Content
February 2017, Volume 53, Issue 2
- 339-356 The Impact of Single Stock Futures on Market Efficiency and Volatility: A Dynamic CAPM Approach
by Imran Riaz Malik & Attaullah Shah - 357-374 Are There Any Diversification Benefits Among Global Finance Center Candidates in Eurasia?
by Baris Kocaarslan & Ramazan Sari & Ugur Soytas - 375-375 Financial History, Insurance Fraud, Armington Substitution Elasticity, and Aggregate Saving in China
by Jinghai Zheng - 376-386 Shanxi Merchants’ Multilevel Financial System in Ming and Qing Dynasties, China
by Jianbo Zhou & Yu Hao & Fujie Jin & Jiantao Zhou - 387-399 Measurement of the Severity of Opportunistic Fraud in Injury Insurance: Evidence from China
by Jiantao Zhou & Shanshan Wang & Jianbo Zhou & Yanli Xu - 400-415 Do Imported Commodities Cause Inflation in China? An Armington Substitution Elasticity Analysis
by Chongyu Wu & Jiantao Zhou & Hui Li & Zhongyi Liu & Xinyi Cai - 416-439 Income Distribution and Aggregate Saving: Theory and China’s Evidence
by Yi Chen & Lu Kong & Rui Wang & Jiamin Hu - 440-470 Islamic Banking Sustainability: A Review of Literature and Directions for Future Research
by Sirajo Aliyu & M. Kabir Hassan & Rosylin Mohd Yusof & Nasri Naiimi - 471-491 Underwriting Syndicates and the Cost of Debt: Evidence from Chinese Corporate Bonds
by Shenggang Yang & Xun Gong & Si Xu
January 2017, Volume 53, Issue 1
- 1-11 Is Monetary Cooperation Among the Four Regions Across the Taiwan Strait Feasible?
by Jinyang Wang & Xiliang Liu & Xuelian Li & Xiang Deng - 12-25 Foreign Direct Investments and the Environmental Kuznets Curve: New Evidence from Chinese Provinces
by Xiaoping He & Xin Yao - 26-43 Debt Tax Shields Around the OECD World
by Augusto Castillo & Jorge Niño & Salvador Zurita - 44-53 Which Part of the Chinese Art Market Is More Worth Investing In? Applying the Quantile Regression to Analyze Chinese Oil Paintings 2000–2014
by Fang Wang - 54-73 Institutional Ownership Type and Earnings Quality: Evidence from Iran
by Sasan Mehrani & Mohammad Moradi & Hoda Eskandar - 74-97 Not Every Kind of Outward FDI Increases Parent Firm Performance: The Case of New EU Member States
by Jože Damijan & Črt Kostevc & Matija Rojec - 98-108 The Real Options Component and Market Value of Taiwan Technological Companies
by Kuo-Jung Lee - 109-127 Additional Credit for Liquidity-Constrained Individuals: High-Interest Consumer Credit in Korea
by Jung-Wook Kim & Seungyeon Won & Jung-In Kim - 128-149 Search Frictions, Financial Frictions, and Labor Market Fluctuations in Emerging Markets
by Sumru Altug & Serdar Kabaca - 150-169 International Competitiveness of Small and Medium-Sized Enterprises: Peru, a Latin-American Emerging Market
by Jesús C. Peña-Vinces & Lourdes Casanova & Jorge Guillen & David Urbano - 170-179 Derivatives Usage in Emerging Markets Following the GFC: Evidence from the GCC Countries
by Hassan Tanha & Michael Dempsey - 180-198 Risk-Taking Behavior and Capital Adequacy in a Mixed Banking System: New Evidence from Malaysia Using Dynamic OLS and Two-Step Dynamic System GMM Estimators
by Hishamuddin Abdul Wahab & Buerhan Saiti & Saiful Azhar Rosly & Abul Mansur Mohammed Masih - 199-212 An Empirical Investigation of Eastern European Bond Markets
by Jinghua Wang & John Bilson - 213-225 Feedback Trading and Autocorrelation Patterns in Sub-Saharan African Equity Markets
by Saint Kuttu & Godfred A. Bokpin
December 2016, Volume 52, Issue 12
- 1-1 Editorial Board EOV
by The Editors - 2685-2686 Neoclassical and Behavioral Finance: A Synergy of Approaches in Current Debates and in Contemporary Financial Research
by Jerzy Gajdka & Janusz Brzeszczyński - 2687-2705 Pricing Sovereign Credit Risk of Poland: Evidence from the CDS Market
by Gonzalo Camba-Méndez & Konrad Kostrzewa & Anna Marszal & Dobromił Serwa - 2706-2720 An Exchange Rate Model with Market Pressures and a Contagion Effect
by Wojciech Grabowski & Aleksander Welfe - 2721-2739 Is the Abnormal Post-IPO Underperformance Really Abnormal? The Evidence from CEE Emerging Markets
by Adam Zaremba & Adam Szyszka - 2740-2755 Liquidity Dynamics Around Jumps: The Evidence from the Warsaw Stock Exchange
by Barbara Będowska-Sójka - 2756-2771 Technical Analysis as a Rational Tool of Decision Making for Professional Traders
by Elżbieta Kubińska & Marcin Czupryna & Łukasz Markiewicz & Jan Czekaj - 2772-2789 How Do Investment, Fundamentals, and Stock Prices Relate Around the World?
