Content
2018
- 183-206 The Corporate Decision in Indonesia: A Result of Corporate Governance Requirements, Earning Management and Audit Reports
In: Governance and Regulations’ Contemporary Issues
by Tulus Suryanto & Simon Grima - 207-228 The European Deposit Insurance Scheme: A Myth or a Fact?
In: Governance and Regulations’ Contemporary Issues
by John Sammut & Jessica Friggieri - 229-255 Product Intervention of Supervisory Authorities in Financial Services
In: Governance and Regulations’ Contemporary Issues
by Katica Tomic - 257-275 The Teaching of Financial Services Regulation: A Contextual View
In: Governance and Regulations’ Contemporary Issues
by John A. Consiglio - 277-291 Linking the Human Element to the Risk Management Process: One of the Internal Control Processes in Governance of an Organisation
In: Governance and Regulations’ Contemporary Issues
by Sharon Seychell - 293-313 Transparency Regime within the Financial Institutions: Does It Really Work?
In: Governance and Regulations’ Contemporary Issues
by Marta Ostrowska
2016
- 1-19 Impact of Financial Literacy on Domestic Economic Activity in the Baltic States
In: Contemporary Issues in Finance: Current Challenges from Across Europe
by Margarita Dunska & Kaspars Kravinskis - 1-35 Active versus Passive Investing: An Empirical Study on The US and European Mutual Funds and ETFs
In: Contemporary Issues in Bank Financial Management
by Desmond Pace & Jana Hili & Simon Grima - 21-35 Banking and Fintech: A Challenge or Opportunity?
In: Contemporary Issues in Finance: Current Challenges from Across Europe
by Inna Romānova & Marina Kudinska - 37-48 Analysis of Crowdfunding in European Union: Performance and Perspectives
In: Contemporary Issues in Finance: Current Challenges from Across Europe
by Alina Dibrova - 37-71 FX Hedging Using Forwards and ‘Premium-Free’ Options
In: Contemporary Issues in Bank Financial Management
by John Mark Caruana - 49-62 Misuse of Derivatives: Considerations for Internal Control
In: Contemporary Issues in Finance: Current Challenges from Across Europe
by Simon Grima & Frank Bezzina & Inna Romānova - 63-76 Profiles of SMEs as Borrowers: Case of Latvia
In: Contemporary Issues in Finance: Current Challenges from Across Europe
by Ramona Rupeika-Apoga & Irina Solovjova - 73-92 Director Trading in Malta: An Analysis of Returns
In: Contemporary Issues in Bank Financial Management
by Yanica Caruana - 77-94 Avoiding Bankruptcy in Italy: Preventive Arrangement with Creditors
In: Contemporary Issues in Finance: Current Challenges from Across Europe
by Alessandro Danovi & Patrizia Riva & Marina Azzola - 93-132 Equity Mutual Fund Performance Evaluation: An Emerging Market Perspective
In: Contemporary Issues in Bank Financial Management
by Jana Hili & Desmond Pace & Simon Grima - 95-110 Mergers and Acquisitions: Examples of Best Practice in Europe and Latvia
In: Contemporary Issues in Finance: Current Challenges from Across Europe
by Svetlana Saksonova & Irēna Kantāne - 111-134 Critical Factors of Pre-Acquisition Due Diligence in Cross-Border Acquisitions
In: Contemporary Issues in Finance: Current Challenges from Across Europe
by Alen Sacek - 133-156 Recent Annual Report Weaknesses by a Supreme Audit Institution: An Analysis
In: Contemporary Issues in Bank Financial Management
by Peter J. Baldacchino & Daniel Pule & Norbert Tabone & Justine Agius - 135-159 The FDI Inflow to Special Economic Zones in Poland
In: Contemporary Issues in Finance: Current Challenges from Across Europe
by Tomasz Dorożyński & Janusz Świerkocki & Wojciech Urbaniak - 157-198 Analysis of Risk Parity Approach for Sovereign Fixed-Income Portfolios in Eurozone Countries
In: Contemporary Issues in Bank Financial Management
