub & Park, Kyung Suh
- 46-61 Does the application of smart beta strategies enhance portfolio performance? The case of Islamic equity investments
by Raza, Muhammad Wajid & Ashraf, Dawood
- 62-84 It's not that important: The negligible effect of oil market uncertainty
by Yin, Libo & Feng, Jiabao & Liu, Li & Wang, Yudong
- 85-94 Does money supply drive housing prices in China?
by Su, Chi-Wei & Wang, Xiao-Qing & Tao, Ran & Chang, Hsu-Ling
- 95-113 Choosing expected shortfall over VaR in Basel III using stochastic dominance
by Chang, Chia-Lin & Jimenez-Martin, Juan-Angel & Maasoumi, Esfandiar & McAleer, Michael & Pérez-Amaral, Teodosio
- 114-129 Does accounting comparability alleviate the informational disadvantage of foreign investors?11We thank the editor, Professor Carl R. Chen, and two reviewers for their comments that greatly improved the manuscript
by Chauhan, Yogesh & Kumar, Surya B.
- 130-148 Determinants of MD&A sentiment in Canada
by Dutta, Shantanu & Fuksa, Michel & Macaulay, Ken
- 149-164 Home equity and household portfolio choice: Evidence from China
by He, Zekai & Shi, Xiuzhen & Lu, Xiaomeng & Li, Feng
- 165-175 Asset pricing with time varying pessimism and rare disasters
by Zhang, Jian & Kong, Dongmin & Liu, Hening & Wu, Ji
- 176-187 The cost of trading during Federal Funds Rate announcements: Evidence from cross-listed stocks
by Frijns, Bart & Indriawan, Ivan & Otsubo, Yoichi & Tourani-Rad, Alireza
- 188-202 Whose confidence matters in Chinese monetary policy?
by Zhang, Chengsi & Sun, Yuchen & Tang, Di
- 203-215 The role of emerging economies in the global price formation process of commodities: Evidence from Brazilian and U.S. coffee markets
by Bohl, Martin T. & Gross, Christian & Souza, Waldemar
- 216-237 Corporate debt maturity and future firm performance volatility
by Adachi-Sato, Meg & Vithessonthi, Chaiporn
- 238-256 Loan loss provisioning by Italian banks: Managerial discretion, relationship banking, functional distance and bank risk
by Aristei, David & Gallo, Manuela
- 257-264 Telehealth: Emerging evidence on efficiency
by Chakrabarti, Orna
- 265-280 Historical decoupling in the EU: Evidence from time-frequency analysis
by Kapounek, Svatopluk & Kučerová, Zuzana
- 281-291 The role of labor endowments on industry output in the short run: Evidence from U.S industries
by Dogan, Can & Akay, Gokhan H.
- 292-301 Productivity enhancing trade through local fragmentation
by Marjit, Sugata & Xu, Xinpeng & Yang, Lei
2019, Volume 59, Issue C
- 1-13 A structural model to assess the impact of bank capitalization changes conditional on a bail-in versus bail-out regime
by Dubiel-Teleszynski, Tomasz & Gross, Marco & Población, Javier
- 14-28 Investment under uncertainty with variable costly reversibility
by Shibata, Takashi & Wong, Kit Pong
- 29-49 Solving a hold-up problem may harm all firms: Downstream R&D and transport-price contracts
by Takauchi, Kazuhiro & Mizuno, Tomomichi
- 50-70 Are the S&P 500 index and crude oil, natural gas and ethanol futures related for intra-day data?
by Caporin, Massimiliano & Chang, Chia-Lin & McAleer, Michael
- 71-87 Evaluating the instantaneous and medium-run impact of mergers and acquisitions on firm values
by Bianconi, Marcelo & Tan, Chih Ming
- 88-97 The strategic incentive of corporate social responsibility in a vertically related market
by Chang, Chih-Wei & Li, Chia-Chun & Lin, Yan-Shu
- 98-105 Impact of political instability on firm-level export decisions
by Kapri, Kul
- 106-119 Paying attention to social media stocks
by Chiou, Wan-Jiun Paul & Knewtson, Heather S. & Nofsinger, John R.
