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Content
2015, Volume 40, Issue C
- 174-190 Price cointegration between sovereign CDS and currency option markets in the financial crises of 2007–2013
by Hui, Cho-Hoi & Fong, Tom Pak-Wing
- 191-203 Should zombie lending always be prevented?
by Jaskowski, Marcin
- 204-216 Preferences of risk-averse and risk-seeking investors for oil spot and futures before, during and after the Global Financial Crisis
by Lean, Hooi Hooi & McAleer, Michael & Wong, Wing-Keung
- 217-230 Managing financial risk in Chinese stock markets: Option pricing and modeling under a multivariate threshold autoregression
by Li, Johnny Siu-Hang & Ng, Andrew C.Y. & Chan, Wai-Sum
- 231-245 Managing systemic risk in The Netherlands
by Liao, Shuyu & Sojli, Elvira & Tham, Wing Wah
- 246-264 Mean-variance portfolio methods for energy policy risk management
by Marrero, Gustavo A. & Puch, Luis A. & Ramos-Real, Francisco J.
- 265-281 On robust properties of the SIML estimation of volatility under micro-market noise and random sampling
by Misaki, Hiroumi & Kunitomo, Naoto
- 282-297 ALRIGHT: Asymmetric LaRge-scale (I)GARCH with Hetero-Tails
by Paolella, Marc S. & Polak, Paweł
- 298-311 The economic fundamental and economic policy uncertainty of Mainland China and their impacts on Taiwan and Hong Kong
by Sin, Chor-yiu (CY)
- 312-323 Prediction and simulation using simple models characterized by nonstationarity and seasonality
by Swanson, Norman R. & Urbach, Richard
- 324-337 Volatility forecast of stock indices by model averaging using high-frequency data
by Wang, Chengyang & Nishiyama, Yoshihiko
- 338-352 Investor response to public news, sentiment and institutional trading in emerging markets: A review
by Brzeszczyński, Janusz & Gajdka, Jerzy & Kutan, Ali M.
2015, Volume 39, Issue C
- 1-18 Capital inflows and the interest premium problem: The effects of monetary sterilisation in selected Asian economies
by Cavoli, Tony & Rajan, Ramkishen S.
- 19-35 Anticipation of takeovers in stock and options markets
by Liu, Dehong & Lung, Pei Peter & Lallemand, Justin
- 36-46 The feasibility of privatization and foreign penetration
by Wang, Leonard F.S. & Tomaru, Yoshihiro
- 47-56 Environment, growth, and FDI revisited
by Neequaye, Nii Amon & Oladi, Reza
- 57-75 Diversification and determinants of international credit portfolios: Evidence from German banks
by Böninghausen, Benjamin & Köhler, Matthias
- 76-89 Funding liquidity constraints and the forward premium anomaly in a DSGE model
by Chu, Shiou-Yen
- 90-106 Commonality in liquidity in emerging markets: Another supply-side explanation
by Bai, Min & Qin, Yafeng
- 107-120 Do strong corporate governance firms still require political connection, and vice versa?