by Matías Braun - 2790-2807 Global Liquidity and Financial Stress: Evidence from Major Emerging Economies
by Emrah I. Cevik & Nuket Kirci-Cevik & Sel Dibooglu - 2808-2817 Motives for and Effects of Asset Revaluation: An Examination of South Korean Data
by H. Young Baek & Dong Young Lee - 2818-2836 Regional Energy Efficiency of China’s Commercial Sector: An Emerging Energy Consumer
by Boqiang Lin & Ailun Wang - 2837-2845 Has Petroleum Pricing Reform in China Achieved Its Objective? An Empirical Study
by Boqiang Lin & Qingying Zheng
November 2016, Volume 52, Issue 11
- 2451-2453 Challenges and Opportunities in Emerging Financial Markets
by Jangkoo Kang & Chang-Hyun Yun - 2454-2472 Cross-Border M&As Involving an Emerging Market
by Byoung-jin Kim & Jin-young Jung - 2473-2494 Net Equity and Debt Flows to Emerging Market and Developing Economies in the Post-Crisis Era
by Ju Hyun Pyun - 2495-2511 Day Trader Behavior and Performance: Evidence from Taiwan Futures Market
by Teng Yuan Cheng & Chao Hsien Lin & Hungchih Li & Syouching Lai & Kerry A. Watkins - 2512-2529 Determinants of Saving-Borrowing Decisions and Financial Inclusion in a High Middle Income Country: The Turkish Case
by Nurhan Davutyan & Belma Öztürkkal - 2530-2545 Manager Retention and Post-Bankruptcy Performance: Evidence from South Korea
by Byungjin Kwak & Kyoungwon Mo & Nayoung Yoon - 2546-2564 How Efficient Is China’s Heavy Industry? A Perspective of Input–Output Analysis
by Boqiang Lin & Kui Liu - 2565-2584 Does Greater Market Transparency Reduce Information Asymmetry?
by Yaling Lin - 2585-2594 Privatization and Fiscal Deficits in European Emerging Markets
by Keith Ord & David A. Walker & Christina R. Hunt - 2595-2609 Identification of Asset Price Misalignments on Financial Markets With Extreme Value Theory
by Narcisa Kadlcakova & Lubos Komarek & Zlatuse Komarkova & Michal Hlavacek - 2610-2623 The Role of Ownership Concentration and Debt in Downturns: Evidence from Brazilian Firms During the 2008–9 Financial Crisis
by Claudio M. P. da Cunha & Patricia M. Bortolon - 2624-2635 Exchange Rate Pass-Through in an Emerging Market: The Case of the Czech Republic
by Jan Hájek & Roman Horváth - 2636-2645 Trade Liberalization and Exports Promotion: A Dynamic and Heterogeneous Analysis Under the Case of Chile
by Ruohan Wu & Huimin Shi - 2646-2668 Export Behavior of the Turkish Manufacturing Firms
by Aslıhan Atabek Demirhan - 2669-2684 Does Public E-Procurement Deliver What It Promises? Empirical Evidence from Turkey
by Esra Ceviker Gurakar & Bedri Kamil Onur Tas
October 2016, Volume 52, Issue 10
- 2209-2211 Global Financial Stability and Regional Financial Arrangements
by Wook Sohn & Jeong-ae Choi - 2212-2220 Strengthening the Global Financial Safety Net: Challenges and Prospects
by Choongsoo Kim - 2221-2237 Toward the Development of a Global Financial Safety Net or a Segmentation of the Global Financial Architecture?
