Content
September 2014, Volume 41, Issue 5
- 630-643 Sensitivity analysis in an imperfect substitutes model of preferential trade
by Kenneth A. Reinert - 644-671 Does structural economic vulnerability matter for public indebtedness in developing countries?
by Sèna Kimm Gnangnon - 672-695 Which firms export? An empirical analysis for the manufacturing sector in the MENA region
by Ali Fakih & Pascal L. Ghazalian - 696-707 Recent trends in factor income shares: a global perspective
by Alexei Izyumov & John Vahaly - 708-720 Time-inconsistency problem: less common than we think
by Julio Cesar Albuquerque Bastos & Helder Ferreira de Mendonça & Gabriel Montes - 721-736 Firing tax vs severance payments – an unequal comparison
by Dennis Wesselbaum - 737-750 Does regional currency integration ameliorate global macroeconomic shocks in sub-Saharan Africa? The case of the 2008-2009 global financial crisis
by Gregory N. Price & Juliet U. Elu
July 2014, Volume 41, Issue 4
- 494-525 A multigenerational mobility study: empirical evidence from Brazil
by Cassia Marchon - 526-553 Software piracy, inequality and the poor: evidence from Africa
by Simplice Asongu - 554-568 Non-linear dynamics of employment, output and real wages in Canada
by Adian A. McFarlane & Anupam Das & Murshed Chowdhury - 569-585 A typology of propagation of technology and social preferences in the process of economic development
by Eduardo A. Haddad & Weslem R. Faria & Joaquim J.M. Guilhoto - 586-600 Econometric investigation of internet banking adoption in Greece
by Georgia Giordani & Christos Floros & Guy Judge - 601-614 Financial crisis, oil shock and trade in Asia
by Seyed Komail Tayebi & Mehdi Yazdani - 615-628 Market efficiency and the basis in the European Union Emissions Trading Scheme
by Andros Gregoriou & Jerome Healy & Nicola Savvides
May 2014, Volume 41, Issue 3
- 346-369 Globalization (fighting), corruption and development
by Simplice Asongu - 370-386 Inflation, inflation uncertainty and output growth: what does the data say for Malaysia?
by Ahmad Zubaidi Baharumshah & Siew-Voon Soon - 387-404 Effects of reputation and credibility on monetary policy: theory and evidence for Brazil
by Gabriel Caldas Montes & Julio Cesar Albuquerque Bastos - 405-430 The effect of market structure, regulation, and risk on banks efficiency
by Aktham I. Maghyereh & Basel Awartani - 431-452 Labor productivity and obsolete skills in a growth model with production by layers
by Orlando Gomes - 453-468 Labor market performance of dropouts: the role of personality
by Jutta Viinikainen & Katja Kokko & Lea Pulkkinen & Jaakko Pehkonen - 469-490 Does income matter in the happiness-corruption relationship?
by Mak Arvin & Byron Lew
March 2014, Volume 41, Issue 2
- 166-195 Financial development dynamic thresholds of financial globalization
by Simplice Asongu - 196-215 Threshold effects of exchange rate depreciation and money growth on inflation
by Rizki E. Wimanda - 216-232 Multivariate modelling of 10-day-ahead VaR and dynamic correlation for worldwide real estate and stock indices
by Stavros Degiannakis & Apostolos Kiohos - 233-252 Does political risk deter FDI inflow?
by Gour Gobinda Goswami & Samai Haider - 253-271 Assessing some stylized facts about financial market indexes: a Markov copula approach
by Osvaldo Candido Silva Filho & Flavio Augusto Ziegelmann - 272-291 Value creation through intellectual capital in developed European markets
by Elena Shakina & Angel Barajas - 292-316 Determinants of stock exchange integration: evidence in worldwide perspective
by Ekaterina Dorodnykh - 317-344 Do return and volatility traverse the Middle Eastern and North African (MENA) stock markets borders?
by Elie I. Bouri & Georges Yahchouchi
January 2014, Volume 41, Issue 1
- 2-11 Mean reversion in per capita GDP of Asian countries
by Aviral Kumar Tiwari & K.G. Suresh - 12-28 Predicting with a small amount of data: an application of fuzzy reasoning to regional disparities
by David Philip McArthur & Sylvia Encheva & Inge Thorsen - 29-50 Public infrastructure investment and fiscal sustainability in Latin America: incompatible goals?