by Noel Cassar & Simon Grima - 161-182 An Analysis of Audit Report Lags in Maltese Companies
In: Contemporary Issues in Finance: Current Challenges from Across Europe
by Peter J. Baldacchino & Loraine Grech & Konrad Farrugia & Norbert Tabone - 199-225 The Evolution of the Retail Payment Market – A Focus on Malta
In: Contemporary Issues in Bank Financial Management
by Sharon Marya Cilia Tortell
2014
- 3-13 Introduction to Risk Management Post Financial Crisis: A Period of Monetary Easing
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Jonathan A. Batten & Niklas F. Wagner - 3-30 Central Banks’ Role in Shaping the Future of Islamic Banking
In: The Developing Role of Islamic Banking and Finance: From Local to Global Perspectives
by Fouad H. Beseiso - 15-40 Complexity Analysis and Risk Management in Finance
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Charilaos Mertzanis - 31-44 Shari’ahGovernance Applicable to Islamic Banks in Malaysia: Effect of Islamic Financial Services Act 2013
In: The Developing Role of Islamic Banking and Finance: From Local to Global Perspectives
by Aishath Muneeza - 41-56 The Effects of Macroeconomic News Announcements during the Global Financial Crisis
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Pilar Abad & Helena Chuliá - 45-69 The Impact of the International Financial Crisis on the Performance of Islamic Banks in MENA Countries
In: The Developing Role of Islamic Banking and Finance: From Local to Global Perspectives
by Hajer Zarrouk - 59-81 The Pro-Cyclical Impact of Basel III Regulatory Capital on Bank Capital Risk
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Guoxiang Song - 73-87 Approach to the Integration of Takaful Insurance in the Algerian Market
In: The Developing Role of Islamic Banking and Finance: From Local to Global Perspectives
by Nesrine Bouzaher & Okba Necira & Sabrina Kerdoudi - 83-95 Nonparametric Expectile Regression for Conditional Autoregressive Expected Shortfall Estimation
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Marcelo Brutti Righi & Yi Yang & Paulo Sergio Ceretta - 89-112 Challenges and Opportunities for Development of Islamic Stockbroking in Malaysia
In: The Developing Role of Islamic Banking and Finance: From Local to Global Perspectives
by Mohammad Mahbubi Ali - 97-151 The Impact of External Shocks on Stock Prices in the East Asian Domestic Banking Sector
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Masahiro Inoguchi - 103-116 The Opportunity for Implementing Islamic Project Financing to the Indonesian Infrastructure Development
In: The Developing Role of Islamic Banking and Finance: From Local to Global Perspectives
by Ayomi Dita Rarasati & Bambang Trigunarsyah & Eric Too - 119-140 Islamic Banks’ Mergers and Acquisitions – Impacts on Performance and Financial Crisis in the United Kingdom
In: The Developing Role of Islamic Banking and Finance: From Local to Global Perspectives
by Tarek Kandil & Dababrata Chowdhury - 141-162 Attitude of Muslims and Non-Muslims towards Islamic Banking – An Exploratory Study in India
In: The Developing Role of Islamic Banking and Finance: From Local to Global Perspectives
by Mohammad Faisal & Asif Akhtar & Asad Rehman - 153-178 Measuring Financial Integration: Evidence from Ten Industries in a “US-Emerging World”
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Michael Donadelli - 163-180 Strategic Requirements to Implement the Privatization Program in Iran
In: The Developing Role of Islamic Banking and Finance: From Local to Global Perspectives
by Mohammad Dolatabadi & Lotfollah Forouzandeh - 181-192 Will Quantitative Easing Enhance or Drain the Availability of Funds to Financial Markets?
