Content
May 2014, Volume 50, Issue 3
- 59-61 Guest Editors' Introduction
by Jing Shi & Fei Wu - 62-80 With Economic Integration Comes Financial Contagion? Evidence from China
by Jiaxing You & Chun Liu & Guqian Du - 81-101 Flow-Performance Relationship and Star Effect: New Evidence from Chinese Mutual Funds
by Xiao Jun & Mingsheng Li & Wu Yan & Rui Zhang - 102-125 Political Patronage and Capital Structure in China
by Yan Dong & Zhentao Liu & Zhe Shen & Qian Sun - 126-161 Managerial Private Benefits and Overinvestment
by Zhan Lei & Cai Mingchao & Yaoyao Wang & Jing Yu - 162-177 China's Imported Inflation and Global Commodity Prices
by Ke Tang & Changyun Wang & Shiyi Wang - 178-195 The Chinese Stock Dividend Puzzle
by Rulu Pan & Xiangxi Tang & Yanyan Tan & Qiaoqiao Zhu - 196-220 Portfolio Distortions Among Institutional Investors: Evidence from China
by Tao Huang & Yuancheng Hu & Yang Wang & Weidong Zhang - 221-239 Performance Manipulation and Fund Flow: Evidence from China
by Meifen Qian & Chongbo Xu & Bin Yu
May 2014, Volume 50, Issue 03
- 1-4 Guest Editor's Introduction: Emerging Market Risk Management
by Michael C.S. Wong - 5-21 Political Connections and Bank Lines of Credit
by Danglun Luo & Qianwei Ying - 22-34 Who Will Fare Better in a Political Crisis?
by Hsu-Huei Huang & Min-Lee Chan & Ann Shawing Yang - 35-60 The Financial Cost of Rivalry: A Tale of Two South Asia Neighbors
by Sheraz Ahmed & Syed Mujahid Hussain - 61-76 Stock Market Spread Trading: Argentina and Brazil Stock Indexes
by Jonathan A. Batten & Peter G. Szilagyi & Michael C.S. Wong - 77-108 Stock Price Dynamics of China: What Do the Asset Markets Tell Us About the Chinese Utility Function?
by Yum K. Kwan & Jinyue Dong - 109-121 Spillover and Comovement: The Contagion Mechanism of Systemic Risks Between the U.S. and Chinese Stock Markets
by Yaqing Liu & Hongbing Ouyang - 122-139 Financial Autarchy as Contagion Prevention: The Case of Colombian Pension Funds
by Edgardo Cayon & Susan Thorp - 140-157 Stock Liquidity and the Pricing of Earnings: A Comparison of China's Floating and Nonfloating Shares
by Fang Lou & Jiwei Wang & Hongqi Yuan - 158-168 The Effects of Individual Investors' Attention on Stock Returns: Evidence from the ChiNext Market
by Xianming Fang & Yu Jiang & Zhijun Qian - 169-189 Oil Risk and Asset Returns: Evidence from Emerging Markets in the Middle East
by Jussi Nikkinen & Kashif Saleem & Minna Martikainen & Mohammed Omran - 190-200 Profit Performance of Financial Holding Companies: Evidence from Taiwan
by Wan-Chun Liu & Chen-Min Hsu - 201-213 The Effect of Income Diversification on Bank Risk: Evidence from China
by Kaiguo Zhou - 214-228 Determinants of the Effective Tax Rate in the BRIC Countries
by Elena Fernández-Rodríguez & Antonio Martínez-Arias
March 2014, Volume 50, Issue 2
- 1-4 Introduction
by Ali M. Kutan - 5-15 The Determinants of Stock Prices: New Evidence from the Indian Banking Sector
by Paresh Kumar Narayan & Seema Narayan & Harminder Singh - 16-33 Persistence in Equity Fund Performance in Brazil
by Luis Berggrun & Samuel Mongrut & Benito Umaña & Gyorgy Varga - 34-72 How Do Capital Structure Policies of Emerging Markets Differ from Those of Developed Economies? Survey Evidence from Korea
by Hongbok Lee & Sekyung Oh & Kwangwoo Park - 73-98 The Manipulator's Poker: Order-Based Manipulation in the Chinese Stock Market
by Dongmin Kong & Maobin Wang - 99-101 Guest Editor's Introduction
by Sumru Altuğ - 102-109 Business Cycles Around the Globe: Some Key Facts
by Péter Benczúr & Attila Rátfai - 110-137 Commodity Prices and the Business Cycle in Latin America: Living and Dying by Commodities?