by Luis Carranza & Christian Daude & Angel Melguizo - 51-70 Does the formation of RTA support the neoclassical growth theory and convergence hypothesis?
by A.K.M. Nurul Hossain & Mohammad Abdul Munim Joarder - 71-86 Inflation and inflation-uncertainty in India: the policy implications of the relationship
by Abdur Chowdhury - 87-100 Are US state and local governments consumption smoothers?
by Maria Cornachione Kula - 101-122 The relationship between the shares of nutrient consumed across selected food groups and income in Nigeria
by Kolawole Ogundari - 123-139 Innovation in centralized organizations: examining evidence from Soviet Russia
by Dmitriy Chulkov - 140-162 Kaldor-Verdoorn's law and increasing returns to scale
by Emanuele Millemaci & Ferdinando Ofria
October 2013, Volume 40, Issue 6
- 704-719 The cyclicality of the demand for crude oil: evidence from the OECD
by George Tawadros - 720-738 Institution and decomposition of natural disaster impact on growth
by Eiji Yamamura - 739-762 Investor sentiment and yield spread determinants: evidence from European markets
by Spyros Spyrou - 763-774 Connecting corruption to ethnic polarization and religious fractionalization
by Edward Nissan & Shahdad Naghshpour - 775-793 An investigation on competitiveness in services: Turkey versus European Union
by Mahmut Hiziroglu & Abdulkadir Hiziroglu & Abdullah Hulusi Kokcam - 794-821 Gender effects of education on economic development in Turkey
by Aysit Tansel & Nil Gungor - 822-834 Nuclear energy, CO2emissions and economic growth
by Abdullah Alam
October 2013, Volume 40, Issue 5
- 600-613 What determines individuals' preferences for efficiency over equity-based wages?
by Prosper F. Bangwayo-Skeete & Afaf H. Rahim & Precious Zikhali - 614-634 Institutions and growth: a developing country case study
by Luciano Nakabashi & Ana Elisa Gonçalves Pereira & Adolfo Sachsida - 635-643 Estimating the time varying NAIRU in Iran
by Abbas Valadkhani & Sayyed M. Mehdee Araee - 644-657 Dynamics of obesity in Finland
by Ferda Halicioglu - 658-670 Predicting informed trading at merger announcements
by Rebecca Abraham & Charles Harrington - 671-685 Informal economy and spatial mobility: are informal workers economic refugees?
by Marcelo Arbex & Ricardo Freguglia & Flavia Chein - 686-698 Energy consumption, pollution and economic development in 16 emerging countries
by Usama Al-mulali & Che Normee Che Sab
August 2013, Volume 40, Issue 4
- 448-468 Real estate market factors and foreign real estate investment
by Hassan Gholipour Fereidouni & Tajul Ariffin Masron - 469-492 Credibility and the credit channel transmission of monetary policy theoretical model and econometric analysis for Brazil
by Gabriel Caldas Montes & Caroline Cabral Machado - 493-514 Corporate financing activities, fundamentals to price ratios and the cross section of stock returns
by Georgios Papanastasopoulos & Dimitrios Thomakos & Tao Wang - 515-527 Determinants of foreign direct investment in OECD member countries
by Abdullah Alam & Syed Zulfiqar Ali Shah - 528-548 Strong hysteresis in Brazilian imports: a panel cointegration approach
by Diogo de Prince & Sérgio Kannebley Junior - 549-571 An evaluation of Malaysian capital controls
by Fouzia Amin & Sanmugam Annamalah - 572-596 A conditionally heteroskedastic global inflation model
by Leonardo Morales‐Arias & Guilherme V. Moura
July 2013, Volume 40, Issue 3
- 284-297 The effect of labour earnings on post retirement income
by Roberta Adami & Orla Gough & Angeliki Theophilopoulou - 298-313 Real exchange rate misalignment and economic growth in Malaysia
by Hock Tsen Wong - 314-333 Economic uncertainty and money demand stability in Turkey
by K. Azim Özdemir & Mesut Saygılı - 334-354 Economic policies, macroeconomic environment and entrepreneurs' expectations
by Gabriel Caldas Montes & Júlio Cesar Albuquerque Bastos - 355-389 Trade performances and technology in the enlarged European Union
by Alessandro Antimiani & Valeria Costantini - 390-410 Financial sector consolidation and competition in Malaysia