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Yasushi Suzuki - 193-210 Money Demand Causality for Ten Asian Countries: Evidence from Linear and Nonlinear Causality Tests
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Ahdi Noomen Ajmi & Nicholas Apergis - 211-219 Product Market Competition and Inflation Persistence
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Amr Sadek Hosny - 221-252 Unlocking Credit
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Ike Mathur & Isaac Marcelin - 255-276 Monetary Policy and Bank Liquidity in China
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Nan Shi & Xin Sun & Fan Zhang - 277-290 Monetary Policy and Bank Credit Risk in Vietnam Pre and Post Global Financial Crisis
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Xuan Vinh Vo & Phuc Canh Nguyen - 291-315 Analysis of Factors Influencing and Controlling Excess Cash and Short-Term Bank Loans in Taiwan
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Ma-Ju Wang & Yi-Ting Chang - 317-339 Bank Competition, Managerial Efficiency and the Interest Rate Pass-Through in India
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Jugnu Ansari & Ashima Goyal - 341-364 Financial Architecture and Monetary Policy Transmission Mechanism in Kenya
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Roseline Nyakerario Misati & Alfred Shem Ouma & Kethi Ngoka-Kisinguh - 367-388 The Dim Sum Bond Market in Hong Kong
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Ike Mathur & Soumen De - 389-400 Sentiment and Beta Herding in the Borsa Istanbul (BIST)
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Nazmi Demir & Syed F. Mahmud & M. Nihat Solakoglu - 401-416 Testing for Rational Speculative Bubbles in the Brazilian Residential Real-Estate Market
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Marcelo M. de Oliveira & Alexandre C. L. Almeida - 417-437 Challenges in the Application of Extreme Value Theory in Emerging Markets: A Case Study of Pakistan
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Jamshed Y. Uppal & Syeda Rabab Mudakkar
2012
- 3-14 Derivatives Securities Pricing and Modelling
In: Derivative Securities Pricing and Modelling
by Jonathan A. Batten & Niklas Wagner - 15-46 On the Role of Option Applications in Economic Instability
In: Derivative Securities Pricing and Modelling
by Kavous Ardalan - 47-70 Derivatives, Commodities, and Social Costs: Exploring Correlation in Economic Uncertainty
In: Derivative Securities Pricing and Modelling
by Aleksandr V. Gevorkyan & Arkady Gevorkyan - 71-92 Contingent Capital Securities: Problems and Solutions
In: Derivative Securities Pricing and Modelling
by Michalis Ioannides & Frank S. Skinner - 93-119 High Dimensionality in Finance: A Graph-Theory Analysis
In: Derivative Securities Pricing and Modelling
by Delphine Lautier & Franck Raynaud - 123-153 Recovering Stochastic Processes from Option Prices
In: Derivative Securities Pricing and Modelling
by Jens Carsten Jackwerth & Mark Rubinstein - 155-183 The Pricing Kernel Puzzle: Reconciling Index Option Data and Economic Theory
In: Derivative Securities Pricing and Modelling
by David P. Brown & Jens Carsten Jackwerth - 185-207 Risk-Neutral Densities and Catastrophe Events
In: Derivative Securities Pricing and Modelling
by Michael Herold & Matthias Muck - 211-225 Non-Gaussian Price Dynamics and Implications for Option Pricing
In: Derivative Securities Pricing and Modelling
by Miguel Angel Fuentes & Austin Gerig & Javier Vicente - 227-257 On the Empirical Behavior of Stochastic Volatility Models: Do Skewness and Kurtosis Matter?
In: Derivative Securities Pricing and Modelling
by Marco M. García-Alonso & Manuel Moreno & Javier F. Navas - 259-280 Re-Evaluating Hedging Performance for Asymmetry: The Case of Crude Oil
In: Derivative Securities Pricing and Modelling
by John Cotter & Jim Hanly - 281-302 On the Binomial-Tree Approach to Convertible Bonds Pricing and Risk Assessment
In: Derivative Securities Pricing and Modelling
by Krasimir Milanov & Ognyan Kounchev - 305-330 A New Paradigm for Inflation Derivatives Modeling
In: Derivative Securities Pricing and Modelling
by Lixin Wu - 331-350 An Option-Pricing Framework for the Valuation of Fund Management Compensation
In: Derivative Securities Pricing and Modelling
by Axel Buchner & Abdulkadir Mohamed & Niklas Wagner - 351-378 An Equity-Based Credit Risk Model
In: Derivative Securities Pricing and Modelling
by Gaia Barone - 379-398 Business Cycles and the Impact of Macroeconomic Surprises on Interest Rate Swap Spreads: Australian Evidence
In: Derivative Securities Pricing and Modelling
by Victor Fang & A.S.M. Sohel Azad & Jonathan A. Batten & Chien-Ting Lin - 399-427 The Evolution of the Use of Derivatives in Slovenian Non-Financial Companies
In: Derivative Securities Pricing and Modelling
by Ales Berk Skok & Igor Loncarski & Matevz Skocir
2011
- 3-16 The Impact of the Global Financial Crisis on Emerging Financial Markets
In: The Impact of the Global Financial Crisis on Emerging Financial Markets
by Jonathan A. Batten & Peter G. Szilagyi - 17-90 The Global Financial Crisis
In: The Impact of the Global Financial Crisis on Emerging Financial Markets
by Douglas Sikorski - 91-126 The Causes of the Global Financial Crisis
In: The Impact of the Global Financial Crisis on Emerging Financial Markets
by Ali M. El-Agraa - 127-153 The Impact of the Global Financial Crisis on Emerging and Newly Industrialized Asia
In: The Impact of the Global Financial Crisis on Emerging Financial Markets
by Irina Bunda & Subir Lall & Sunil Sharma - 155-195 Sailing Out of Crisis Emerging Markets Style
In: The Impact of the Global Financial Crisis on Emerging Financial Markets
by Willi Semmler & Aleksandr V. Gevorkyan - 199-229 Bargaining game and LDCs' commercial bank debt restructuring outcomes
In: The Impact of the Global Financial Crisis on Emerging Financial Markets
by Ki C. Han & Sukhun Lee & David Y. Suk - 231-253 Has International Financial Co-Movement Changed? Emerging Markets in the 2007–2009 Financial Crisis
In: The Impact of the Global Financial Crisis on Emerging Financial Markets
by John Ammer & Fang Cai & Chiara Scotti - 255-310 Financial Sector Surveillance and the IMF
In: The Impact of the Global Financial Crisis on Emerging Financial Markets
by Carlo Gola & Francesco Spadafora - 311-357 What can the East and Northeast Asian Communities Learn from the EU?