by Shen, Chung-Hua & Lin, Chih-Yung & Wang, Yu-Chun
- 121-132 The extreme-value dependence between the crude oil price and Chinese stock markets
by Chen, Qian & Lv, Xin
- 133-148 Strategic behavior in acquiring and revealing costly private information
by Yoon, Young-Ro
- 149-161 Does PIN measure information? Informed trading effects on returns and liquidity in six emerging markets
by Agudelo, Diego A. & Giraldo, Santiago & Villarraga, Edwin
- 162-174 Technology choice and bank performance with government capital injection under deposit insurance fund protection
by Chen, Shi & Lin, Ku-Jun
- 175-191 A nonparametric model of financial system and economic growth
by Mishra, Sagarika & Narayan, Paresh Kumar
- 192-210 Spillover effects of the U.S. financial crisis on financial markets in emerging Asian countries
by Kim, Bong-Han & Kim, Hyeongwoo & Lee, Bong-Soo
- 211-223 Intraday jumps in China's Treasury bond market and macro news announcements
by Cui, Jing & Zhao, Hua
- 224-238 Frequency domain causality analysis of stock market and economic activity in India
by Tiwari, Aviral Kumar & Mutascu, Mihai Ioan & Albulescu, Claudiu Tiberiu & Kyophilavong, Phouphet
- 239-252 Price level and inflation in the GCC countries
by Murshed, Hasan & Nakibullah, Ashraf
- 253-265 MA trading rules, herding behaviors, and stock market overreaction
by Ni, Yensen & Liao, Yi-Ching & Huang, Paoyu
- 266-276 Herding behavior and loss functions of exchange rate forecasters over interventions and financial crises
by Tsuchiya, Yoichi
- 277-294 Cross-country variations in capital structure adjustment—The role of credit ratings
by Huang, Yu-Li & Shen, Chung-Hua
- 295-310 Market risk of BRIC Eurobonds in the financial crisis period
by Vortelinos, Dimitrios I. & Lakshmi, Geeta
- 311-325 An analysis of returns and volatility spillovers and their determinants in emerging Asian and Middle Eastern countries
by Balli, Faruk & Hajhoj, Hassan Rafdan & Basher, Syed Abul & Ghassan, Hassan Belkacem
- 326-336 The product cycle hypothesis: The role of quality upgrading and market size
by Ma, Yan
- 337-352 Volatility spillovers in EMU sovereign bond markets
by Fernández-Rodríguez, Fernando & Gómez-Puig, Marta & Sosvilla-Rivero, Simón
- 353-370 Savings, the size of the net foreign asset position, and the dynamics of current accounts
by Erauskin, Iñaki
- 371-375 Social exclusion, capital accumulation and inequality
by Hazari, Bharat & Mohan, Vijay
- 376-389 The reward for trading illiquid maturities in credit default swap markets
by Arakelyan, Armen & Rubio, Gonzalo & Serrano, Pedro
- 390-410 Trade liberalization and export diversification
by Aditya, Anwesha & Acharyya, Rajat
- 411-427 Sovereign default, enforcement and the private cost of capital
by Andreasen, Eugenia
- 428-448 Intertwined sovereign and bank solvencies in a simple model of self-fulfilling crisis
by Adler, Gustavo & Lizarazo, Sandra
- 449-468 A factor-augmented VAR analysis of business cycle synchronization in east Asia and implications for a regional currency union
by Huh, Hyeon-seung & Kim, David & Kim, Won Joong & Park, Cyn-Young
- 469-484 Domestic impacts of outward FDI in Taiwan: Evidence from panel data of manufacturing firms
by Liu, Wen-Hsien & Tsai, Pan-Long & Tsay, Ching-Lung
- 485-503 Does the euro area macroeconomy affect global commodity prices? Evidence from a SVAR approach
by Śmiech, Sławomir & Papież, Monika & Dąbrowski, Marek A.
- 504-520 Are prolonged conflict and tension deterrents for stock market integration? The case of Sri Lanka
by Sriananthakumar, Sivagowry & Narayan, Seema
2015, Volume 38, Issue C
- 1-17 Transparent rules for deposing central bankers
by Arayssi, Mahmoud
- 18-28 Change point detection for subprime crisis in American banking: From the perspective of risk dependence
by Zhu, Xiaoqian & Xie, Yongjia & Li, Jianping & Wu, Dengsheng
- 29-43 Forecasting sectorial profitability and credit spreads using bond yields
by Saar, Dan & Yagil, Yossi
- 44-55 Corporate governance, product market competition and dynamic capital structure
by Chang, Ya-Kai & Chen, Yu-Lun & Chou, Robin K. & Huang, Tai-Hsin
- 56-66 Time-varying nature and macroeconomic determinants of exchange rate pass-through
by Ozkan, Ibrahim & Erden, Lutfi
- 67-72 On economic growth and investment income taxation in a creative region
by Donovan, Pierce J. & Batabyal, Amitrajeet A.
- 73-93 Financial-integration thresholds for consumption risk-sharing
by Malik, Samreen
- 94-111 Assessing the idiosyncratic risk and stock returns relation in heteroskedasticity corrected predictive models using quantile regression
by Nath, Harmindar B. & Brooks, Robert D.
