Content
February 2012, Volume X, Issue 1
- 6-15 Non-Performing Assets of Commercial Banks: A Case Study
by Rosy Kalra - 16-38 Savings, Investment and Economic Growth in Nigeria: An Empirical Analysis
by Ben Obi & Gobna Obida Wafure & Auta Elisha Menson - 39-58 Inflation Targeting and Economic Stability in East Asian Countries
by G Babu Rao
November 2011, Volume IX, Issue 4
- 6-42 Estimating a Small Open-Economy Model for Egypt: Spillovers, Inflation Dynamics, and Implications for Monetary Policy
by Elif C Arbatli & Kenji Moriyama - 43-55 Macroeconomic Variables and Stock Prices in India: An Empirical Analysis
by T Sampath - 56-80 An Empirical Investigation of the Nexus Among Money Balances, Commodity Prices and Consumer Goods Prices
by Francesco Grigoli
August 2011, Volume IX, Issue 3
- 7-19 Testing for Weak Form of Market Efficiency in Indian Foreign Exchange Market
by Anoop S Kumar - 20-49 Exchange Rate in a Resource-Based Economy in the Short-Term: The Case of Russia
by Vladimir Popov - 50-67 Determinants of Foreign Direct Investment: The Case of Nigeria
by Abu Nurudeen, Obida Gobna Wafure & Elisha Menson Auta
May 2011, Volume IX, Issue 2
- 6-38 Analysis of the Dynamics of Mexican Inflation Using Wavelets
by Carla Ysusi - 39-75 Stock Returns and Inflation in India: An Empirical Analysis
by Jyoti Kumari - 76-96 The Recent Performance of the Traditional Measure of Core Inflation in G7 Countries
by Luciana Lo Bue & Antonio Ribba
February 2011, Volume IX, Issue 1
- 6-21 Exports, Imports and Economic Growth: An Empirical Analysis of Tunisia
by Qazi Muhammad Adnan Hye & Houda Ben Haj Boubaker - 22-45 Money Supply and Inflation: A Historical Analysis
by Rajkumar A Waingade - 46-65 Readiness of ASEAN Banking Sector Integration: Recent Development and Statistical Evidence
by Har Wai-Mun & Lee Teck-Heang & Tam Cai-Lian - 66-83 Exchange Rate Pass-Through in the Mideast Region: Evidence from Egypt and Israel
by Ahmed Sabry Abou-Zaid
November 2010, Volume VIII, Issue 4
- 7-13 Relationship Between Budget Deficit and Trade Deficit: A Case Study of Pakistan Economy
by Qazi Muhammad Adnan Hye & Asghar Ali - 14-22 The Effect of Uncertainty in Inflation Expectations on Private Investment
by Yaron Zelekha - 23-45 Stability of Demand for Money Function by Business Firms in India
by Sherry Bawa & Gian Kaur - 46-58 The Economic Exchange Rate Exposure: Evidence for a Small Open Economy
by Abdul Rashid - 59-74 Financial Liberalization and the Effectiveness of Monetary Policy on House Prices in South Africa
by Ndahiriwe Kasai & Rangan Gupta - 75-78 Evidence on PPP from Middle Income Countries in the Nonlinear STAR Framework
by Shabbir Ahmad
August 2010, Volume VIII, Issue 3
- 6-30 The Monetary Transmission Mechanism in the Euro-Area: A VAR Analysis for Austria and Germany
by Bernhard Bartels - 31-59 The Dynamics of Structural Shocks
by Aleksandra Zdzienicka - 60-68 Efficacy of Monetary Policy in Curtailing Consumption: Empirical Evidence from Fiji
by Saten Kumar - 69-82 Export-Led Growth Hypothesis in India: Some Further Evidences
by Md. Zulquar Nain & Wasim Ahmad
February & May 2010, Volume VIII, Issue 1 & 2
- 7-22 Seasonal Patterns of Inflation Uncertainty for the US Economy: An EGARCH Model Results
by Hakan Berument & Nezir Kose & Afsin Sahin - 23-44 Inflation Expectations and Monetary Policy Rules: Findings from Indonesian Economy
by Syurkani Ishak-Kasim & Abdullahi D Ahmed - 45-53 Is There a Long-Term Effect of Inflation Uncertainty on Unemployment?