In: The Impact of the Global Financial Crisis on Emerging Financial Markets
by Ali M. El-Agraa - 361-377 Has the International Banking and Financial Crisis Damaged Emerging Market MNCs?
In: The Impact of the Global Financial Crisis on Emerging Financial Markets
by Jenny Berrill & Colm Kearney - 379-403 Changing Central Bank Transparency in Central and Eastern Europe During the Financial Crisis
In: The Impact of the Global Financial Crisis on Emerging Financial Markets
by Csaba Csavas & Szilard Erhart & Anna Naszodi & Klara Pinter - 405-422 Return Seasonality in Emerging Markets
In: The Impact of the Global Financial Crisis on Emerging Financial Markets
by Josep García Blandón - 423-447 How Long Memory in Volatility Affects Market Risk Estimation
In: The Impact of the Global Financial Crisis on Emerging Financial Markets
by Khaled Mokni & Faysal Mansouri - 449-471 Dependence and Return Distributions During Crises
In: The Impact of the Global Financial Crisis on Emerging Financial Markets
by Craig Ellis & Maike Sundmacher - 473-493 Elasticities of Stock Prices in Emerging Markets
In: The Impact of the Global Financial Crisis on Emerging Financial Markets
by Luiz Paulo Lopes Fávero & Fernando Barreira Sotelino - 495-522 Financial Crises Propagation
In: The Impact of the Global Financial Crisis on Emerging Financial Markets
by Elvira Sojli & Renée Fry - 523-544 Financial Crises and Structural Breaks in Autocorrelation on the Bric's Stock Markets
In: The Impact of the Global Financial Crisis on Emerging Financial Markets
by Galina Smirnova & Olga Saldakeeva & Sergey Gelman - 547-579 Macroeconomic Dynamics and the Term Structure of Interest Rates in Emerging Markets
In: The Impact of the Global Financial Crisis on Emerging Financial Markets
by Samer Shousha - 581-609 Subprime Crisis and its Impact on the Brazilian Mutual Fund Industry
In: The Impact of the Global Financial Crisis on Emerging Financial Markets
by Gyorgy Varga & Maxim Wengert - 611-624 Determining the RMB Exchange Regime
In: The Impact of the Global Financial Crisis on Emerging Financial Markets
by Xiaobing Feng & Ilan Alon - 625-643 Grass-Root stock market investment and long-term commonality in liquidity
In: The Impact of the Global Financial Crisis on Emerging Financial Markets
by Renaud Beaupain & Lei Meng & Marie Marticou - 645-667 Properties of Realized Correlation
In: The Impact of the Global Financial Crisis on Emerging Financial Markets
by Dimitrios I. Vortelinos - 669-708 Pricing the Currency Premium Under Flexible Exchange Rates
In: The Impact of the Global Financial Crisis on Emerging Financial Markets
by Martín Grandes & Marcel Peter & Nicolas Pinaud - 709-718 Determinants of Foreign Direct Investment in Thailand
In: The Impact of the Global Financial Crisis on Emerging Financial Markets
by Kevin Daly & Chanikarn Teresa Tosompark - 719-732 A Comparison of Financial Robustness in the United States and Turkey During 2007–2010
In: The Impact of the Global Financial Crisis on Emerging Financial Markets
by Paul Bennett & Oral Erdogan
2009
- 1-10 The transatlantic dialogue: An introduction
In: Personal Injury and Wrongful Death Damages Calculations: Transatlantic Dialogue
by John O. Ward & Robert J. Thornton - 1-30 Microfinance meets the market
In: Moving Beyond Storytelling: Emerging Research in Microfinance
by Robert Cull & Asli Demirgüç-Kunt & Jonathan Morduch - 11-34 The development of an actuarial approach to the calculation of future loss in the UK
In: Personal Injury and Wrongful Death Damages Calculations: Transatlantic Dialogue
by Matthias Kelly - 31-80 Microfinance and capital markets: The initial listing/public offering of four leading institutions
In: Moving Beyond Storytelling: Emerging Research in Microfinance