by Ulrich Volz - 2238-2252 Regional Financial Arrangements: A Survey of the Literature and Recent Developments
by Wook Sohn & Woo Jin Chung - 2253-2266 Central Bank Currency Swaps and the International Monetary System
by Christophe Destais - 2267-2291 Countercyclical Bank Capital Requirement and Optimized Monetary Policy Rules
by Carlos de Resende & Ali Dib & René Lalonde & Nikita Perevalov - 2292-2308 Government Stakes as an Insurance Policy: Evidence from Seasoned Equity Offerings of Chinese Firms
by Dongmin Kong & Maobin Wang - 2309-2320 Corporate Governance and Mergers and Acquisitions Performance in Banks: Evidence under the Special Regulatory Environment in Taiwan
by Chien-Chi Chu & Ying-Maw Teng & Hsiu-Ling Lee - 2321-2334 Bitcoin as a Complement to Emerging Market Currencies
by Jon Carrick - 2335-2347 Which Traders Contribute Most to Price Discovery? Evidence from the KOSPI 200 Options Market
by Hankil Kang & Jangkoo Kang & Soonhee Lee - 2348-2363 A New Perspective on the International Evidence Concerning the Book-Price Effect
by James Foye & Dušan Mramor - 2364-2378 Getting Attention Through Corporate Philanthropy
by Yunhao Dai & Dongmin Kong - 2379-2396 Jump Tail Dependence in the Chinese Stock Market
by Sophia Zhengzi Li & Hao Wang & Hua Zhao - 2397-2413 Demographic Dividends in the ‘South’, Ageing ‘North’, and ‘South-South’ Trade Diversification
by Patrick Georges & Aylin Seçkin - 2414-2433 Shareholder Protection, Ownership, and Dividends: Russian Evidence
by Eva Liljeblom & Benjamin Maury - 2434-2450 Performance of Moving Average Trading Rules in a Volatile Stock Market: The Russian Evidence
by Pasi Luukka & Eero Pätäri & Elena Fedorova & Tatiana Garanina
September 2016, Volume 52, Issue 9
- 1967-1969 Financial Reforms and Performance in Emerging Market Economies: An Introduction
by Chengsi Zhang - 1970-1984 Monetary Policy Rules in an Open Economy with Heuristics: Which Model Is Best?
by Kuo-chun Yeh - 1985-2000 Money Market Reform in Korea and Its Effects on the Overnight Call–Repurchase Agreement Rate
by Hyunduk Suh - 2001-2017 Corporate Governance Reform, Board Structure, and Its Determinants in the Banking Industry—Evidence from Taiwan
by Kun-Li Lin & Yuan Chang - 2018-2042 Effect of Foreign Shareholdings and Originating Countries on Banking Sector Efficiency
by Sok-Gee Chan & Eric H. Y. Koh & Yong-Cheol Kim - 2043-2055 What Drives the Relationship Between Financial Flexibility and Firm Performance: Investment Scale or Investment Efficiency? Evidence from China
by Chun-Ai Ma & Yanbo Jin - 2056-2068 Risk-Adjusted Performance of Mutual Funds: Evidence from China
by Jianhua Gang & Zongxin Qian - 2069-2086 An Investigation of Global and Regional Integration of ASEAN Economic Community Stock Market: Dynamic Risk Decomposition Approach
by Geesun Lee & Jinho Jeong - 2087-2099 Financial Crisis, Politically Connected CEOs, and the Performance of State-Owned Enterprises: Evidence from Korea
by Seungwon Yu & Namryoung Lee - 2100-2114 Auditor Quality, IFRS Adoption, and Stock Price Crash Risk: Korean Evidence
by Hyunil Lim & Sang Koo Kang & Haksoon Kim - 2115-2127 Openness and Financial Development in China: The Political Economy of Financial Resources Distribution
by Yu Luo & Chengsi Zhang & Yueteng Zhu - 2128-2148 Consistent Analyst Expectation Error and Earnings Management: Evidence from China
