Content
November 2021, Volume 49, Issue 8
- 1321-1339 Rent index forecasting through neural networks
by Xiaojie Xu & Yun Zhang - 1340-1359 The effects of COVID-19 on trade, production, environmental quality and its implications for green economy
by Dinkneh Gebre Borojo & Jiang Yushi & Miao Miao - 1374-1386 Do consumer survey data help improve US vehicle sales forecasts?
by Hamid Baghestani - 1387-1421 Does intellectual property rights protection affect UK and US outward FDI and earnings from FDI? A sectoral analysis
by Glauco De Vita & Constantinos Alexiou & Emmanouil Trachanas & Yun Luo
December 2021, Volume 49, Issue 8
- 1360-1373 Does the short squeeze lead to market abnormality and antileverage effect? Evidence from the Gamestop case
by Evangelos Vasileiou - 1422-1452 Does the low-risk anomaly exist in the Indian equity market? A test using alternative risk measures
by Asgar Ali & K.N. Badhani & Ashish Kumar - 1453-1475 Non-linear pricing in E-commerce: an exploration
by Dipankar Das & Vivek Sharadadevi Jadhav - 1476-1490 Impact of COVID-19 on listed European electricity companies: a comparative analysis of investment in renewable and traditional electricity
by José Antonio Clemente-Almendros & Florin Teodor Boldeanu & Luis Alberto Seguí-Amórtegui - 1491-1501 How human capital affects labor income share at the sectoral level?: Evidence from the EU-13 countries and the UK
by Orkun Çelik - 1502-1523 Price extremes and asymmetric dependence structures in stock returns: the emerging market evidence
by Saji Thazhungal Govindan Nair - 1524-1547 Which professional skills value more under digital transformation?
by Sofia Paklina & Elena Shakina - 1548-1565 Market overreaction, firm-specific information and macroeconomic variables in US and Chinese markets during COVID-19
by Ooi Kok Loang & Zamri Ahmad - 1585-1608 A broad analysis of short-term overreactions in the market for cryptocurrencies
by Tobias Kellner & Dominik Maltritz
September 2021, Volume 49, Issue 7
- 1137-1158 Social welfare and bank performance: evidence from a stochastic neural hybrid MCDM approach
by Andrew Maredza & Peter Wanke & Jorge Antunes & Roberto Pimenta & Yong Tan
October 2021, Volume 49, Issue 7
- 1159-1180 A non-parametric framework for evaluating governance–efficiency–productivity associations in commercial banking
by Navendu Prakash & Shveta Singh & Seema Sharma - 1181-1196 Governance thresholds and the human capital–growth nexus
by Nicholas Apergis & Ghulam Mustafa & Muhammad Khan - 1197-1211 A cross-country analysis of the relationship between human capital and foreign direct investment
by Madhvi Sethi & Saina Baby & Aarti Mehta Sharma - 1212-1224 Real exchange rate synchronization in the NAFTA region
by Hamid Baghestani - 1269-1283 An empirical analysis of human trafficking in an era of globalization
by Yselle Flora Kuete Malah & Simplice Asongu
December 2021, Volume 49, Issue 7
- 1240-1268 The mechanisms linking the finance-growth relationship in view of the financial crisis: an empirical investigation of the EU countries
by Dimitrios Asteriou & Konstantinos Spanos - 1304-1319 Tornadoes, poverty and race in the USA: A five-decade analysis
by Russ D. Kashian & Tracy Buchman & Robert Drago
November 2021, Volume 49, Issue 7
- 1225-1239 Labor supply responses to income tax free and bracket expansions
by Panayiota Lyssiotou & Elena Savva - 1284-1303 Corn trade simulations of China: reduction in tariffs versus expansion in tariff-rate quotas
by Kai Liu & Masato Yamazaki & Atsushi Koike & Yueying Mu
December 2021, Volume 49, Issue 6
- 1092-1116 Public debt management and the interaction between fiscal and monetary policies
by Wellington Charles Lacerda Nobrega & Cássio da Nóbrega Besarria & Edilean Kleber da Silva Bejarano Aragón
July 2021, Volume 49, Issue 6
- 960-977 Monetary and macroprudential policies in the presence of external shocks: evidence from an emerging economy