by Yaron Zelekha - 54-76 Governmental Budget Deficits and Interest Rates: A Post Keynesian Approach to the Ricardian Equivalence Proposition in Greece
by Christos F Stournaras - 77-112 Exchange Rate Puzzles: A Review of the Recent Theoretical and Empirical Developments
by Thabo M Mokoena & Rangan Gupta & Renee van Eyden - 113-127 Inflation and Trade Openness: Empirical Investigation for India
by Ajit R Joshi & Debashis Acharya
August 2009, Volume VII, Issue 3-4
- 7-43 International Observations of Monetary Policy Periods
by Yamin Ahmad - 44-72 Understanding the Importance of the Duration and Size of the Variations of Fed’s Target Rate
by Florian Ielpo & Dominique Gúegan - 73-84 Economic Growth Convergence in Asia, 1970-2003: Empirical Evidence from the Solow Model
by Georgios Karras - 85-100 How Stable is the Demand for Money in Malaysia? New Empirical Evidence from Rolling Regression
by Chor Foon Tang - 101-115 Market Microstructure Approach to the Exchange Rate Determination Puzzle
by Thabo M Mokoena & Rangan Gupta & Renee van Eyden - 116-127 Empirical Evidence on Fiscal Policy Sustainability in Argentina
by María Florencia Aráoz & Ana María Cerro & Osvaldo Meloni & Tatiana Soria Genta
May 2009, Volume VII, Issue 2
- 6-16 Japanese Yen as an Alternative Vehicle Currency in Asian Countries
by M Azali & R C Royfaizal & C Lee - 17-31 An Empirical Analysis of Exchange Rate Pass-Through in India: Relevance for Inflation Management
by Amaresh Samantaraya - 32-41 Stability Analysis in a Monetary Model With a Varying Intertemporal Elasticity of Substitution
by Orlando Gomes - 42-70 Asymmetric Information, Stock Returns and Monetary Policy
by Bedri Kamil Onur Tas
February 2009, Volume VII, Issue 1
- 6-67 Multistage Models of Monetary Exchange: An Elementary Discussion of Commodity Money, Fiat Money and Credit, Part 4
by Thomas Quint & Martin Shubik - 68-77 Has Financial Liberalization Reduced Liquidity Constraints in Malaysia? Some Empirical Results
by Muzafar Shah Habibullah & Peter Smith - 78-98 Interest Rates and the Demand for Money in Bangladesh: An Empirical Investigation with Quarterly Data, 1997Q4-2006Q4
by Akhand Akhtar Hossain & Sayera Younus
November 2008, Volume VI, Issue 4
- 6-17 Is it Time for Reinventing Inflation Indices in India?
by Mita H Suthar - 18-62 Stress Testing of the Stability of the Italian Banking System: A VAR Approach
by Renato Filosa - 63-90 Modeling and Forecasting the Metical-Rand Exchange Rate
by Samuel Zita & Rangan Gupta
August 2008, Volume VI, Issue 3
- 6-13 Do Exchange Rates Cause Stock Prices, or Vice-Versa? Evidence From Malaysia
by Mohd. Fahmi Ghazali & Siti Hajar Samsu & Ooi Ai Yee & Nelson Lajuni - 14-39 Currency Crises and Monetary Policy in Economies with Partial Dollarization of Liabilities
by Christian Proa~no & Peter Flaschel & Willi Semmler - 40-50 Does Credit Channel Matter in the Conduct of Monetary Policy in Singapore?
by Wai-Ching Poon - 51-70 Monetary Hyperinflations, Speculative Hyperinflations and Modeling the Use of Money
by Alexandre Sokic - 71-83 Macroeconomic Fluctuations and Stabilization Policy Implications for Lesotho
by Powell L Mohapi & Matamatama C Mohapi
May 2008, Volume VI, Issue 2
- 7-30 The Commodity Currency Puzzle
by Hilde C Bjørnland & Håvard Hungnes - 31-42 Does the Exchange Rate Really Affect Consumer Spending?