- 112-130 The pricing of liquidity risk on the Shanghai stock market
by Ho, Tsung-wu & Chang, Shu-Hwa
- 131-141 Should bank loan portfolio be diversified under government capital injection and deposit insurance fund protection?
by Chen, Shi & Chang, Chuen-Ping
- 142-156 Testing for current account sustainability under assumptions of smooth break and nonlinearity
by Chen, Shyh-Wei & Xie, Zixiong
- 157-177 Strategic capacity expansion under a potential entry threat
by Kamoto, Shinsuke
- 178-197 The small-cap effect in the predictability of individual stock returns
by Semenov, Andrei
- 198-206 Granger causality from exchange rates to fundamentals: What does the bootstrap test show us?
by Ko, Hsiu-Hsin & Ogaki, Masao
- 207-219 The impact of leverage on the idiosyncratic risk and return relationship of REITs around the financial crisis
by Gerlach, Richard & Obaydin, Ivan & Zurbruegg, Ralf
- 220-233 The co-movement and causality between the U.S. housing and stock markets in the time and frequency domains
by Li, Xiao-Lin & Chang, Tsangyao & Miller, Stephen M. & Balcilar, Mehmet & Gupta, Rangan
- 234-249 Exchange listing type and firm financial reporting behavior
by Lin, Wen-Chun & Liao, Tsai-Ling
- 250-257 Taxation of labour, product varieties and skilled–unskilled wage inequality: Short run versus long run
by Sun, Sizhong & Anwar, Sajid
- 258-278 Financial policy and insurance development: Do financial reforms matter and how?
by Lee, Chien-Chiang & Chang, Chi-Hung
- 279-290 An analysis of policy harmonization on privatization and trade liberalization
by Wang, Chia-Chi & Chiou, Jiunn-Rong
- 291-307 An alternative view of the US price–dividend ratio dynamics
by Londono, Juan M. & Regúlez, Marta & Vázquez, Jesús
- 308-325 Intertemporal risk–return relationships in bull and bear markets
by Wu, Shue-Jen & Lee, Wei-Ming
- 326-351 The effects of business cycle and debt maturity on a firm's investment and default decisions
by Jeon, Haejun & Nishihara, Michi
- 352-368 Determinants of systemic risk and information dissemination
by Bianconi, Marcelo & Hua, Xiaxin & Tan, Chih Ming
- 369-376 On the directional accuracy of forecasts of emerging market exchange rates
by Pierdzioch, Christian & Rülke, Jan-Christoph
- 377-392 Common macroeconomic shocks and business cycle fluctuations in Euro area countries
by Cavallo, Antonella & Ribba, Antonio
- 393-409 Equity premia and state-dependent risks
by Bouaddi, Mohammed & Larocque, Denis & Normandin, Michel
2015, Volume 37, Issue C
- 1-17 A quasi-bounded target zone model — Theory and application to Hong Kong dollar
by Lo, C.F. & Hui, C.H. & Fong, T. & Chu, S.W.
- 18-32 Supervisory board characteristics and accounting information quality: Evidence from China
by Ran, Guanggui & Fang, Qiaoling & Luo, Shuai & Chan, Kam C.
- 33-41 An analysis of the determinants of financial distress in Italy: A competing risks approach
by Amendola, Alessandra & Restaino, Marialuisa & Sensini, Luca
- 42-54 The response of stock market volatility to futures-based measures of monetary policy shocks
by Gospodinov, Nikolay & Jamali, Ibrahim
- 55-68 The impact of the economic crisis on the financial performance of multinational corporations
by Zhao, Xin & Jiang, Xianling & Li, Zhaoyang
- 69-85 Purchasing power parity-symmetry and proportionality: Evidence from 116 countries
by Arize, Augustine C. & Malindretos, John & Ghosh, Dilip
- 86-95 Do firms manipulate earnings before accelerated share repurchases?
by Chiu, Yung-Chin & Liang, Woan-lih
- 96-113 Corporate governance and risk-taking of Chinese firms: The role of board size
by Huang, Ying Sophie & Wang, Chia-Jane
- 114-124 Harvests' lifespan and North–South market share rivalry
by Benchekroun, H. & Benchekroun, S.