by Zhengyi Zhou & Chongfeng Wu - 2149-2164 The Relationship Between Energy Commodity Prices and Electricity and Market Index Performances: Evidence from an Emerging Market
by Beyza Mina Ordu & Uğur Soytaş - 2165-2177 The Responsiveness of Corporate Investments to Changes in Corporate Income Taxation During the Financial Crisis: Empirical Evidence from Slovenian Firms
by Matjaž Črnigoj - 2178-2194 Minimum Wage in Poland and Youth Employment in Regional Labor Markets
by Aleksandra Majchrowska & Paulina Broniatowska & Zbigniew Żółkiewski - 2195-2207 Beta Asymmetry in the Global Stock Markets Following the Subprime Mortgage Crisis
by Yung-Shi Liau
August 2016, Volume 52, Issue 8
- 1725-1727 Understanding China from a Household’s Perspective: Studies Based on the China Household Finance Survey (CHFS)
by Dayong Zhang - 1728-1743 Social Capital and Housing Affordability: Evidence from China
by Daichun Yi & Yuhong Huang & Gang-Zhi Fan - 1744-1761 Land Acquisition, Labor Allocation, and Income Growth of Farm Households
by Qingjiang Ju & Jinlan Ni & Debing Ni & Yu Wu - 1762-1774 Migrate to Skilled Cities: Human Capital Agglomeration and Urban-to-Urban Migration in China
by Jingjing Ye & Xiaokai Wu & Jijun Tan - 1775-1796 Investigating the Impact of Income on Savings Using a Chinese Household Level Dataset
by Dejing Kong & David Dickinson - 1797-1812 Capital Flows, Sterilization, and Macro-Prudential Policy in China
by Shuiqing Yang - 1813-1831 Long-Run Performance Persistence of Investment Funds
by Stanisław Urbański & Maciej Winiarz & Kacper Urbański - 1832-1849 Testing the Conventional and Islamic Financial Market Contagion: Evidence from Wavelet Analysis
by Buerhan Saiti & Obiyathulla Ismath Bacha & Mansur Masih - 1850-1875 Bankers in the Boardroom and Firm Performance in China
by Qing He & Oliver M. Rui & Chenqi Zhu - 1876-1891 Do Political Connections Affect Firm Performance? Evidence from a Developing Country
by Abubakr Saeed & Yacine Belghitar & Ephraim Clark - 1892-1909 Profitability in Banks Affiliated to a Business Group: Evidence from Mexico
by Rubén Chavarín - 1910-1921 The Effectiveness of Fiscal Policy Over the Business Cycle: A CEE Perspective
by Paweł Baranowski & Piotr Krajewski & Michał Mackiewicz & Agata Szymańska - 1922-1934 The Effect of Chinese Demand and Supply Shocks on Peruvian Exporters
by Jean Paul Rabanal & Olga A. Rabanal - 1935-1955 Out-of-Sample Equity Premium Predictability in South Africa: Evidence from a Large Number of Predictors
by Rangan Gupta & Mampho P. Modise & Josine Uwilingiye - 1956-1965 Ultimate Ownership and Adjustment Speed Toward Target Capital Structures: Evidence from China
by Ting Zhou & Jun Xie
July 2016, Volume 52, Issue 7
- 1513-1514 Economics and Finance in Emerging Markets
by Gábor Bóta & Mihály Ormos & Imre Tarafás - 1515-1527 Social Transfers and Labor Force Participation Relation in Turkey: A Bivariate Probit Analysis
by Julide Yildirim & Sureyya Dal - 1528-1541 Predictability of Term Spread for Economic Activity with Liquidity Premium Theory
by Sunju Hwang & Hahn Shik Lee - 1542-1561 The Role of Bank and Corporate Balance Sheets on Early Warning Systems of Currency Crises—An Empirical Study
by Christian Mulder & Roberto Perrelli & Manuel Duarte Rocha - 1562-1573 How Should Slovenia Design Fiscal Policies in the Government Debt Crisis?