by Alexander Lubis & Constantinos Alexiou & Joseph G. Nellis - 978-1001 Share price informativeness and dividend smoothing behavior in GCC markets
by Razaz Felimban & Sina Badreddine & Christos Floros
August 2021, Volume 49, Issue 6
- 937-959 Nonlinearities and asymmetric adjustment to PPP in an exchange rate model with inflation expectations
by Christina Anderl & Guglielmo Maria Caporale - 1002-1016 Testing the convergence and the divergence in five Asian countries: from a GMM model to a new Machine Learning algorithm
by Cosimo Magazzino & Marco Mele & Nicolas Schneider - 1017-1032 Nexus between oil price uncertainty and corporate social responsibility: evidence from US firms
by Guenichi Hassen & Khalfaoui Hamdi
September 2021, Volume 49, Issue 6
- 1033-1054 Natural resources, institutions and the quality-adjusted human capital
by Soran Mohtadi - 1055-1075 Model selection in time series analysis: using information criteria as an alternative to hypothesis testing
by R. Scott Hacker & Abdulnasser Hatemi-J - 1076-1091 Banking market structure and efficiency: an assessment of the USA and Canada
by Salah U-Din & David Tripe - 1117-1136 Effect of multilateral trade liberalization on services export diversification
by Sena Kimm Gnangnon
June 2021, Volume 49, Issue 5
- 793-808 Fiscal adjustments, income inequality and economic growth: an empirical analysis of Japanese prefectures
by Patricia Kako Ouraga - 809-820 Income and healthcare financing system in the United States: an asymmetric analysis
by Mehdi Barati & Hadiseh Fariditavana - 821-832 Assessing the impact of Covid-19 pandemic in Turkey with a novel economic uncertainty index
by Erhan Mugaloglu & Ali Yavuz Polat & Hasan Tekin & Edanur Kılıç - 833-849 Are firms' expectations on the availability of external finance rational, adaptive or regressive?
by Dimitrios Anastasiou & Stelios Giannoulakis
July 2021, Volume 49, Issue 5
- 773-792 Exploring the motivations of using companies registered in tax havens to invest in UK housing market
by Cornelia Agyenim-Boateng - 850-875 Liquidity management and monetary transmission: empirical analysis for India
by Vikas Charmal & Ashima Goyal - 876-887 Government failures and non-performing loans in European countries: a spatial approach
by Ferdinando Ofria & Massimo Mucciardi - 888-901 The excessive gaming and gambling during COVID-19
by Theodoros Daglis - 902-919 Economic policy uncertainty and company's human capital
by Iuliia Naidenova - 920-936 Interest rate forecasts in Latin America
by Ibrahim Filiz & Jan René Judek & Marco Lorenz & Markus Spiwoks
July 2021, Volume 49, Issue 4
- 665-682 Political machines and the curse of public resources in subnational democracies
by Andrés Cendales & Nestor Garza & Andres Arcila
May 2021, Volume 49, Issue 4
- 603-622 Demographic changes and savings behavior: the experience of a developing country
by Ebrahim Rezaei - 623-646 Uncertainty and nonlinear macroeconomic effects of fiscal policy in the US: a SEIVAR-based analysis
by Ansgar Belke & Pascal Goemans - 647-664 Does disease outbreak news impact equity, commodity and foreign exchange market? Investors' fear of the pandemic COVID-19
by Imlak Shaikh & Toan Luu Duc Huynh - 699-715 Remittances and food security
by Yogeeswari Subramaniam & Tajul Ariffin Masron & Nik Hadiyan Nik Azman - 716-734 Education in the times of a pandemic: parental socioeconomic characteristics and time spent educating children
by Stefani Milovanska-Farrington - 735-750 Evaluating the wage differential between the formal and informal economy: a gender perspective
by Colin Williams & Ardiana Gashi
April 2021, Volume 49, Issue 4
- 577-602 Effects of economic policy uncertainty and political uncertainty on business confidence and investment
by Gabriel Caldas Montes & Fabiana da Silva Leite Nogueira
June 2021, Volume 49, Issue 4
- 683-698 The impact of long-term riskless asset on ensuring liquidity and preventing banking fragility