by Fadzlan Sufian & Muzafar Shah Habibullah - 411-443 Empirical tests of the Marshall‐Lerner condition: a literature review
by Mohsen Bahmani & Hanafiah Harvey & Scott W. Hegerty
May 2013, Volume 40, Issue 2
- 112-126 Earnings announcements and the components of the bid‐ask spread
by Andros Gregoriou - 127-179 The place of the eurozone countries in the international economy
by Paraschos Maniatis - 180-202 Oil price shocks and stock market behaviour in Nigeria
by Musibau Adetunji Babatunde & Olayinka Adenikinju & Adeola F. Adenikinju - 203-221 The London 2012 Olympic Games announcement and its effect on the London Stock Exchange
by Dimitrios Asteriou & Aristeidis Samitas & Dimitrios Kenourgios - 222-239 Routes to educational success for low achievers
by Pamela Lenton - 240-254 Balance‐of‐payments‐constrained growth in a multisectoral framework
by Raphael Rocha Gouvêa & Gilberto Tadeu Lima - 255-279 South American immigrants in the USA
by Carlos Medina & Christian Posso
January 2013, Volume 40, Issue 1
- 4-21 Inequality decomposition by population subgroups and income sources in Sri Lanka
by Indunil De Silva - 22-38 Decomposing European NUTS2 regional inequality from 1980 to 2009
by Justin Doran & Declan Jordan - 39-53 The political economy of emiratization in the UAE
by Hugo Toledo - 54-70 Financial market reactions to announcements of monetary policy decisions
by Helder Ferreira de Mendonça & Ivando Faria - 71-87 An evaluation of the Brazilian informal labor market from 1995 to 2008
by Paulo Roberto Amorim Loureiro & Ricardo Azevedo Araujo & Nathalia Almeida de Souza - 88-97 Conditional pricing of risks
by Ron Yiu Wah Ho & Roger Strange & Jenifer Piesse - 98-106 Factor endowment, human capital, and inequality in developing countries
by Minh Quang Dao
October 2012, Volume 39, Issue 6
- 620-638 The impact of banking development on the size of shadow economies
by Niloy Bose & Salvatore Capasso & Martin Andreas Wurm - 639-652 Economic growth, foreign direct investment and corruption in developed and developing countries
by Marie Freckleton & Allan Wright & Roland Craigwell - 653-674 Performance pay and employee turnover
by Patrick L. O'Halloran - 675-696 Bank profitability and inflation: the case of China
by Yong Tan & Christos Floros - 697-708 Exchange rate effects on trade in services
by Charalambos Pattichis - 709-723 Private sector balance, financial markets, and US cycle: a SVAR analysis
by Paolo Casadio & Antonio Paradiso - 724-739 Education inequality in Ghana: gender and spatial dimensions
by Bernardin Senadza
September 2012, Volume 39, Issue 5
- 488-511 The internationalization of venture capital
by Joshua Aizenman & Jake Kendall - 512-536 Dynamic multiplier effects of remittances in developing countries
by Roy Peter David Karpestam - 537-553 An analysis of barter in the broadcasting industry
by Akbar Marvasti - 554-575 Educational segregation and the gender wage gap in Greece
by Ilias Livanos & Konstantinos Pouliakas - 576-589 Competition among ASEAN members in the East Asia market
by Shuquan He - 590-603 Specialization and market development as engines of growth
by Kerk L. Phillips - 604-618 Signalling by banks using loan loss provisions: the case of the European Union
by Stergios Leventis & Panagiotis E. Dimitropoulos & Asokan Anandarajan
August 2012, Volume 39, Issue 4
- 380-397 Financial regulation and transparency of information: evidence from banking industry
by Helder Ferreira de Mendonça & Délio José Cordeiro Galvão & Renato Falci Villela Loures - 398-409 For an international clearing union
by Romar Correa - 410-419 Government size, public debt and real economic growth: a panel analysis
by William R. DiPeitro & Emmanuel Anoruo - 420-439 Dual nominal anchors in the Caribbean
by Tarron Khemraj & Sukrishnalall Pasha - 440-450 Determinants of the property‐liability insurance market: evidence from Portugal
by Maria Teresa Medeiros Garcia - 451-468 Asset prices and monetary policy in Kenya
by Roseline Nyakerario Misati & Esman Morekwa Nyamongo - 469-484 Monetary policy rules for Indonesia: which type is the most efficient?