by Dmitri Blueschke & Klaus Weyerstrass & Reinhard Neck - 1574-1586 The Impact of Foreign Banks on Monetary Policy Transmission During the Global Financial Crisis of 2008–2009: Evidence from Korea
by Ji Wu & Hosung Lim & Bang Nam Jeon - 1587-1605 A Market Efficiency Comparison of Islamic and Non-Islamic Stock Indices
by Osamah M. Al-Khazali & Guillaume Leduc & Mohammad Saleh Alsayed - 1606-1626 An Open Economy DSGE Model with Search-and-Matching Frictions: The Case of Hungary
by Zoltán Jakab & István Kónya - 1627-1646 Predictability of Emerging Market Local Currency Bond Risk Premia
by Vedat Akgiray & Sayad Baronyan & Emrah Sener & Osman Yılmaz - 1647-1660 Quantitative Analysis of Foreign Trade and Environmental Efficiency in China
by Malin Song & Yuanxiang Zhou - 1661-1678 The Impact of Bank Credit on Employment Formality: Evidence from Uruguay
by Néstor Gandelman & Alejandro Rasteletti - 1679-1697 Fiscal Decentralization, Budgetary Transparency, and Local Government Size in China
by Shujian Zhang - 1698-1723 Modeling Time-Varying Correlations in Volatility Between BRICS and Commodity Markets
by Sang Hoon Kang & Ron McIver & Seong-Min Yoon
June 2016, Volume 52, Issue 6
- 1279-1280 Sustainable Energy Policy in China: Economic Issues and Policy Challenges
by Jiahai Yuan - 1281-1297 Trade Liberalization and China’s Exports of Renewable Energy Products: Evidence from Product Level Data
by Yong Zhao & Lili Wang & Yihua Yu - 1298-1304 Nexus Between Energy Consumption and Economic Growth in China: From the Perspective of Embodied Energy Imports and Exports
by Xu Tang & Hongmei Deng & Baosheng Zhang & Simon Snowden & Mikael Höök - 1305-1314 Does FDI Increase Industrial Energy Consumption of China? Based on the Empirical Analysis of Chinese Provinces Industrial Panel Data
by Kai Li & Shaozhou Qi - 1315-1324 A Panel Data Analysis of the Relationship Between Air Pollutant Emissions, Economics, and Industrial Structure of China
by Xiaopeng Guo & Xiaodan Guo - 1325-1334 The Resource Curse and Its Transmission Channels: An Empirical Investigation of Chinese Cities’ Panel Data
by Jin Guo & Xinye Zheng & Feng Song - 1335-1347 Regional Transfer of Haze Pollutants Embodied in China’s Foreign Trade and Factors Affecting It: A GMRIO-Based Empirical Analysis
by Rui Xie & Guomei Zhao & Bangzhu Zhu & Mingyong Lai - 1348-1360 Agent-Based Modeling of Global Carbon Trading and Its Policy Implications for China in the Post-Kyoto Era
by Qianting Zhu & Keran Duan & Jing Wu & Zheng Wang - 1361-1371 Carbon Markets in China: Development and Challenges
by Dong Sun & Jingqi Sun & Xingping Zhang & Qingyou Yan & Qianru Wei & Yun Zhou - 1372-1384 A CGE Analysis of the Impacts of a Carbon Tax on Provincial Economy in China
by Xingping Zhang & Zhengquan Guo & Yuhua Zheng & Jinchen Zhu & Jing Yang - 1385-1394 The Emission Taxes Refunding Scheme Based on Output Subsidies with an Exogenous Abatement Target
by Changsheng Li & Ying Fan & Lei Zhu - 1395-1404 Energy-Efficiency Policies and Energy Productivity Improvements: Evidence from China’s Manufacturing Industry