by Mahmoud Shahin - 751-771 Liquidity and asset pricing: evidence from a new free-float-adjusted price impact ratio
by Huong Le & Andros Gregoriou
March 2021, Volume 49, Issue 3
- 397-421 Income and factor substitution: an investigation on the Solow growth model under the constant elasticity of substitution
by Sedat Alatas - 422-434 An examination of calendar anomalies: evidence from the Thai stock market
by Rattaphon Wuthisatian - 435-452 How successful countries are in promoting digital transactions during COVID-19
by Hoda Mansour - 453-471 Impact of general trust on bank risk-taking: the moderating effect of confidence in banks
by Heba Masoud & Mohamed Albaity - 472-488 Attitudes and responses to corruption in tax systems: peer effects and social influences in transition countries
by John E. Anderson - 489-505 The gender wage gap and the presence of foreign firms in Vietnam: evidence from unconditional quantile regression decomposition
by Dao Dinh Nguyen & Xinran Zhang & Trang Huyen Nguyen - 506-521 Determinants of working capital: empirical evidence on manufacturing SMEs
by Filipe Sardo & Zélia Serrasqueiro
April 2021, Volume 49, Issue 3
- 522-540 The impact of monetary policy on income inequality: evidence from Eurozone markets
by Konstantina Liosi & Spyros Spyrou - 541-557 Bayesian monthly index for building activity based on mixed frequencies: the case of Chile
by Byron J. Idrovo-Aguirre & Javier E. Contreras-Reyes - 558-575 Remittances, electricity consumption and electric power losses in Jamaica
by Anupam Das & Adian McFarlane
January 2021, Volume 49, Issue 2
- 213-226 Culture and income across countries: evidence from family ties
by Sokchea Lim & Simran K. Kahai & Channary Khun
February 2021, Volume 49, Issue 2
- 227-242 Measuring contagion during COVID-19 through volatility spillovers of BRIC countries using diagonal BEKK approach
by Kunjana Malik & Sakshi Sharma & Manmeet Kaur - 243-258 A new method to solve fuzzy stochastic finance problem
by Jayanta Kumar Dash & Sumitra Panda & Golak Bihari Panda - 259-273 Stock market implications of Fed's balance sheet size
by Asif M. Ruman - 274-289 Stock markets' reaction to COVID-19: evidence from the six WHO regions
by Anas Ali Al-Qudah & Asma Houcine - 290-302 The wage premium and market structure: theory and empirical evidence from Chilean manufacturers
by Ruohan Wu & Mario Javier Miranda & Meng-Fen Yen - 315-329 Self-employment and economic growth in developing countries: is more self-employment better?
by Sridevi Yerrabati - 330-345 Terrorism, innovation and venture capital
by Moshfique Uddin & Ashraful Alam & Hassan Yazdifar & Moade Shubita
March 2021, Volume 49, Issue 2
- 303-314 Does financial inclusion induce poverty, income inequality, and financial stability: empirical evidence from the 54 African countries?
by Iftikhar Khan & Ismail Khan & Aziz Ullah Sayal & Muhammad Zubair Khan - 346-363 The effects of corruption on growth, human development and natural resources sector: empirical evidence from a Bayesian panel VAR for Latin American and Nordic countries
by Dante A. Urbina & Gabriel Rodríguez - 364-378 Impact of foreign direct investment and international tourism on long-run economic growth of Estonia
by Amin Sokhanvar & Glenn P. Jenkins - 379-393 GDP and population growth: Evidence of fractional cointegration with historical data from 1820 onwards
by Luis Gil-Alana & Cecilia Font & Águeda Gil-López
February 2021, Volume 49, Issue 1
- 198-212 Inefficiency patterns in family-owned banks in Bangladesh
by Mette Asmild & Dorte Kronborg & Tasmina Mahbub & Kent Matthews
January 2021, Volume 49, Issue 1
- 95-111 Income inequality and financialization: a not so straightforward relationship
by Constantinos Alexiou & Emmanouil Trachanas & Sofoklis Vogiazas - 112-125 Was trade openness with China an initial driver of cross-country human coronavirus infections?