- 125-137 Survey sentiment and interest rate option smile
by Chen, Cathy Yi-Hsuan & Kuo, I-Doun
- 138-156 Out of sight, not out of mind: The evidence from Taiwan mutual funds
by Wang, Jin-Ying & Fok, Robert (Chi-Wing) & Gao, Ming & Liu, Yu-Jane
- 157-164 Mean reversion in stock prices of seven Asian stock markets: Unit root test and stationary test with Fourier functions
by Wang, Juan & Zhang, Dongxiang & Zhang, Jian
- 165-183 Government insurance, information, and asset prices
by Lopomo Beteto Wegner, Danilo
- 184-202 Does boardroom gender diversity matter? Evidence from a transitional economy
by Nguyen, Tuan & Locke, Stuart & Reddy, Krishna
- 203-207 Does intellectual property right promote innovations when pirates are innovators?
by Marjit, Sugata & Yang, Lei
- 208-225 The information content of unexpected stock returns: Evidence from intellectual capital
by Lin, Yi-Mien & Lee, Chih-Chen & Chao, Chin-Fang & Liu, Chih-Liang
- 226-239 The friction-free weighted price contribution
by Abad, David & Pascual, Roberto
- 240-253 Underinvestment and the design of performance-sensitive debt
by Sarkar, Sudipto & Zhang, Chuanqian
- 254-273 Two new equity default swaps with idiosyncratic risk
by Yang, Zhaojun & Zhang, Chunhong
- 274-289 What determines the technology adoption of firms under optimal tax?
by She, Chih-Min
- 290-307 Endogenous screening and the formation of loan syndicates
by Adamuz, María de las Mercedes & Hernández Cortés, Janko
- 308-323 Securitization in Spain and the wealth effect for shareholders
by López-Penabad, Mª Celia & López-Andión, Carmen & Iglesias-Casal, Ana & Maside-Sanfiz, Jose Manuel
- 324-339 A new method of measuring herding in stock market and its empirical results in Chinese A-share market
by Xie, Tian & Xu, Yi & Zhang, Xinsheng
- 340-353 Asymmetry in return and volatility spillover between China's interbank and exchange T-bond markets
by Jin, Xiaoye
- 354-367 Optimal managerial hedging and contracting with self-esteem concerns
by Choe, Chongwoo & Lien, Donald & Yu, Chia-Feng (Jeffrey)
- 368-379 Financial variables and economic activity in the Nordic countries
by Kuosmanen, Petri & Nabulsi, Nasib & Vataja, Juuso
- 380-392 The effects of national culture and behavioral pitfalls on investors' decision-making: Herding behavior in international stock markets
by Chang, Chih-Hsiang & Lin, Shih-Jia
- 393-405 Financial development, real sector, and economic growth
by Ductor, Lorenzo & Grechyna, Daryna
- 406-418 A nonparametric study of real exchange rate persistence over a century
by Kim, Hyeongwoo & Ryu, Deockhyun
2015, Volume 36, Issue C
- 3-16 Do more foreign strategic investors and more directors improve the earnings smoothing? The case of China
by Wu, Meng-Wen & Shen, Chung-Hua & Lu, Chin-Hwa
- 17-29 Trade credit and bank loan: Evidence from Chinese firms
by Lin, Tsung-Te & Chou, Jian-Hsin
- 30-39 Bank capital buffer decisions under macroeconomic fluctuations: Evidence for the banking industry of China
by Huang, Xian & Xiong, Qiyue
- 40-53 Shadow banking and firm financing in China
by Lu, Yunlin & Guo, Haifeng & Kao, Erin H. & Fung, Hung-Gay
- 54-68 The effect of excess lending on bank liquidity : Evidence from China
by Chen, Ting-Hsuan & Chou, Hsiu-Hsia & Chang, Yuan & Fang, Hao
- 69-87 The effects and applicability of financial media reports on corporate default ratings
by Lu, Yang-Cheng & Wei, Yu-Chen & Chang, Tsang-Yao
- 88-98 Family firms and earnings management in Taiwan: Influence of corporate governance
by Chi, Ching Wen & Hung, Ken & Cheng, Hui Wen & Tien Lieu, Pang
- 99-106 Financing constraints and the cost of equity: Evidence on the moral hazard of the controlling shareholder
by Luo, Qi & Li, Hui & Zhang, Biao
- 107-118 Private placements, cash dividends and interests transfer: Empirical evidence from Chinese listed firms
by Zhao, Yu Fang & Xia, Xin Ping & Tang, Xiang Xi & Cao, Wei & Liu, Xiao Yuan & Fan, Ying Han
- 119-127 Opinion divergence, unexpected trading volume and stock returns: Evidence from China
by Chen, Lin & Qin, Lu & Zhu, Hongquan
2015, Volume 35, Issue C
- 1-25 Managing extreme risk in some major stock markets: An extreme value approach
by Karmakar, Madhusudan & Shukla, Girja K.