by Mian Yang & Fuxia Yang - 1405-1413 Total Factor Productivity and Energy Intensity: An Empirical Study of China’s Cement Industry
by Hui Hu & Xiang Li & Fuxia Yang & Jesmin Islam - 1414-1426 A Benefit Analysis of Electric Vehicle Battery Swapping and Leasing Modes in China
by Xingping Zhang & Rao Rao - 1427-1437 Feed-In Tariff for Onshore Wind Power in China
by Jiahai Yuan & Chunning Na & Yan Xu & Changhong Zhao - 1438-1454 Macro Liquidity Risk, Money Growth, and the Cross-Section of Stock Returns: The Case of Korea
by Hosung Jung & Dongcheol Kim - 1455-1471 Determinants of Operational Efficiency and Total Factor Productivity Change of Major Cambodian Financial Institutions: A Data Envelopment Analysis During 2006–13
by Hidenobu Okuda & Daiju Aiba - 1472-1480 Estimating the Model for Seasoned Equity Offering Underpricing: Application to the Chinese Financial Market
by Chune Young Chung & Chang Liu - 1481-1495 The Construction and Application of a New Exchange Rate Forecast Model Combining ARIMA with a Chaotic BP Algorithm
by Ma Yonghong & Wu Zhiyong & Ai Mingye & Wang Wei - 1496-1511 The Effectiveness of Regulation Fair Disclosure: Evidence from an Emerging Market
by Hoshik Shim & Hyungjin Cho & Woo-Jong Lee
May 2016, Volume 52, Issue 5
- 1047-1059 Institutional Quality, Trade Openness, and Financial Sector Development in Asia: An Empirical Investigation
by Thai-Ha Le & Jungsuk Kim & Minsoo Lee - 1060-1071 Taper Tantrum and Emerging Equity Market Slumps
by Gemma B. Estrada & Donghyun Park & Arief Ramayandi - 1072-1091 Value-at-Risk Forecasting of Chinese Stock Index and Index Future Under Jumps, Permanent Component, and Asymmetric Information
by Shaoyu Li & Lijia Wei & Zehua Huang - 1092-1105 The Three-Factor Model and Size and Value Premiums in China’s Stock Market
by Shiqing Xie & Qiuying Qu - 1106-1120 The Recent Convergence of Financial Development in Asia
by Robert Dekle & Madhavi Pundit - 1121-1144 Effect of the Sovereign Credit Ratings in East Asia Countries: Evidence from Panel Vector Autoregression
by Sammo Kang & Sejin Min - 1145-1155 Does Financial Openness Matter in the Relationship Between Financial Development and Income Distribution in Latin America?
by Jorge Guillen - 1156-1166 Rural Homeowners’ Willingness to Buy Flood Insurance
by Jinzheng Ren & H. Holly Wang - 1167-1194 Local Currency Bond Market Development in Sub-Saharan Africa: A Stock-Taking Exercise and Analysis of Key Drivers
by Dennis Essers & Hans J. Blommestein & Danny Cassimon & Perla Ibarlucea Flores - 1195-1209 Sources of Fluctuations in Islamic, U.S., EU, and Asia Equity Markets: The Roles of Economic Uncertainty, Interest Rates, and Stock Indexes
by Shawkat Hammoudeh & Won Joong Kim & Soodabeh Sarafrazi - 1210-1225 What Influences Stock Market Behavior in Russia and Other Emerging Countries?
by Iikka Korhonen & Anatoly Peresetsky - 1226-1240 Monetary Policy Stress in EMU: What Role for Fundamentals and Missed Forecasts?