by Ira W. Lieberman & Anne Anderson & Zach Grafe & Bruce Campbell & Daniel Kopf - 35-71 Economic damages and tort reform: A comparative analysis of the calculation of economic damages in personal injury and death litigation in the United States and the United Kingdom
In: Personal Injury and Wrongful Death Damages Calculations: Transatlantic Dialogue
by John O. Ward - 73-101 Accounting for the effects of disablement on future employment in Britain
In: Personal Injury and Wrongful Death Damages Calculations: Transatlantic Dialogue
by Victoria Wass & Robert McNabb - 81-107 Role reversal: Public and Private Funders in microfinance
In: Moving Beyond Storytelling: Emerging Research in Microfinance
by Julie Abrams & Damian von Stauffenberg - 103-134 Estimating and using work life expectancy in the United Kingdom
In: Personal Injury and Wrongful Death Damages Calculations: Transatlantic Dialogue
by Zoltan Butt & Steven Haberman & Richard Verrall & Victoria Wass - 109-144 The great divide in microfinance: Political economy in microcosm
In: Moving Beyond Storytelling: Emerging Research in Microfinance
by Bruce E. Moon - 135-158 Markov work life table research in the United States
In: Personal Injury and Wrongful Death Damages Calculations: Transatlantic Dialogue
by Gary R. Skoog & James E. Ciecka - 145-181 The new moneylenders: Are the poor being exploited by high microcredit interest rates?
In: Moving Beyond Storytelling: Emerging Research in Microfinance
by Richard Rosenberg & Adrian Gonzalez & Sushma Narain - 159-191 Periodical payments awards and the transfer of risk
In: Personal Injury and Wrongful Death Damages Calculations: Transatlantic Dialogue
by Richard Cropper & Victoria Wass - 183-214 Microfinance during conflict: Iraq, 2003–2007
In: Moving Beyond Storytelling: Emerging Research in Microfinance
by Frank R. Gunter - 193-231 The U.S. approach to computing economic damages due to personal injury and wrongful death
In: Personal Injury and Wrongful Death Damages Calculations: Transatlantic Dialogue
by Kurt V. Krueger & Gary R. Albrecht - 215-249 Evaluating microfinance program innovation with randomized controlled trials: Examples from business training and group versus individual liability
In: Moving Beyond Storytelling: Emerging Research in Microfinance
by Dean Karlan & Tomoko Harigaya & Sara Nadel - 233-254 Principles of compensation for injury and wrongful death in Ireland
In: Personal Injury and Wrongful Death Damages Calculations: Transatlantic Dialogue
by Shane Whelan - 251-269 A framework for innovation roadmapping in microfinance information systems
In: Moving Beyond Storytelling: Emerging Research in Microfinance
by Todd A. Watkins - 255-275 Doing away with inequality in loss of enjoyment of life
In: Personal Injury and Wrongful Death Damages Calculations: Transatlantic Dialogue
by Giovanni Comandé - 271-284 Does one size fit all in microfinance? New directions for academic research
In: Moving Beyond Storytelling: Emerging Research in Microfinance
by Joshua K. Ault & Andrew Spicer - 277-289 Scheduled damages and the American tort environment
In: Personal Injury and Wrongful Death Damages Calculations: Transatlantic Dialogue
by Steven J. Shapiro & A.E. Rodriguez - 291-307 Examples of “schedules of damages” used in Europe and the United States
In: Personal Injury and Wrongful Death Damages Calculations: Transatlantic Dialogue
by Robert Minnehan - 309-320 International data and the forensic economist: A guide to sources and uses
In: Personal Injury and Wrongful Death Damages Calculations: Transatlantic Dialogue
by Michael J. Piette & David R. Williams
2007
- 1-8 Privatization in the Transition Economies: an Introduction
In: Privatization in Transition Economies: The Ongoing Story