- 28-44 Effects of financial developments and income on energy consumption
by Chang, Shu-Chen
- 45-65 Measuring sovereign risk contagion in the Eurozone
by Suh, Sangwon
- 66-77 Granger causality between debt and growth: Evidence from OECD countries
by Puente-Ajovín, Miguel & Sanso-Navarro, Marcos
- 78-89 Liquidity, delistings, and credit risk premium
by Kuo, Su-Wen & Huang, Chin-Sheng & Jhang, Guan-Cih
- 90-99 A note on market timing: Interim trading and the performance of holdings-based and return-based measures
by Matallín-Sáez, Juan Carlos
- 100-109 European exchange rate regimes and purchasing power parity: An empirical study on eleven eurozone countries
by Huang, Chao-Hsi & Yang, Chih-Yuan
- 110-121 The role of firm ownership in policy competition for foreign direct investment between asymmetric countries
by Sanjo, Yasuo
- 122-129 International factor mobility, elasticity of substitution in production and the skilled–unskilled wage gap
by Zhang, Jingjing
- 130-148 The net foreign asset position and government size
by Erauskin, Iñaki
- 149-165 Equity funds in emerging Asia: Does size matter?
by Ding, Haoyuan & Zheng, Huanhuan & Zhu, Chenqi
- 166-179 Reserve option mechanism as a stabilizing policy tool: Evidence from exchange rate expectations
by Değerli, Ahmet & Fendoğlu, Salih
- 180-196 Sentiment-prone investors and volatility dynamics between spot and futures markets
by Corredor, Pilar & Ferrer, Elena & Santamaria, Rafael
- 197-213 Cash-futures basis and the impact of market maturity, informed trading, and expiration effects
by Chang, Charles & Lin, Emily
- 214-227 The dynamics of market volatility, market return, and equity fund flow: International evidence
by Lee, Bong Soo & Paek, Miyoun & Ha, Yeonjeong & Ko, Kwangsoo
- 228-234 Importer-specific elasticities of demand: Evidence from U.S. exports
by Yilmazkuday, Hakan
- 235-248 Analyst valuation and corporate value discovery
by Laih, Yih-Wenn & Lai, Hung-Neng & Li, Chun-An
- 249-261 Money growth and inflation in China: New evidence from a wavelet analysis
by Jiang, Chun & Chang, Tsangyao & Li, Xiao-Lin
- 262-277 Endogenous choice of strategic incentives in a mixed duopoly with a new managerial delegation contract for the public firm
by Nakamura, Yasuhiko
- 278-291 Bank relationships and the likelihood of filing for reorganization
by Huang, Jiang-Chuan & Huang, Chin-Sheng & You, Chun-Fan
- 292-303 Examining the exchange rate regime–monetary policy autonomy nexus: Evidence from Malaysia
by Goh, Soo Khoon & McNown, Robert
- 304-314 Financial flows and per capita income in developing countries
by Anwar, Sajid & Cooray, Arusha
- 315-332 Foreign exchange market efficiency and profitability of trading rules: Evidence from a developing country
by Katusiime, Lorna & Shamsuddin, Abul & Agbola, Frank W.
2014, Volume 34, Issue C
- 1-8 Risk sharing in an asymmetric environment
by Fesselmeyer, Eric & Mirman, Leonard J. & Santugini, Marc
- 9-23 Money, credit, risk of loss, and limited participation
by Choi, Hyung Sun
- 24-40 Trade, capital adjustment and the migration of talent
by Khraiche, Maroula
- 41-51 A review of the gender effect on pay, corporate performance and entry into top management
by Mohan, Nancy
- 52-71 Bilateral trade and the environment: A general equilibrium model based on new trade theory
by Erdogan, Ayse M.