by Paweł Gajewski - 1241-1258 On International Consumption Risk Sharing, Financial Integration and Financial Development
by Yasin Mimir - 1259-1278 Ownership, Internal Capital Market, and Financing Costs
by Wenhao Tan & Zhenpeng Ma
April 2016, Volume 52, Issue 4
- 775-775 Corporate Financial Decisions, Capital Markets, and Employment in Asia-Pacific Economies
by Shuh-Chyi Doong & Sheng-Yung Yang & Min-Teh Yu - 776-785 The Optimal Timing of Open Market Stock Repurchases
by Chih-Chen Hsu & Andreas Krause - 786-796 Jump-Dependent Model for Optimal Index Futures Hedging in Five Major Asian Stock Markets
by Yi-Hao Lai & Yi-Chiuan Wang - 797-811 The Effect of the Alternation in the Ruling Party on Three-Factor Risks and Returns in ETF: The Case of Presidential Elections in Taiwan
by Chia-Pin Chen & Ying-Sing Liu & Chih-Wen Hsu - 812-824 Advertising and Investor Recognition of Banking Firms: Evidence from Taiwan
by Tsai-Ling Liao & Hao-Chang Sung & Min-Teh Yu - 825-842 Managers’ Escalation Behavior in Equity Investment Decisions and the Role of Corporate Governance
by Chih-Jen Huang & Amy Yueh-Fang Ho & Hsin-Yu Liang & Chun-Hung Chiang - 843-852 The Impact of Position Difference on Employees’ Organizational Commitment After the Merger of Life Insurance Companies
by Chiehwei Hung & Jungpin Wu - 853-868 Employability and Wage Compensation in an Asian Economy: Evidence for Female College Graduates in Taiwan
by Shih-Yung Chiu & Hwei-Lin Chuang - 869-885 Deregulation, Pricing Strategies, and Claim Behavior in the Taiwan Automobile Insurance Market
by Sheng-Chang Peng & Chu-Shiu Li & Chwen-Chi Liu - 886-903 Capital Flows During Quantitative Easing: Experiences of Developing Countries
by Donghyun Park & Arief Ramayand & Kwanho Shin - 904-922 Absorptive Capabilities, FDI, and Economic Growth in Transition Economies
by Sabina Silajdzic & Eldin Mehic - 923-937 Effectiveness of Macroprudential Policies in Developing Asia: An Empirical Analysis
by Minsoo Lee & Ruben Carlo Asuncion & Jungsuk Kim - 938-960 Does Faith Matter in Mutual Funds Investing? Evidence from Saudi Arabia
by Hesham Merdad & M. Kabir Hassan & Mohsin Khawaja - 961-974 Competition, Financial Intermediation, and Riskiness of Banks: Evidence from the Asia-Pacific Region
by Wahyoe Soedarmono & Amine Tarazi - 975-990 Banking Market Size Structure and Financial Stability: Evidence from Eight Asian Countries
by Hakkon Kim & Kwangwoo Park & Sangjin Song - 991-1001 Financial Development, Interest Rate Liberalization, and Macroeconomic Volatility
by Gongyan Yang & Hongzhong Liu - 1002-1012 Institutional Investor Trading in a Short Investment Horizon: Evidence from the Korean Stock Market
by Chune Young Chung & Chang Liu & Kainan Wang - 1013-1028 The Impact of IFRS Adoption and Corporate Governance Principles on Transparency and Disclosure: The Case of Borsa Istanbul
by Mine Aksu & Hassan Espahbodi - 1029-1045 Price Rigidity in Turkey: Evidence from Micro Data
by M. Utku Özmen & Orhun Sevinç
March 2016, Volume 52, Issue 3
- 539-556 Financial Integration in Asset and Liability Holdings in East Asia
by Donghyun Park & Kwanho Shin - 557-573 The Impact of Economic Shocks in the Rest of the World on South Africa: Evidence from a Global VAR
by Annari De Waal & Reneé van Eyden - 574-588 Comovement of Exchange Rates: A Wavelet Analysis
by Alin Marius Andrieş & Iulian Ihnatov & Aviral Kumar Tiwari - 589-609 An Empirical Analysis of the Risk-Taking Channel of Monetary Policy in Turkey
by Ekin Ayşe Özşuca & Elif Akbostancı - 610-624 Technical Efficiency Measurement Incorporating Risk Preferences: An Empirical Analysis of Chinese Commercial Banks
by Ning Zhu & Bing Wang & Zhiqian Yu & Yanrui Wu - 625-638 Globalization and Changing Inflation Dynamics in China
by Chengsi Zhang & Huidong He - 639-657 Volatility Modeling and Value-at-Risk (VaR) Forecasting of Emerging Stock Markets in the Presence of Long Memory, Asymmetry, and Skewed Heavy Tails
by Hatice Gaye Gencer & Sercan Demiralay - 658-673 The Relationship Between Sovereign Spreads and International Reserves: Does the Exchange Rate Regime Matter?