by Gregory N. Price & Doreen P. Adu - 126-139 The link between financial stress index and economic activity: prominent Granger causalities across frequencies in Luxembourg
by Pejman Bahramian & Andisheh Saliminezhad & Şule Aker - 140-158 Evaluating survey-based forecasts of interest rates and macroeconomic variables
by Athanasios Fassas & Stephanos Papadamou & Dimitrios Kenourgios - 159-184 The complex relationship between inflation and equity returns
by Jinan Liu & Apostolos Serletis - 185-197 Output hysteresis in the US: new evidence from a time-varying Verdoorn's law
by Pedro Clavijo-Cortes
January 2021, Volume 48, Issue 7
- 1245-1266 Is there a nonlinear relationship between financial development and poverty in Africa?
by Segun Thompson Bolarinwa & Abiodun Adewale Adegboye & Xuan Vinh Vo
December 2020, Volume 49, Issue 1
- 1-22 International capital flows with safe assets accumulation
by Ly Dai Hung - 23-43 Assessing the 2010–2018 financial crisis in Greece, Portugal, Ireland, Spain, and Cyprus
by Kjell Hausken & Jonathan W. Welburn - 44-60 Determinants of bank profitability: evidence from 47 Asian countries
by Abdulazeez Y.H. Saif-Alyousfi - 61-76 The impact of economic freedom on the gender pay gap: evidence from a survey of UK households
by Nicholas Apergis & Nicola Lynch - 77-94 Impact of institutional and cultural distances on ASEAN's trade efficiency
by Nguyen Khanh Doanh & Linh Tuan Truong & Yoon Heo
December 2020, Volume 48, Issue 8
- 1421-1441 Industrial growth in sub-Saharan Africa: evidence from machine learning with insights from nightlight satellite images
by Christian Otchia & Simplice Asongu - 1480-1496 Are stable cryptocurrencies exempted from impossible trinity?
by Dimitrios Koutsoupakis - 1528-1547 The commons problem in the presence of negative externalities
by Nahid Masoudi & Donique Bowie - 1548-1572 Crisis determination and financial contagion: an analysis of the Hong Kong and Tokyo stock markets using an MSBVAR approach
by Haytem Troug & Matt Murray - 1573-1590 Corporate governance and financial performance: evidence from Romania
by Mirela Oana Pintea & Andreea Mădălina Pop & Marius Dan Gavriletea & Ioana Cristina Sechel - 1591-1623 The colonial exports pattern, institutions and current economic performance
by Tania El Kallab & Cristina Terra - 1624-1648 A panel path analysis approach to the determinants of coronavirus disease 2019 transmission: does testing matter for confirmed cases?