- 72-88 Bank interlinkages and macroeconomic stability
by Grilli, Ruggero & Tedeschi, Gabriele & Gallegati, Mauro
- 89-104 Monetary policy based on nonlinear quantity rule: Evidence from China
by Ma, Yong
- 105-117 Capacity choice in a duopoly with a consumer-friendly firm and an absolute profit-maximizing firm
by Nakamura, Yasuhiko
- 118-130 Multi-period sentiment asset pricing model with information
by Li, Jinfang
- 131-141 The reaction of European credit default swap spreads to the U.S. credit rating downgrade
by Blau, Benjamin M. & Roseman, Brian S.
- 142-150 Strategic quality competition, mixed oligopoly and privatization
by Nabin, Munirul H. & Nguyen, Xuan & Sgro, Pasquale M. & Chao, Chi-Chur
- 151-160 Environmental consciousness, economic growth, and macroeconomic instability
by Shieh, Jhy-yuan & Chen, Jhy-hwa & Chang, Shu-hua & Lai, Ching-chong
- 161-174 How could the non-sustainable Easter Island have been sustained?
by Cyrus Chu, C.Y. & Lai, Ching-Chong & Liao, Chih-Hsing
- 175-189 Big vs. small under free trade: Market size and size distribution of firms
by Huang, Yo-Yi & Huang, Deng-Shing
- 190-202 How do openness and exchange-rate regimes affect inflation?
by Ghosh, Amit
- 203-210 Energy structure, energy policy, and economic sustainable development
by Chen, Li-Ju & Lu, Lee-Jung & Tai, Meng-Yi & Hu, Shih-Wen & Wang, Vey
- 211-229 The performance synergies between science and engineering and business management backgrounds of managers in high-tech mutual funds: Evidence from Taiwan
by Wang, Ming-Chang & Cheng, Ming-Yuan
- 230-236 The growth and inequality nexus: The case of China
by Chan, Kenneth S. & Zhou, Xianbo & Pan, Zhewen
- 237-245 Parallel imports, product innovation and market structures
by Hwang, Hong & Peng, Cheng-Hau & Shih, Pei-Cyuan
- 246-266 Firm age, idiosyncratic risk, and long-run SEO underperformance
by Huang, Chia-Wei & Ho, Po-Hsin & Lin, Chih-Yung & Yen, Ju-Fang
- 267-279 Gold and exchange rates: Downside risk and hedging at different investment horizons
by Reboredo, Juan C. & Rivera-Castro, Miguel A.
2014, Volume 33, Issue C
- 1-11 Re-examining the Feldstein–Horioka and Sachs' views of capital mobility: A heterogeneous panel setup
by Holmes, Mark J. & Otero, Jesús
- 12-27 Causality and contagion in EMU sovereign debt markets
by Gómez-Puig, Marta & Sosvilla-Rivero, Simón
- 28-38 Are global systematic risk and country-specific idiosyncratic risk priced in the integrated world markets?
by Hueng, C. James
- 39-51 Dissecting the cycles: An intermarket investigation and its implications to portfolio reallocation
by Liang, Kuo-Yuan & Yen, Chen-Hui
- 52-66 Optimal currency carry trade strategies
by Laborda, Juan & Laborda, Ricardo & Olmo, Jose
- 67-81 Information arrival, changes in R-square and pricing asymmetry of corporate news
by Cheng, Louis T.W. & Leung, T.Y. & Yu, Wayne
- 82-89 Internet, noise trading and commodity futures prices
by Peri, Massimo & Vandone, Daniela & Baldi, Lucia
- 92-99 Goods production, learning by doing, and growth in a region with creative and physical capital
by Usman, Umer & Batabyal, Amitrajeet A.
- 100-110 The wage premium puzzle and the quality of human capital
by Marquis, Milton H. & Trehan, Bharat & Tantivong, Wuttipan
- 111-127 Creditor rights and corporate cash holdings: International evidence
by Yung, Kenneth & Nafar, Nadia A.
- 128-140 A new approach to model and forecast volatility based on extreme value of asset prices
by Kumar, Dilip & Maheswaran, S.