- 120-136 Investigating the relationship between financial liberalization and capital flow waves: A panel data analysis
by Yang, Haizhen & Shi, Fangfang & Wang, Jie & Jing, Zhongbo
- 137-149 Modeling the joint dynamic value at risk of the volatility index, oil price, and exchange rate
by Peng, Wei & Hu, Shichao & Chen, Wang & Zeng, Yu-feng & Yang, Lu
- 150-163 The role of economic policy uncertainties in predicting stock returns and their volatility for Hong Kong, Malaysia and South Korea
by Balcilar, Mehmet & Gupta, Rangan & Kim, Won Joong & Kyei, Clement
- 164-173 Partial acquisition with an excluded public rival
by Cheng, Long & Heywood, John S. & Ye, Guangliang
- 174-192 The impact of large orders in electronic markets
by Murgia, Maurizio & Pinna, Andrea & Gottardo, Pietro & Bosetti, Luisella
- 193-206 Regional financial efficiency and its non-linear effects on economic growth in China
by Hu, May & Zhang, Jing & Chao, Chichur
- 207-233 Combining the endogenous choice of the timing of setting incentive parameters and the contents of strategic contracts in a managerial mixed duopoly
by Nakamura, Yasuhiko
- 234-252 Slopes, spreads, and depth: Monetary policy announcements and liquidity provision in the energy futures market
by Smales, L.A.
- 253-264 Fossil fuel share in the energy mix and economic growth
by Kibria, Ahsan & Akhundjanov, Sherzod B. & Oladi, Reza
- 265-288 The geography of CSR
by Ding, David K. & Ferreira, Christo & Wongchoti, Udomsak
- 289-301 The impact of tail risk on stock market returns: The role of market sentiment
by Chevapatrakul, Thanaset & Xu, Zhongxiang & Yao, Kai
- 302-317 Volatility forecasting of crude oil market: Can the regime switching GARCH model beat the single-regime GARCH models?
by Zhang, Yue-Jun & Yao, Ting & He, Ling-Yun & Ripple, Ronald
- 318-332 Migration and FDI: The role of job skills
by Cuadros, Ana & Martín-Montaner, Joan & Paniagua, Jordi
- 333-346 Intraday price discovery and volatility spillovers in an emerging market
by Fassas, Athanasios P. & Siriopoulos, Costas
- 347-368 Pricing discrete barrier options under jump-diffusion model with liquidity risk
by Li, Zhe & Zhang, Wei-Guo & Liu, Yong-Jun & Zhang, Yue
- 369-384 Do gold mining stocks behave like gold or equities? Evidence from the UK and the US
by Dar, Arif Billah & Bhanja, Niyati & Paul, Manas
- 385-394 Innovation, research and development, and firm profitability in Taiwan: Causality and determinants
by Huang, Chia-Hui & Hou, Tony Chieh-Tse
- 395-411 Black swan events in China's stock markets: Intraday price behaviors on days of volatility
by Lin, Wen-Yuan & Tsai, I-Chun
- 412-424 Stock return predictability: Evidence from a structural model
by Dladla, Pholile & Malikane, Christopher
- 425-437 Firm and industry specific determinants of capital structure: Evidence from the Australian market
by Li, Larry & Islam, Silvia Z.
- 438-457 Predicting foreign investors’ carry trade activity in the Israeli FX market using a time-varying currency risk premium approach
by Mantzura, Ariel & Schreiber, Ben Z.
- 458-467 Predicting stock market movements with a time-varying consumption-aggregate wealth ratio
by Chang, Tsangyao & Gupta, Rangan & Majumdar, Anandamayee & Pierdzioch, Christian
- 468-473 Nonlinear effects of P2P lending on bank loans in a Panel Smooth Transition Regression model
by Zhang, Zan & Hu, Wenjun & Chang, Tsangyao
- 474-489 An analysis of the arbitrage efficiency of the Chinese SSE 50ETF options market
by Zhang, Huiming & Watada, Junzo
- 490-499 Asian financial market integration and the role of Chinese financial market
by Lee, Byung-Joo
- 500-509 Automation, wage inequality and implications of a robot tax
by Zhang, Pengqing
- 510-521 Bargaining merger terms and the effect on the announcement returns
by Pereira, Paulo J. & Rodrigues, Artur
- 522-547 Global real interest rate dynamics from the late 19th century to today
by Probst, Julius
- 548-565 Political lobbying, insider trading, and CEO compensation
by Brodmann, Jennifer & Unsal, Omer & Hassan, M. Kabir
2018, Volume 58, Issue C
- 1-13 Environmental policies with excess burden of taxation in free-entry mixed markets
by Xu, Lili & Lee, Sang-Ho
- 14-29 Skewness, basis risk, and optimal futures demand
by Barbi, Massimiliano & Romagnoli, Silvia
- 30-48 Historical ties between nations: How do they matter in cross-border mergers and acquisitions?