by Gour Gobinda Goswami & ARM Mehrab Ali & Sharose Islam
November 2020, Volume 48, Issue 8
- 1401-1420 International capital flows in club of convergence
by Ly Dai Hung & Hoan Nguyen Thi Thuy - 1442-1459 Prioritizing intentions behind investment in cryptocurrency: a fuzzy analytical framework
by Swati Gupta & Sanjay Gupta & Manoj Mathew & Hanumantha Rao Sama - 1460-1479 Corporate real estate ownership, cash and credit ratings
by Stoyu I. Ivanov & Matthew Faulkner - 1497-1511 Imperatives of functioning of the financial market of Ukraine in the global space of debt loading
by Natalia V. Trusova & Inna Ye. Yakusheva & Yuliia M. Zavoloka & Alina H. Yefremenko & Yuliia A. Malashenko & Maryna V. Sidnenko - 1512-1527 The dynamic relationships between the female labour force and the economic growth
by Durmuş Çağrı Yıldırım & Hilal Akinci
November 2020, Volume 48, Issue 7
- 1284-1298 Asymmetric transport costs and welfare implications through a firm-delocation effect
by Dionysios Karavidas - 1299-1322 Distributional effects of distinct aid types on local economic development in Malawi: new evidence
by Nixon Shingai Chekenya & Canicio Dzingirai - 1323-1335 The impact of ethnic diversity on the quality of exports: evidence from China
by Tuan Anh Luong - 1336-1345 Evaluation of changes in alcohol consumption: evidence from Russia
by Tatiana Kossova & Elena Kossova & Arina Sitnikova & Maria Sheluntcova - 1346-1370 Does infrastructure promote exports and foreign direct investment in selected Southeast Asian economies? An application of global infrastructure index
by Faheem Ur Rehman & Abul Ala Noman - 1371-1387 Transboundary air pollution and respiratory disease mortality: evidence from European countries
by Jonathan Spiteri & Philip von Brockdorff - 1388-1400 Inbound Australian tourism demand from Asia: a panel gravity model
by Sudeshna Ghosh
October 2020, Volume 48, Issue 7
- 1267-1283 Internal audit as an antecedent of economic growth
by Abdulaziz Alzeban
November 2020, Volume 48, Issue 6
- 1194-1206 Analysis of the effects of (de)regulation on housing prices in Spain 1977–2019
by Virginia De Jorge-Huertas & Justo De Jorge-Moreno - 1207-1227 Monetary policy shock and industrial production: industry-level evidence from the US
by Nazneen Ahmad & Sandeep Kumar Rangaraju
September 2020, Volume 48, Issue 6
- 1097-1110 The 2008–2009 global financial crisis and the cost of debt capital among SMEs: Swedish evidence
by Darush Yazdanfar & Peter Öhman
October 2020, Volume 48, Issue 6
- 1111-1127 Intellectual capital and value: testing new IC measures in Russia
by Danila Ovechkin & Natalia Boldyreva & Vladimir Davydenko - 1128-1144 Market structure and knowledge acquisition by firms
by Pedro Hemsley & Rafael Morais & Karinna Di Iulio - 1145-1161 Parametric estimation of a gauge function and a measure of technical efficiency
by Yongseung Han & Thomas Littlefield & Myeong Hwan Kim - 1162-1176 What is the effect of banking concentration and competition on financial development? An international assessment
by Claudio Oliveira De Moraes & José Americo Pereira Antunes & Márcio Silva Coutinho - 1177-1193 Globalization and female economic participation in MINT and BRICS countries
by Tolulope Osinubi & Simplice Asongu - 1228-1243 International trade, non-tariff measures and climate change: insights from Port wine exports
by Anthony Macedo & Sofia Gouveia & João Rebelo & João Santos & Helder Fraga
September 2020, Volume 48, Issue 5
- 929-944 Foreign direct investment, natural resources and economic growth: a threshold model approach
by Arshad Hayat & Muhammad Tahir - 945-967 Asymmetries in the euro area and TFP growth: evidence from three major European economies
by Alessandro Bellocchi & Edgar Sanchez Carrera & Giuseppe Travaglini - 996-1019 Sibship size and educational attainment of Canadian baby boomers
by Maryam Dilmaghani - 1020-1034 Consumer default and optimal consumption decisions
by Alexandros P. Bechlioulis & Sophocles N. Brissimis - 1064-1083 Permanent and transitory effect of public debt on economic growth
by Attahir Babaji Abubakar & Suleiman O. Mamman - 1084-1096 Explaining the informal economy in Western Europe: beyond a rational economic actor perspective
by Colin Williams & Gamze Oz-Yalaman
October 2020, Volume 48, Issue 5
- 968-980 Does terrorism hamper FDI inflows? A pre and post 9/11 analysis
by Imtiaz Arif & Amna Sohail Rawat & Lubna Khan - 981-995 Factors affecting profitability of pharmaceutical company: an Indonesian evidence
by Harianto Lim & Rofikoh Rokhim - 1035-1063 The Vietnamese business cycle in an estimated small open economy New Keynesian DSGE model
by Phuong V. Nguyen
October 2020, Volume 48, Issue 4
- 852-868 Further attempt to explain the oil curse mechanism using a debt overhang concept
by Mahieddine Adnan Ghecham
July 2020, Volume 48, Issue 4
- 741-760 The difference in the FDI – private investment relationship between developed and developing countries: does it stem from governance environment?