- 141-151 Fiscal reform and fiscal sustainability: Evidence from Australia and Sweden
by Miyazaki, Tomomi
- 152-171 Credit rating agencies and idiosyncratic risk: Is there a linkage? Evidence from the Spanish Market
by Abad, Pilar & Robles, M. Dolores
- 172-185 Trade and wage inequality: A specific factor model with intermediate goods
by Barua, Alokesh & Pant, Manoj
- 186-198 Herding of institutional investors and margin traders on extreme market movements
by Lin, Anchor Y. & Lin, Yueh-Neng
- 199-216 Non-parametric analysis of equity arbitrage
by Vortelinos, Dimitrios I.
- 217-227 The credibility of monetary policy announcements: Empirical evidence for OECD countries since the 1960s
by Belke, Ansgar & Freytag, Andreas & Keil, Jonas & Schneider, Friedrich
- 228-237 Monetary convergence in East Asian countries relative to China
by Su, Chi-Wei & Chang, Hsu-Ling & Chang, Tsangyao & Yin, Kedong
- 238-256 A dark side of international capital market integration: Domestic investors' view
by Kim, In Joon & Kim, So Jung & Yoon, Sun-Joong
- 257-269 Fund flow bias in market timing skill. Evidence of the clientele effect
by Muñoz, Fernando & Vargas, María & Vicente, Ruth
- 270-285 Switching impacts of the output gap on inflation: Evidence from Canada, the UK and the US
by Valadkhani, Abbas
- 286-299 A view to the long-run dynamic relationship between crude oil and the major asset classes
by Turhan, M. Ibrahim & Sensoy, Ahmet & Ozturk, Kevser & Hacihasanoglu, Erk
- 300-318 The determinants of sovereign default: A sensitivity analysis
by Chakrabarti, Avik & Zeaiter, Hussein
- 319-337 The impact of the CSI 300 stock index futures: Positive feedback trading and autocorrelation of stock returns
by Hou, Yang & Li, Steven
- 338-349 Information content of unsolicited credit ratings and incentives of rating agencies: A theory
by Byoun, Soku
- 350-357 The importance of using a test of weak-form market efficiency that does not require investigating the data first
by Aumeboonsuke, Vesarach & Dryver, Arthur L.
- 358-370 A comparison of exchange rate regime choice in emerging markets with advanced and low income nations for 1999–2011
by Ghosh, Amit
- 371-390 Determining what drives stock returns: Proper inference is crucial: Evidence from the UK
by Ma, Jun & Wohar, Mark E.
2014, Volume 32, Issue C
- 3-28 Financial crisis and the dynamics of corporate governance: Evidence from Taiwan's listed firms
by Chen, I-Ju
- 29-46 The impact of family control on the top management compensation mix and incentive orientation
by Chen, Chao-Jung & Hsu, Chung-Yuan & Chen, Yu-Lin
- 47-61 Why do firms allow their CEOs to join trade associations? An embeddedness view
by Yen, Ju-Fang & Chen, Yan-Shing & Shen, Chung-Hua & Lin, Chih-Yung
- 62-78 Determinants of corporate board structure in Taiwan
by Chen, Ming-Yuan
- 79-91 Going private transactions by U.S.-Listed Chinese companies: What drives the premiums paid?
by Chen, Yea-Mow & Huang, Ying Sophie & Wang, David K. & Wu, Chun-Chou
- 92-116 State ownership, bank loans, and corporate investment
by Jiang, Wei & Zeng, Yeqin
- 117-131 The valuation effect of corporate governance on stakeholder wealth: Evidence from strategic alliances
by Lai, Jung-Ho & Chen, Li-Yu
- 132-142 The effect of corporate governance on stock liquidity: The case of Thailand
by Prommin, Panu & Jumreornvong, Seksak & Jiraporn, Pornsit
- 143-158 Controlling shareholder entrenchment: Bonuses versus dividends
by Wang, Jin-Ying
- 159-174 Affiliation and professionalism: Alternative perspectives on decomposing the board structures of financial institutions
by Yeh, Yin-Hua & Shu, Pei-Gi & Chiang, Tsui-Lin
2014, Volume 31, Issue C