by Rizki E. Wimanda & Paul M. Turner & Maximilian J.B. Hall
July 2012, Volume 39, Issue 3
- 280-289 Federal Reserve forecasts of nonfarm payroll employment across different political regimes
by Hamid Baghestani & Barry Poulson - 290-313 Taking care of your own: ethnic and religious heterogeneity and income inequality
by Oguzhan C. Dincer & Peter J. Lambert - 314-326 Exploring Egypt‐China bilateral trade: dynamics and prospects
by Assem Reda Abu Hatab & Nada Abdelhamed Shoumann & Huo Xuexi - 327-336 Tax‐spend nexus in Greece: are there asymmetries?
by Nicholas Apergis & James E. Payne & James W. Saunoris - 337-355 The present value model and Thailand's current account balance
by Ahmad Zubaidi Baharumshah & Hamizun Bin Ismail - 356-367 Is China compatible with ASEAN‐5? A gradual cointegration analysis
by Hway‐Boon Ong & Muzafar Shah Habibullah - 368-378 Asymmetric interaction between government spending and terms of trade volatility
by Abdulnasser Hatemi‐J & Manuchehr Irandoust
May 2012, Volume 39, Issue 2
- 128-143 Impure public technologies and environmental policy
by Anil Markandya & Dirk T.G. Rübbelke - 144-160 A bootstrap test for causality with endogenous lag length choice: theory and application in finance
by Scott Hacker & Abdulnasser Hatemi‐J - 161-177 Financial assets, linear and nonlinear policy rules
by Ndahiriwe Kasaï & Ruthira Naraidoo - 178-211 Financial crises, stock returns and volatility in an emerging stock market: the case of Jordan
by Samer AM Al‐Rjoub & Hussam Azzam - 212-230 Do happiness and foreign aid affect bilateral migrant remittances?
by B. Mak Arvin & Byron Lew - 231-259 Untangling the non‐linear causal nexus between exchange rates and stock prices
by Shyh‐Wei Chen & Tzu‐Chun Chen - 260-274 Has the Koreanchaebolmodel succeeded?
by Seung‐Rok Park & Ky‐hyang Yuhn
January 2012, Volume 39, Issue 1
- 4-12 Momentum trading strategy and investment horizon: an experimental study
by Yuri Khoroshilov - 13-30 Foreign trade zones in the United States
by Belay Seyoum & Juan Ramirez - 31-43 Technology diffusion indexes across countries
by Edward Nissan & Farhang Niroomand - 44-62 Infrastructure and productivity in Latin America: is there a relationship in the long run?
by Vladimir Kühl Teles & Caio Cesar Mussolini - 63-83 Constructing macroeconomic performance index of Indian states using DEA
by Biresh K. Sahoo & Debashis Acharya - 84-105 Microenterprise financing preference
by Eric Osei‐Assibey & Godfred A. Bokpin & Daniel K. Twerefou - 106-124 Protectionism under R&D policy: innovation rate and welfare
by Felipa de Mello‐Sampayo & Sofia de Sousa‐Vale & Francisco Camões & Orlando Gomes
November 2011, Volume 38, Issue 6
- 620-636 Has the link between inflation uncertainty and interest rates changed after inflation targeting?