by Van Bon Nguyen - 761-785 How do the financial and oil sanctions affect the Iran's economy: a DSGE framework
by Seyyed Reza Nakhli & Monireh Rafat & Rasul Bakhshi Dastjerdi & Meysam Rafei
April 2020, Volume 48, Issue 4
- 912-927 The impact of the reform of PIS/COFINS on the Brazilian industry
by Pedro Gomes Vasconcelos & Nelson Leitão Paes
September 2020, Volume 48, Issue 4
- 817-835 Does video games’ popularity affect unemployment rate? Evidence from macro-level analysis
by Petr Parshakov & Sofiia Paklina & Dennis Coates & Aleksei Chadov - 893-911 Time-varying monetary policy reaction function under asymmetric preferences: revisiting the Brazilian inflation targeting experience
by Diego Ferreira & Andreza Aparecida Palma & Marcos Minoru Hasegawa
August 2020, Volume 48, Issue 4
- 786-803 The Spanish paradox: demand growth with productivity stagnation
by Luis Cárdenas del Rey & Rafael Fernandez-Sanchez - 804-816 Airbnb and hotel revenues in popular Greek destinations
by Nicholas Apergis & Tasawar Hayat & Tareq Saeed - 836-851 The impact of the COVID-19 lockdown on stock market performance: evidence from Vietnam
by Dao Le Trang Anh & Christopher Gan - 869-892 Determinants of FDI in producer services: evidence from Chinese aggregate and sub-sectoral data
by Runda Gao & Glauco De Vita & Yun Luo & Jason Begley
August 2020, Volume 48, Issue 3
- 587-603 Rental market and macroeconomics: evidence for the US
by Vinicius Phillipe de Albuquerquemello & Cássio Besarria - 660-698 Sovereign credit news and disagreement in expectations about the exchange rate: evidence from Brazil
by Diego Silveira Pacheco de Oliveira & Gabriel Caldas Montes
February 2020, Volume 48, Issue 3
- 720-740 Macroeconomic and macro-financial factors as leading indicators of non-performing loans
by Karsten Staehr & Lenno Uusküla
September 2020, Volume 48, Issue 3
- 699-719 Variations in economic growth across states in Malaysia: an exploratory analysis
by Yusniliyana Yusof & Kaliappa Kalirajan
June 2020, Volume 48, Issue 3
- 497-515 Personality traits as an engine of knowledge: a quantile regression analysis
by Michael Polemis
July 2020, Volume 48, Issue 3
- 516-536 How heterogeneity of recipients influences the income equalising impact of migrants’ remittances
by Azizun Nessa - 537-556 Impact of the institutional quality on NAFTA's international trade: a system GMM approach
by Yoon Heo & Nguyen Thi Thanh Huyen & Nguyen Khanh Doanh - 557-570 Role of demographic factors in economic growth of South Asian countries
by Kashif Munir & Faqeer Syed Umaid Shahid - 571-586 The threshold effect of firm size on technological innovation: examination of panel data from China
by Xiaoxue Zhou & Yu Li & Yao Zhang - 604-615 The asymmetric Brazilian input–output network
by Jennifer Gonçalves & Raul Matsushita & Sergio Da Silva - 616-640 Insecurity versus immaturity: estimating the link between organizational age and indirect risks
by Ummad Mazhar - 641-659 Fiscal management performance and local economic development: evidence from a large emerging economy
by Helder Ferreira de Mendonça & Matheus Souza Peçanha
September 2020, Volume 48, Issue 2
- 275-295 Macroeconomic shocks and credit risk stress testing the Iranian banking sector
by Fatemeh Abdolshah & Saeed Moshiri & Andrew Worthington
June 2020, Volume 48, Issue 2
- 257-274 The impact of institutional proximity, cognitive proximity and agglomeration economies on firm-level productivity
by Lisa Noonan & Eoin O'Leary & Justin Doran - 333-353 Trade and commodity taxes as environmental instruments in an open economy
by Onur A. Koska & Frank Stähler & Onur Yeni - 367-391 On the performance of US fiscal forecasts: government vs. private information
by Zidong An & Joao Tovar Jalles - 392-412 Should we increase average income, or the poor’s income to reduce infant and child mortality?