by Ira W. Lieberman - 1-21 Introduction: Perspectives on Globalization from Central and Eastern Europe
In: Globalization: Perspectives from Central and Eastern Europe
by Katalin Fábián - 9-80 Chapter 1 An Overview of Privatization in Transition Economies
In: Privatization in Transition Economies: The Ongoing Story
by Ira W. Lieberman & Ioannis N. Kessides & Mario Gobbo - 25-63 Supraterritoriality, Embeddedness, or Both? Foreign Direct Investment in Central and Eastern Europe
In: Globalization: Perspectives from Central and Eastern Europe
by Nina Bandelj - 65-93 Neo-Liberal Supraterritoriality? The Impact of Economic Liberalization on Globalization in Central and Eastern Europe
In: Globalization: Perspectives from Central and Eastern Europe
by Petia Kostadinova - 81-136 Chapter 2 Leaps of Faith: Launching the Privatization Process in Transition
In: Privatization in Transition Economies: The Ongoing Story
by John Nellis - 95-133 Economic and Social Integration from Labor's Point of View: The EU and the central and Eastern European Countries
In: Globalization: Perspectives from Central and Eastern Europe
by Susan Glanz - 137-171 On Europe's Edge: Changing Borders in Central and Eastern Europe
In: Globalization: Perspectives from Central and Eastern Europe
by Margit Bessenyey Williams - 137-172 Chapter 3 Mass privatization in transition economies
In: Privatization in Transition Economies: The Ongoing Story
by Daniel Kopf & Ira W. Lieberman & Raj M. Desai - 173-195 Globalization, Regionalization, and Europeanization: Impact and Effects on Polish Policy-Making
In: Globalization: Perspectives from Central and Eastern Europe
by Maria Raquel Freire & Teresa Cierco - 173-203 Chapter 4 Why is China so Different from Other Transition Economies?
In: Privatization in Transition Economies: The Ongoing Story
by William P. Mako & Chunlin Zhang - 197-225 Globalization and National Interest in EU Enlargement: The Case of Germany and Poland
In: Globalization: Perspectives from Central and Eastern Europe
by Randall E. Newnham - 205-220 Chapter 5 Privatization in Romania from 1989 to 2007
In: Privatization in Transition Economies: The Ongoing Story
by Dick Welch - 221-260 Chapter 6 Balkan latecomer: The case of Serbian privatization
In: Privatization in Transition Economies: The Ongoing Story
by Mirko Cvetkovic & Alexander Pankov & Andrej Popovic - 227-250 Central and Eastern Europe in the Process of Globalization and Europeanization: Comparing the Czech Republic and Poland
In: Globalization: Perspectives from Central and Eastern Europe
by Břetislav Dančák & Vít Hloušek - 253-303 Norm Diffusion in Central and Eastern Europe's Domestic Violence Policies
In: Globalization: Perspectives from Central and Eastern Europe
by Katalin Fábián - 261-343 Chapter 7 The Rise and Fall of Russian Privatization
In: Privatization in Transition Economies: The Ongoing Story
by Ira W. Lieberman - 305-326 Europeanization and the Equal Opportunities Policy in Slovenia
In: Globalization: Perspectives from Central and Eastern Europe
by Živa Humer - 327-360 Global Civil Society and Policy Integration: The Marginalization of Polish and Czech Environmental Movements in the Face of Technocratic European Governance
In: Globalization: Perspectives from Central and Eastern Europe
by Lars K. Hallstrom - 345-370 Chapter 8 Methods and Institutions – How do They Matter?: Lessons from Privatization and Restructuring in the Post-Socialist Transition
In: Privatization in Transition Economies: The Ongoing Story
by Itzhak Goldberg & John Nellis
2006
- 1-18 Europe's Cautious Globalization
In: European Responses to Globalization
by Philip H. Gordon - 19-39 Can the European Union Control the Agenda of Globalization?