by John J Heim - 43-49 Bank Rate and Interest Yield Differentials as Determinants of Foreign Exchange Rate in India
by Mita H Suthar - 50-78 Emerging Asia’s Growth and Integration: How Autonomous are Business Cycles?
by Rasmus Rüffer & Marcelo Sánchez & Jian-Guang Shen
February 2008, Volume VI, Issue 1
- 6-33 Financial Liberalization: A Myth or a Miracle Cure?
by Rangan Gupta & Andreas G Karapatakis - 34-60 Monetary Transmission and Bank Lending in Portugal: A Sectoral Approach
by Jose Alberto Fuinhas - 61-85 Informedness of Economic Agents and the Quantity Theory of Money
by Stanley C W Salvary
November 2007, Volume V, Issue 4
- 66-83 Real Balances and Industrial Output in Bangladesh: Is There a Production Relationship Between Them?
by Akhand Akhtar Hossain - 84-102 Exchange Rate Pass-Through in Emerging Markets
by Michele Ca’ Zorzi & Elke Hahn & Marcelo Sánchez
August 2007, Volume V, Issue 3
- 6-23 Determinants of Credit Demand in Uganda
by F N Okurut - 24-37 Real Interest Rates Equalization: The Case of Malaysia and Singapore
by Tai-Hu Ling, & Venus Khim-Sen Liew & Syed Azizi Wafa Syed Khalid Wafa - 38-48 A Macroeconomic Model for a Developing Economy with a Binding Foreign Exchange Constraint
by Tamal Datta Chaudhuri - 49-56 Recent Developments in Monetary Macroeconomics and US Dollar Policy
by William T Gavin - 57-78 Re-examining the Choice among Monetary Aggregates: Evidence from the Canadian Economy
by Jonathan Lebi & Jagdish Handa
May 2007, Volume V, Issue 2
- 6-26 The Theory of Money and Financial Institutions: A Summary of a Game Theoretic Approach
by Martin Shubik - 27-35 The Stability of Demand for Money in Bangladesh: Time Series Methods
by Saten Kumar - 36-50 Does Permanent Income Hypothesis Hold for African Countries? An Empirical Evidence
by Emmanuel Anoruo & Habtu Braha - 51-62 High Inflation and Corporate Debt Maturity: The Case of Turkey, 1988-94
by Federico Guerrero - 63-73 The Effect of Financial Depth on Monetary Transmission
by Danny Pitzel & Lenno Uusküla
February 2007, Volume V, Issue 1
- 6-18 Income Distribution and Monetary Policy in Small Open Economies
by Christopher Malikane - 19-29 Structural Changes in Australia’s Monetary Aggregates and Interest Rates
by Abbas Valadkhani & Mosayeb Pahlavani - 30-59 Monetary Policy Transmission Mechanisms in the CEECs: How Important are the Differences with the Euro Area?
by Jérôme Creel* & Sandrine Levasseur - 60-83 Measuring Monetary Policy Efficiency in European Union Countries: The Pre-EMU Years
by Stefan Krause
November 2006, Volume IV, Issue 4
- 6-28 A Test Of The Strategic Effect Of Basel Ii Operational Risk Requirements On Banks
by Carolyn Currie - 29-47 British Interest Rate Convergence Between The Us And Europe: A Recursive Cointegration Analysis
by Enzo Weber - 48-63 Eu-Wide Money And Currency Substitution
by Miguel Lebre de Freitas - 64-85 Monetary And Fiscal Policy Macroeconomic Outcomes: The Case Of Lebanon
by Ali Salman Saleh & Charles Harvie
August 2006, Volume IV, Issue 3
- 6-25 On The Relationship Between Latin American Exchange Rates And Interest Rates
by Ansgar Belke & Kai Geisslreither & Daniel Gros - 26-36 The Dynamic Relationship Between The Stock Price And Exchange Rate In India
by Purna Chandra Padhan - 37-56 Transitional Exchange Rate Policy In A Low Per Capita Income Country
by Ashima Goyal - 57-77 Describing The Fed’S Conduct With Taylor Rules: Is Interest Rate Smoothing Important?