by Girijasankar Mallik & Ramprasad Bhar - 637-657 Testing for nonlinearity of exchange rates: an information‐theoretic approach
by Yuqin Zhang & Abdol S. Soofi & Shouyang Wang - 658-672 Self‐employed workers' health and household labour supply
by Mauricio Reis - 673-690 Great recession versus great depression: monetary, fiscal and banking policies
by Cinzia Alcidi & Daniel Gros - 691-702 Nonlinear stationarity of real interest rates in the EMU countries
by Su Zhou - 703-724 Distinctive demand and risk characteristics of residential housing loan market in India
by Arindam Bandyopadhyay & Asish Saha - 725-740 Is industrial agglomeration increasing? New evidence from a small open economy
by Andrew James Crawley & Stephen Hill
September 2011, Volume 38, Issue 5
- 504-527 Financial system stress and unemployment in industrial countries
by Horst Feldmann - 528-536 Transportation oil demand, consumer preferences and asymmetric prices
by David C. Broadstock & Alan Collins & Lester C. Hunt - 537-545 The theoretical financial model of access pricing
by Chun‐Hung Chen & Ting‐Kun Liu - 546-561 Relative price variability and the Phillips Curve: evidence from Turkey
by A. Nazif Çatik & Christopher Martin & A. Özlem Onder - 562-576 Macroeconomic determinants of remittances for a dollarized economy: the case of El Salvador
by Ramon A. Castillo‐Ponce & Victor Hugo Torres‐Preciado & Jose Luis Manzanares‐Rivera - 577-603 On the marginal social cost of cash‐cum‐in‐kind transfers
by Lucas Duarte & Enlinson Mattos & Juliana Serillo - 604-618 Fiscal policy and economic growth in South Africa
by Matthew Kofi Ocran
September 2011, Volume 38, Issue 4
- 360-383 Is China's independent director system working? The case of the electronics industry
by Yenpao Chen & Chien‐Hsun Chen & Will C. Wu - 384-397 Factor adjustment implications of a Trade Promotion Agreement between the United States and Colombia
by Don P. Clark - 398-413 A re‐examination of Wagner's Law using US total state and local expenditure and its sub‐categories
by Saeid Mahdavi - 414-429 Effect of inflation uncertainty, output uncertainty and oil price on inflation and growth in Australia
by Girijasankar Mallik & Anis Chowdhury - 430-451 Analyzing the efficiency of Russian firms
by Susan J. Linz & Ilya Rakhovsky - 452-482 Economic growth with space and fiscal policies with housing and public goods
by Wei‐Bin Zhang - 483-500 The diffusion of ATM technology in Indian banking
by Lakshmi Kumar & D. Malathy & L.S. Ganesh
August 2011, Volume 38, Issue 3
- 236-252 Convergence patterns in the world economy: exploring the nonlinearity hypothesis
by Panagiotis Artelaris & Paschalis A. Arvanitidis & George Petrakos - 253-274 Evidence on the impact of exchange rate regimes on bilateral FDI flows
by Andrew J. Abbott & Glauco De Vita - 275-286 Linkages and technology spillovers in the presence of foreign firms
by Sanja Samirana Pattnayak & Shandre M. Thangavelu - 287-300 Fragmentation in the automobile manufacturing industry: evidence from Portugal
by Horácio C. Faustino & Nuno Carlos Leitão - 301-312 Growth regressions and data revisions in Penn World Tables
by Paul Atherton & Simon Appleton & Michael Bleaney - 313-330 Foreign direct investment and employment in manufacturing and services sectors
by Koi Nyen Wong & Tuck Cheong Tang - 331-357 Financial structure and economic growth link in African countries: a panel cointegration analysis
by Abdullahi D. Ahmed & Abu N.M. Wahid
May 2011, Volume 38, Issue 2
- 132-143 On the dynamics of poverty and income inequality in US states
by Nicholas Apergis & Oguzhan Dincer & James E. Payne - 144-155 Monetary policy inertia: case of Jordan
by Osama D. Sweidan - 156-170 Can imports mitigate racial earnings inequality?
by Jacqueline Agesa & Richard U. Agesa & Carlos Lopes - 171-185 Beyond competing theories of the hidden economy
by Colin C. Williams & John Round - 186-202 How can Iran's black market exchange rate be managed?