by Chowdhury, Reza H. & Maung, Min
- 49-64 How do powerful CEOs view dividends and stock repurchases? Evidence from the CEO pay slice (CPS)
by Chintrakarn, Pandej & Chatjuthamard, Pattanaporn & Tong, Shenghui & Jiraporn, Pornsit
- 65-77 Do firms have target capital structures? Evidence from institutional monitoring
by Chung, Chune Young & Liu, Chang & Wang, Kainan
- 78-101 When multiple objectives meet multiple instruments: Identifying simultaneous monetary shocks
by Ordoñez-Callamand, Daniel & Hernandez-Leal, Juan D. & Villamizar-Villegas, Mauricio
- 102-112 Estimating downside risk in stock returns under structural breaks
by Hood, Matthew & Malik, Farooq
- 113-126 Inflation and fertility in a Schumpeterian growth model: Theory and evidence1
by He, Qichun
- 127-139 The role of investor sentiment in the long-term correlation between U.S. stock and bond markets
by Fang, Libing & Yu, Honghai & Huang, Yingbo
- 140-158 Labor market friction, nominal wage rigidities, and monetary policy in a small open economy
by Rhee, Hyuk Jae & Song, Jeongseok
- 159-178 Exchange rate hysteresis in the UK imports from the South Asian Countries
by Aziz, Nusrate & Ahmad, Ahmad Hassan
- 179-199 Risk contribution of crude oil to industry stock returns
by Yu, Honghai & Du, Donglei & Fang, Libing & Yan, Panpan
- 200-209 Inflation monitoring in real time: A comparative analysis of the Federal Reserve and the Bank of England
by Aguirre, Idoia & Vázquez, Jesús
- 210-219 Why are nontraded goods cheaper in poor countries?
by Choi, Yoonho & Jin, Hailong & Choi, E. Kwan
- 220-245 Financial liberalization and cross-border market integration: Evidence from China's stock market
by Yao, Shujie & He, Hongbo & Chen, Shou & Ou, Jinghua
- 246-258 The relationship between credit constraints and household entrepreneurship in China
by Cai, Dongliang & Song, Quanyun & Ma, Shuang & Dong, Yang & Xu, Qiuhua
- 259-269 Green competition, hybrid equilibrium, and establishment of a resale market
by Caplan, Arthur J. & Oladi, Reza
- 270-281 Dynamic hedging performance and downside risk: Evidence from Nikkei index futures
by Ubukata, Masato
- 282-298 The effect of the rebalancing horizon on the tradeoff between hedging effectiveness and transaction costs
by Jitmaneeroj, Boonlert
- 299-311 Exchange rate volatility and the stability of stock prices
by Blau, Benjamin M.
- 312-329 The relationship between external financing activities and earnings management: Evidence from enterprise risk management
by Wang, Teng-Shih & Lin, Yi-Mien & Werner, Edward M. & Chang, Hsihui
- 330-339 Foreign direct investment, unionised labour markets and welfare
by Cao, Jiyun & Mukherjee, Arijit
- 340-355 Sovereign bond spreads and extra-financial performance: An empirical analysis of emerging markets
by Margaretic, Paula & Pouget, Sébastien
- 356-370 Who gets the wage premium from export: Top managers or employees?
by Kong, Dongmin & Kong, Gaowen & Pang, Lirang & Zhang, Jian
- 371-389 A horserace or boost in market power? Banking sector competition after foreign bank exits
by Hryckiewicz, Aneta & Kozlowski, Lukasz