by Johan Rewilak - 413-427 Economic policy uncertainty, R&D expenditures and innovation outputs
by Reza Tajaddini & Hassan F. Gholipour - 468-494 Do fiscal shocks explain bond yield in high- and low-debt economies?
by Nicholas Apergis & Mobeen Ur Rehman & Arusha Cooray
May 2020, Volume 48, Issue 2
- 296-312 European intellectual property institutions and Chinese foreign direct investment
by Constantinos Alexiou & Sofoklis Vogiazas - 313-332 Company performance and optimal capital structure: evidence of transition economy (Russia)
by Vladislav Spitsin & Darko Vukovic & Sergey Anokhin & Lubov Spitsina - 354-366 Market frictions and the geographical location of global stock exchanges. Evidence from the S&P Global Index
by Andros Gregoriou & Robert Hudson
July 2020, Volume 48, Issue 2
- 428-448 Exploring new Internet measurements on international trade and global human resources
by Tina T. Swan & Bruce Q. Swan & Zuopeng (Justin) Zhang - 449-467 Overeducation, persistence and unemployment in Spanish labour market
by Nuria Sánchez-Sánchez & Adolfo Cosme Fernández Puente
June 2020, Volume 48, Issue 1
- 63-78 Assessing the trade of digitisable goods: implications for South Asia
by Rahul Nath Choudhury - 133-165 Does higher educational attainment imply less crime? Evidence from the Indian states
by Bijoy Rakshit & Yadawananda Neog - 167-190 Optimal fiscal and monetary policy under different fiscal instruments
by Mehrab Kiarsi
April 2020, Volume 48, Issue 1
- 1-19 Credit risk shocks and banking efficiency: a study based on a bootstrap-DEA model with nonperforming loans as bad output
by Renyu Li & Li Li & Peijiang Zou - 21-34 Australian household debt and the macroeconomic environment
by Bill Kolios - 103-132 Macaulay’s theory of duration: 80-year thematic bibliometric review of the literature
by Syed Alamdar Ali Shah & Raditya Sukmana & Bayu Arie Fianto
September 2020, Volume 48, Issue 1
- 211-222 Daily abnormal price changes and trading strategies in the FOREX
by Guglielmo Maria Caporale & Alex Plastun
May 2020, Volume 48, Issue 1
- 35-61 Are we working less? An examination of changing UK labour supply decisions since the 1990s
by Paul S. Jones & Muhammad Ali Nasir - 79-101 The nexus of asset pricing, volatility and the business cycle
by Rahul Roy & Santhakumar Shijin - 191-209 The interaction between housing prices and housing credit: evidence from a country with rapid credit accumulation
by Juan Carlos Cuestas & Merike Kukk - 223-241 Worked hours, job satisfaction and self-perceived health
by Xavier Bartoll & Raul Ramos - 243-254 Labor demographics and productivity: all-star roster turnover and foreigners
by Martin B. Schmidt
May 2020, Volume 47, Issue 7
- 1669-1688 Effects of crime and violence on business confidence: evidence from Rio de Janeiro
by André Filipe Guedes Almeida & Gabriel Caldas Montes - 1689-1710 Harnessing foreign aid for the poor: role of institutional democracy
by Eric Akobeng - 1711-1732 Intellectual capital and technical efficiency of banks in an emerging market: a slack-based measure
by King Carl Tornam Duho - 1733-1755 The impacts of foreign direct investment and globalisation on economic growth in West Africa: examining the role of political governance