In: European Responses to Globalization
by Dorothee Heisenberg - 41-63 Who Steers the Field of Consumer Protection and Environmental Regulations? An American–European Comparison
In: European Responses to Globalization
by Paulette Kurzer - 65-92 Global Markets, Global Corporations: How European Competition Policy Responds to Globalization
In: European Responses to Globalization
by Teresa Rodríguez de las Heras Ballell - 93-110 Europe: Space, Territory and Identity
In: European Responses to Globalization
by Riva Kastoryano - 111-152 Against Domestic Violence: The Interaction of Global Networks with Local Activism in Central Europe
In: European Responses to Globalization
by Katalin Fábián - 153-177 Watery Spaces, Globalizing Places: Ownership and Access in Postsocialist Croatia
In: European Responses to Globalization
by Pamela Ballinger - 179-193 The World Trading System: In the Fog of Uncertainty
In: European Responses to Globalization
by Sylvia Ostry - 195-222 Globalisation vs
In: European Responses to Globalization
by Mike Wickens
2005
- 1-7 Litigation Economics
In: Developments in Litigation Economics
by Patrick A. Gaughan & Robert J. Thornton - 1-25 Asia Pacific Financial Markets in Comparative Perspective: Issues and Implications for the 21st Century
In: Asia Pacific Financial Markets in Comparative Perspective: Issues and Implications for the 21st Century
by Jonathan A. Batten & Thomas A. Fetherston - 9-27 The Forensic Economics of Medical Monitoring Damages in the United States
In: Developments in Litigation Economics
by George A. Barrett & Michael L. Brookshire - 29-51 The Role of the Japanese Yen in Asian Exchange Rate Determination
In: Asia Pacific Financial Markets in Comparative Perspective: Issues and Implications for the 21st Century
by Colm Kearney & Cal Muckley - 29-57 Securities Fraud Damages
In: Developments in Litigation Economics
by Bradford Cornell & John I. Hirshleifer & John N. Haut - 53-72 Does Statistical Dependence Matter? Evidence from the USD/AUD
In: Asia Pacific Financial Markets in Comparative Perspective: Issues and Implications for the 21st Century
by Craig A. Ellis - 59-81 Recent Developments in the Analysis of Employment Practices
In: Developments in Litigation Economics
by Joan G. Haworth & Janet R. Thornton & Paul F. White - 75-100 International Financial Integration: An Empirical Investigation into Asian Equity Markets Pre- and Post-1997 Asian Financial Crisis
In: Asia Pacific Financial Markets in Comparative Perspective: Issues and Implications for the 21st Century
by Xuan Vinh Vo & Kevin James Daly - 83-117 The Calculation and Use of Retirement Age Statistics: A Recap Since 1970
In: Developments in Litigation Economics
by Tamorah Hunt & Joyce Pickersgill & Herbert Rutemiller - 101-114 Financial Links and Contagion in the 1997 Asian Currency Crisis: An Empirical Examination
In: Asia Pacific Financial Markets in Comparative Perspective: Issues and Implications for the 21st Century
by Bang Nam Jeon - 115-137 Tangible and intangible non-current assets: Evidence of information content during economic crisis period
In: Asia Pacific Financial Markets in Comparative Perspective: Issues and Implications for the 21st Century
by Zaleha Abdul Shukor & Hamezah Md Nor & Muhd Kamil Ibrahim & Jagjit Kaur - 119-157 Recent Developments in the Measurement of Labor Market Activity
In: Developments in Litigation Economics
by Gary R. Skoog & James E. Ciecka - 139-166 Return and Volatility Spillovers from Developed to Emerging Capital Markets: The Case of South Asia
In: Asia Pacific Financial Markets in Comparative Perspective: Issues and Implications for the 21st Century
by Yun Wang & Abeyratna Gunasekarage & David M. Power - 159-203 Research and Practice Issues in Personal Injury and Wrongful Death Damages Analysis
In: Developments in Litigation Economics
by Frank Slesnick & James Payne & Robert J. Thornton - 167-176 A Note on the Equilibrium Relationships between Issuers in the Asia Pacific Region
In: Asia Pacific Financial Markets in Comparative Perspective: Issues and Implications for the 21st Century
by Jonathan A. Batten & Thomas A. Fetherston & Pongsak Hoontrakul - 179-197 Country and Sector Effects in Asia Pacific Markets
In: Asia Pacific Financial Markets in Comparative Perspective: Issues and Implications for the 21st Century
by Jianguo Chen & Yang Zhang & Ben R. Marshall - 199-219 US, European and Asian Investors in the Japanese Stock Market
In: Asia Pacific Financial Markets in Comparative Perspective: Issues and Implications for the 21st Century