by Efrem Castelnuovo
May 2006, Volume IV, Issue 2
- 6-31 A Less Effective Monetary Transmission In The Wake Of European Monetary Union (Emu)? Evidence From Lending Rates Pass-Through
by Gianluca Di Lorenzo & Giuseppe Marotta - 52-72 The Role Of Money Demand In A Business Cycle Model With Staggered Wage Contracts
by Rafael Gerke & Jens Rubart - 73-96 The Income And Interest Elasticities Of Demand For Money In Bangladesh: 1973-2003
by Akhtar Hossain
February 2006, Volume IV, Issue 1
- 6-18 Institutional Structure for Monetary Policy: A Comparative Assessment of Ten Central Banks
by Jiji T Mathew - 19-36 Countries in Transition and Monetary Policy: A Framework for Policy Development
by Stanley C W Salvary - 37-49 Deflation, Recession and Slowing Growth: Finding the Empirical Links
by Federico Guerrero & Elliott Parker - 50-74 Model of Inflation Processes in the Republic of Belarus
by Valery Chernookiy - 75-89 Asymmetric Information, Tax Evasion and Alternative Instruments of Government Revenue
by Rangan Gupta
November 2005, Volume III, Issue 4
- 6-15 Money Demand Function in India Before and After Liberalization
by Y G Sivaram & Ash Narayan Sah - 16-25 Testing Neutrality of Money for Nigeria: A Nonparametric Cointegration Approach
by Emmanuel Anoruo - 26-42 Export-led Growth Hypothesis in Malaysia: A Revisit
by Chee-Keong Choong & Siong-Hook Law & Zulkornain Yusop & Soo Siew Choo - 42-55 A Test of Price Convergence in the ASEAN-5 Economies
by Poon Wai-Ching & Puah Chin-Hong & Ong Hway-Boon & Muzafar Shah Habibullah - 56-70 Money, Output and Price Behavior in India Under Reforms: Some Empirical Evidence
by Bimal K Mohanty & Trilochan Tripathy
August 2005, Volume III, Issue 3
- 6-49 Keynesian Dynamics and the Wage-Price Spiral: Analyzing and Estimating a Baseline Disequilibrium Model
by Pu Chen & Carl Chiarella & Peter Flaschel & Willi Semmler - 50-69 Money and Economic Activity: Some Empirical Relationship for India
by Purna Chandra Padhan - 85-94 Long Memory in Inflation Rates: Evidence from Select African Countries
by Emmanuel Anoruo
May 2005, Volume III, Issue 2
- 51-75 Demand Shocks and Intertemporal Coordination: A Two Country Model
by Francesco Saraceno - 76-90 Analyzing Core Inflation in India: A Structural VAR Approach
by Ashima Goyal & Ayan Kumar Pujari
February 2005, Volume III, Issue 1
- 61-78 The Shadow Economy in NorwayDemand for Currency Approach
by Isilda Shima - 79-93 An I(d) Statistical Model for the Canadian Real Output
by Luis A Gil-Alana
November 2004, Volume II, Issue 4
- 17-26 Finance and Economic Growth An Analysis of Flow of Bank Credit to Industrial Sector in India during 1990s
by Y G Sivaram & K L Narasimha Rao
August 2004, Volume II, Issue 3
- 7-23 Financial Liberalization, Monetary Growth Variability and the Changing Characteristics of Money Velocity in Malaysia
by Chee-Keong Choong & Siong-Hook Law & Wai-Ching Poon & Zulkornain Yusop
May 2004, Volume II, Issue 2
- 83-92 Estimation of Term Structure of Interest Rates A Literature Survey
by A Suryanarayana