by Waliu Olawale Shittu & Hammed Agboola Yusuf & Abdallah El Moctar El Houssein & Sallahuddin Hassan - 1787-1810 A comparative approach of stochastic frontier analysis and data envelopment analysis estimators: evidence from banking system
by Kekoura Sakouvogui
April 2020, Volume 47, Issue 7
- 1533-1577 A survey of empirical findings on unconventional central bank policies
by Stephanos Papadamou & Costas Siriopoulos & Nikolaos A. Kyriazis - 1579-1589 The nexus of trade-weighted dollar rates and the oil prices: an asymmetric approach
by Abdulnasser Hatemi-J & Youssef El-Khatib - 1591-1603 Performance measurement of gas companies with fixed-sum inputs: a DEA-based model
by Hamzeh Amirteimoori & Alireza Amirteimoori & Mahdi Karbasian - 1605-1627 Misallocation and reallocation of resources in Vietnamese manufacturing firms
by Phuong Thi Nguyen & Minh Khac Nguyen - 1629-1647 Asymmetric impact of exchange rate pass-through into employees' wages in sub-Saharan Africa: panel non-linear threshold estimation
by Idris Abdullahi Abdulqadir & Soo Y. Chua - 1649-1667 Estimating effect of marriage on male wages in Russia
by Elena Kossova & Bogdan Potanin & Maria Sheluntcova - 1757-1785 The convergence of carbon dioxide emissions: a survey of the empirical literature
by James E. Payne - 1811-1847 Microfinance governance: a systematic review and future research directions
by Md. Ali Rasel & Sandar Win - 1849-1860 The global price of oil, QE and the US high yield rate
by Anastasios Malliaris & Mary E. Malliaris
July 2020, Volume 47, Issue 6
- 1363-1376 Institutional quality and access to financial services: evidence from European transition economies
by Germana Corrado
May 2020, Volume 47, Issue 6
- 1233-1246 Obesity and motor vehicle deaths: a panel-data analysis
by Mary J. Becker & Lindsay N. Calkins & Walter Simmons & Andrew M. Welki & Thomas J. Zlatoper - 1247-1264 Market power and cost efficiency in the African banking industry
by Simplice Asongu & Rexon Nting & Joseph Nnanna - 1265-1280 Split-share reforms and capital structure adjustment in China: a dynamic panel fractional estimation
by Tanveer Ahsan & Sultan Sikandar Mirza & Bakr Al-Gamrh & Muhammad Zubair Tauni - 1327-1337 Effect of debt tax benefits on corporate pension funding and risk-taking
by Kozo Omori & Tomoki Kitamura - 1339-1361 A small open economy DSGE model with workers' remittances
by Muhammad Rehman & Sajawal Khan & Zafar Hayat & Faruk Balli - 1377-1399 The inflation hedging capacity of Islamic and conventional equities
by Zaghum Umar & Dimitrios Kenourgios & Muhammad Naeem & Khadija Abdulrahman & Salma Al Hazaa - 1467-1494 Open economy macroeconomics of commodity price fluctuation, sectoral inter-linkage and employment
by Moumita Basu & Ranjanendra Narayan Nag
April 2020, Volume 47, Issue 6
- 1495-1505 Wage–employment elasticity: a meta-analysis referring to Colombia
by Jhon J. Mora & Juan Muro - 1507-1532 Information asymmetry and dividend policy of Sarbanes-Oxley Act
by Mostafa Harakeh & Ghida Matar & Nagham Sayour
June 2020, Volume 47, Issue 6
- 1197-1232 How does finance influence labour market outcomes? A review of empirical studies
by Mark Heil - 1281-1306 The effect of card payments on VAT revenue in the euro area: evidence from a panel VECM
by George Hondroyiannis & Dimitrios Papaoikonomou