by Akiko Kamesaka - 205-216 Economics and Economists in Merger Antitrust Enforcement
In: Developments in Litigation Economics
by Lawrence J. White - 217-266 The Economics of Punitive Damages: Post State Farm v. Campbell
In: Developments in Litigation Economics
by Patrick A. Gaughan - 221-234 The Options Holding Concentration Problem: Evidence from Australian Listed Corporations
In: Asia Pacific Financial Markets in Comparative Perspective: Issues and Implications for the 21st Century
by Tyrone M. Carlin & Guy Ford - 235-271 Loss aversion asset pricing model performance: empirical evidence from five pacific-basin countries
In: Asia Pacific Financial Markets in Comparative Perspective: Issues and Implications for the 21st Century
by David Ng & Mehdi Sadeghi - 267-306 New Developments in Business Valuation
In: Developments in Litigation Economics
by Patrick L. Anderson - 273-289 A Special and Undervalued Stock Market in Taiwan
In: Asia Pacific Financial Markets in Comparative Perspective: Issues and Implications for the 21st Century
by Yao-Chun Tsao & Wen-Kuei Chen - 293-337 The Derivation, Development, and Effects of Financial Reform in 10 Countries of Eastern Asia: Comparisons between Pre- and Post-Asia Financial Crisis
In: Asia Pacific Financial Markets in Comparative Perspective: Issues and Implications for the 21st Century
by Shu-Ling Lin - 307-325 Estimating Economic Loss for the Multi-Product Business
In: Developments in Litigation Economics
by Carroll Foster & Robert R. Trout - 339-359 Developing a Financial Derivatives Market in China
In: Asia Pacific Financial Markets in Comparative Perspective: Issues and Implications for the 21st Century
by Jing Chi & Martin Young - 361-415 Encouraging Growth in Asia with Multi-Pillar Financial Systems
In: Asia Pacific Financial Markets in Comparative Perspective: Issues and Implications for the 21st Century
by Mukund Narayanamurti & Jonathan A. Batten - 417-434 A Perspective on Japan's Corporate Bond Market
In: Asia Pacific Financial Markets in Comparative Perspective: Issues and Implications for the 21st Century
by Peter G. Szilagyi - 435-452 Corporate Governance and Social Responsibility: Combating Money Laundering in the Asia Pacific Region
In: Asia Pacific Financial Markets in Comparative Perspective: Issues and Implications for the 21st Century
by Bonnie Buchanan - 453-467 A Test of the Response to a Monetary Policy Regime Change in New Zealand
In: Asia Pacific Financial Markets in Comparative Perspective: Issues and Implications for the 21st Century
by David Tripe & John McDermott & Ben Petro - 469-505 The Prospects of a Regional Monetary Institution for the Asia Pacific
In: Asia Pacific Financial Markets in Comparative Perspective: Issues and Implications for the 21st Century
by Justin W. Iu
2002
- 1-4 1. The irish economy in transition
In: The Irish Economy in Transition: Successes, Problems, and Prospects
by Vincent G. Munley & Robert J. Thornton - 5-32 2. The Irish economy: Recent experience and prospects
In: The Irish Economy in Transition: Successes, Problems, and Prospects
by Mark Cassidy - 33-49 3. Foreign direct investment: The case of the electronics and pharmaceuticals industries
In: The Irish Economy in Transition: Successes, Problems, and Prospects
by Joe Durkan - 51-84 4. Nurturing indigenous entrepreneurship in Ireland: The case of the it software sector
In: The Irish Economy in Transition: Successes, Problems, and Prospects
by Connell Fanning & Ciaran Murphy - 85-105 5. Monetary and fiscal policy in EMU
In: The Irish Economy in Transition: Successes, Problems, and Prospects
by Rodney Thom - 107-141 6. Fiscal policy and the public finances: Creative approaches to pension funding
In: The Irish Economy in Transition: Successes, Problems, and Prospects
by John McHale - 143-177 7. Privatization of electricity and telecommunications in Ireland
In: The Irish Economy in Transition: Successes, Problems, and Prospects
by Moore McDowell - 179-203 8. Has Ireland outgrown its clothes? Infrastructural and environmental constraints in Ireland
In: The Irish Economy in Transition: Successes, Problems, and Prospects
by John Fitz Gerald - 205-223 9. Ireland in the 1990s: The problem of unbalanced regional development
In: The Irish Economy in Transition: Successes, Problems, and Prospects
by Michael J. Keane - 225-247 Ireland's social safety net
In: The Irish Economy in Transition: Successes, Problems, and Prospects
by Eithne Fitzgerald - 249-257 The celtic tiger: A view from the trenches of academia
In: The Irish Economy in Transition: Successes, Problems, and Prospects
by Michael P. Mortell