by Abbas Valadkhani & Majid Nameni - 203-217 Public debt and risk premium
by Helder Ferreira de Mendonça & Marcio Pereira Duarte Nunes - 218-230 Are shocks to national income persistent? New global evidence
by Seema Narayan & Paresh Kumar Narayan
January 2011, Volume 38, Issue 1
- 5-16 The operational performance of UK airlines: 2002‐2007
by A. George Assaf & Alexander Josiassen - 17-29 A comparative study on the health care and medical service consumption of urban and rural households in China
by Xianbo Zhou & Fengping Tian - 30-51 Development strategy in offshore markets: evidence from the Channel Islands
by Bruce Hearn - 52-65 The Nordic experience revisited: labour market booms and slumps since the 1990s in Finland and Sweden
by Jaakko Pehkonen & Hector Sala & Pablo F. Salvador - 66-90 Innovation, industrial relations and employee outcomes: evidence from Italy
by Davide Antonioli & Massimiliano Mazzanti & Paolo Pini - 91-113 Some structural issues in demand and supply of global food production
by Masudul Alam Choudhury - 114-127 Long‐term effects of fiscal policies in Portugal
by Alfredo Marvão Pereira & Oriol Roca‐Sagalés
November 2010, Volume 37, Issue 6
- 580-596 The J‐ and S‐curves: a survey of the recent literature
by Mohsen Bahmani‐Oskooee & Scott W. Hegerty - 597-615 Conflict inflation: an open economy approach
by Leonardo Vera - 616-626 The effect of monetary policy on house price inflation
by Rangan Gupta & Alain Kabundi - 627-646 An ARDL model of unrecorded and recorded economies in Turkey
by Roberto Dell'Anno & Ferda Halicioglu - 647-657 The impact of the Athens Olympic Games on the Athens Stock Exchange
by Christos Floros - 658-666 Savings and investment in South Asia
by Abu N.M. Wahid & Mohammad Salahuddin & Abdullah M. Noman
September 2010, Volume 37, Issue 5
- 476-494 Outward FDI and economic growth
by Dierk Herzer - 495-504 Marginal intra‐industry trade and adjustment costs in the first phase of transition
by Imre Fertő & Károly Attila Soós - 505-524 Employment and unemployment duration in less developed regions
by Ioannis Theodossiou & Grigoris Zarotiadis - 525-543 Intellectual property rights and development: the spatial relationships
by Kristie Briggs - 544-556 Obesity and motor vehicle deaths in the USA: a state‐level analysis
by Walter O. Simmons & Thomas J. Zlatoper - 557-577 Banking development, human capital and economic growth in Sub‐Saharan Africa (SSA)
by Mobolaji Hakeem I.
September 2010, Volume 37, Issue 4
- 356-376 Brazil's long‐term growth performance: trying to explain the puzzle
by Ricardo Adrogué & Martin Cerisola & Gaston Gelos - 377-404 Consumer confidence, endogenous growth and endogenous cycles
by Orlando Gomes - 405-418 A wavelet network model for analysing exchange rate effects on interest rates
by Alper Ozun & Atilla Cifter - 419-437 Assessing a feasible degree of product market integration: a pilot analysis
by Konstantin Gluschenko & Darya Karchevskaya - 438-454 Why do some countries have a long‐term dependence on food aid?
by Winston Moore & Sunielle Stanford - 455-470 The death rates of smokers and their external effects
by John Douglas Skåtun
August 2010, Volume 37, Issue 3
- 248-266 Trade linkages between China, India and Singapore
by Ananda Jayawickrama & Shandre M. Thangavelu - 267-287 What causes economic growth in Portugal: exports or inward FDI?
by Jorge M. Andraz & Paulo M.M. Rodrigues - 288-313 Productivity growth of European retailers: a benchmarking approach
by Justo de Jorge Moreno - 314-326 Dynamic effects of trade and output volatility on the trade‐growth nexus
by Renuka Mahadevan & Sandy Suardi - 327-342 Gradualism in monetary policy and fiscal equilibrium
by Helder Ferreira de Mendonça & Manoel Carlos de Castro Pires - 343-353 Is financial development a spur to poverty reduction? Kenya's experience
by Nicholas M. Odhiambo
May 2010, Volume 37, Issue 2
- 152-180 Peaks and valleys
by Charles N. Noussair & Owen Powell - 181-195 Forecasting the South African economy: a hybrid‐DSGE approach
by Guangling “Dave” Liu & Rangan Gupta & Eric Schaling - 196-207 Factors influencing Federal Reserve forecasts of inflation
by Hamid Baghestani & Bassam AbuAl‐Foul - 208-218 An extended DEA windows analysis: Middle East and East African seaports
by Ahmed Salem Al‐Eraqi & Adli Mustafa & Ahamad Tajudin Khader - 219-227 Decomposition of economic growth in Bulgaria by industry
by Stanislav Ivanov & Craig Webster - 228-240 Growth, investment and military expenditure in the European Union‐15
by Christos Kollias & Suzanna‐Maria Paleologou
January 2010, Volume 37, Issue 1
- 4-25 Endogenous corruption in economic development
by Keith Blackburn & Niloy Bose & M. Emranul Haque - 26-35 Modeling the non‐linear behaviour of option price deviations from the Black Scholes model
by Andros Gregoriou - 36-52 The case for abolishing the higher education state monopoly in Continental Western Europe
by Michael Mitsopoulos & Theodore Pelagidis - 53-95 Survey of the international evidence on the causal relationship between energy consumption and growth
by James E. Payne