by Inci Gumus - 674-689 The Causal Relationship Between Economic Policy Uncertainty and Stock Returns in China and India: Evidence from a Bootstrap Rolling Window Approach
by Xiao-lin Li & Mehmet Balcilar & Rangan Gupta & Tsangyao Chang - 690-705 Does Fiscal Decentralization Promote Fiscal Discipline?
by Zafer Akin & Zeynep B. Bulut-Cevik & Bilin Neyapti - 706-721 Risk-Adjusted Performances of World Equity Indices
by Yigit Atilgan & K. Ozgur Demirtas - 722-723 Revisiting the Roles of Financial Access and Deepening for Growth and Reducing Inequality
by Takeshi Inoue & Takuji Kinkyo & Shigeyuki Hamori - 724-732 Financial Intermediation and Economic Growth in China: New Evidence from Panel Data
by Haifeng Xu - 733-742 Financial Development and Income Inequality: Long-Run Relationship and Short-Run Heterogeneity
by Wang Chen & Takuji Kinkyo - 743-753 Financial Access and Economic Growth: Evidence from Sub-Saharan Africa
by Takeshi Inoue & Shigeyuki Hamori - 754-764 Financial Development, Labor Participation, and Employment in Urban China
by Guifu Chen & Sizhuo Chen - 765-774 Do Workers’ Remittances Promote Access to Finance? Evidence from Asia-Pacific Developing Countries
by Takeshi Inoue & Shigeyuki Hamori
February 2016, Volume 52, Issue 2
- 255-284 From Financial Repression to External Distress: The Case of Venezuela
by Carmen M. Reinhart & Miguel Angel Santos - 285-301 Bank Ownership and Lending: Does Bank Ownership Matter?
by Laivi Laidroo - 302-321 Total Factor Productivity, Foreign Direct Investment, and Entry Barriers in the Chinese Automotive Industry
by Firat Demir & Li Su - 322-335 Effects of Private Ownership, Trade, and Foreign Direct Investment on Labor Productivity Growth in Transition Economies: Evidence from the Croatian Manufacturing Industry
by Goran Vukšić - 336-350 Turkey’s Distressing Dance With Capital Flows
by Fatih Özatay - 351-363 Hot Money and Business Cycle Volatility: Evidence from Selected ASEAN Countries
by Lu Yang & Shigeyuki Hamori - 364-381 Prolonged Reserves Accumulation, Credit Booms, Asset Prices and Monetary Policy in Asia
by Andrew J. Filardo & Pierre L. Siklos - 382-399 Correlation Dynamics in East Asian Financial Markets
by Lestano & Gerard H. Kuper - 400-419 Corruption Distance and Foreign Direct Investment
by Xingwang Qian & Jesus Sandoval-Hernandez - 420-433 Determination of Renminbi Equilibrium Exchange Rate, Misalignment, and Official Intervention
by Liu Hai Yue & Jiang Qiang & Tang Ying Kai - 434-448 The Dynamic Speed of Cash-Holding Adjustment in a Transition Economy: A New Approach and Evidence
by Liang Chang & Kebin Deng & Xuan Wang - 449-460 Medical Insurance Effects on Household Durable Goods Consumption: Evidence from China
by Weixian Cai & Jian Chen & Hui Ding - 461-474 Leverage, Consumer Finance, and Housing Prices in China
by Ye Guo & Wenbin Xu & Zhiyuan Zhang - 475-486 Systemic Risk in the Chinese Shadow Banking System: A Sector-Level Perspective
by Guangning Tian & Jianjun Li & Ying Xue & Sara Hsu - 487-497 Bank Loan Supply in the Financial Crisis: Evidence from the Role of Political Connection
by Wei-Che Tsai & Wei-Yuan Wang & Po-Hsin Ho & Chih-Yung Lin - 498-512 A Study on the Effect of Financial Inclusion on the Relationship Between Income Inequality and Economic Growth
by Jong-Hee Kim - 513-521 The Finance–Growth Nexus and Poverty Reduction in Western China
by Yanping Huang & Yu Liu & Huakun Wu - 522-537 Twin Booms: The Lead–Lag Relation Between Credit and Housing Booms
by Chung-Hua Shen & Lin Bu & Kun-Li Lin & Meng-Wen Wu