by Maximo Camacho & Gabriel Perez-Quiros - 138-152 Cost Channel of Monetary Policy: Financial Frictions and External Shocks
by Jui-Chuan Della Chang & Chen-Jui Huang & I-Che Chien - 153-168 The Response of Bank Retail Rates to Money Market Rates in the BRIC Economies: An Application of the Disaggregated GETS Model
by Stelios Karagiannis & Yannis Panagopoulos & Prodromos Vlamis - 169-189 Firm Internationalization and Capital Structure in Developing Countries: The Role of Financial Development
by Halit Gonenc & Daniel J. de Haan - 190-202 Volatility Spillover Effects in Interregional Equity Markets: Empirical Evidence from Brazil and Turkey
by Murat Taşdemir & Abdullah Yalama - 203-213 Public Pensions and Public Rental Housing
by Zaigui Yang - 214-229 Probability Forecasts of Macroaggregates in the Turkish Economy
by Huseyin Kaya & M. Ege Yazgan
March 2014, Volume 50, Issue 2S
- 1-4 Introduction
by Ali M. Kutan - 5-22 Financial System Reform and Economic Growth in a Transition Economy: The Case of China, 1978-2004
by Jiangang Peng & Nicolaas Groenewold & Xiangmei Fan & Guanzheng Li - 23-42 Financial Innovation, Basel Accord III, and Bank Value
by Mu-Shun Wang - 43-59 The Effects of Private Investments in Public Equity on R&D Investment in Small and Medium-Size Enterprises
by Minshik Shin & Sooeun Kim - 60-74 The Effects of Stock Characteristics on the Direction and Extent of Herding by Foreign Institutional Investors in the Taiwan Stock Exchange
by Hao Fang & Yang-Cheng Lu & Hwey-Yun Yau - 75-88 Productivity Spillovers Through Foreign Transactions: The Role of Sector Composition and Local Conditions
by Ana Cuadros & Maite Alguacil - 89-99 Portfolio Capital Flows in Thailand: A Bayesian Model Averaging Approach
by Somrasri Yupho & Xianguo Huang - 100-113 Spring Transportation in China: The Peak-Load Problem with Psychological Factors
by Lu Liu - 114-134 Factors in the Development of Trade Credit: Case Study of Provinces in China
by Go Yano & Maho Shiraishi - 135-143 Consumer Preference for Meat in China: A Case Study of Beijing
by Ping Qing & Aiqin Xi & Wuyang Hu - 144-158 How Does the Change in Investor Sentiment over Time Affect Stock Returns?
by Cherng G. Ding & Hung-Jui Wang & Meng-Che Lee & Wen-Chi Hung & Chieh-Peng Lin - 159-173 The Level and Stability of Institutional Ownership and Firm Performance: Evidence from Taiwan
by Ming-Feng Hsu & Kehluh Wang - 174-188 Investor Sentiment Influence on the Risk-Reward Relation in the Taiwan Stock Market
by Jean Yu & Hung-Hsi Huang & Shu-Wei Hsu - 189-201 Does Financial Restructuring Change the Relationship Between Corporate Governance and the Static and Dynamic Efficiency of Bank Mergers in Taiwan?
by Tung-Hao Lee & Shu-Hwa Chih - 202-218 Do Focused Funds Offer Superior Performance in an Emerging Market? Evidence from Taiwan's Stock Market
by Jonchi Shyu & Jia-Chi Lin & Chi-Chong Chang - 219-232 The Effects of Regional Integration in Central Asia
by Weiran Wang
January 2014, Volume 50, Issue 1S
- 4-5 Guest Editor's Introduction
by Wenchang Fang - 6-20 Economic Growth in Latin American Countries: Is It Based on Export-Led or Import-Led Growth?
by Werner Kristjanpoller R & Josephine E. Olson - 21-33 Financial Development and Income Inequality at Different Levels of Institutional Quality
by Siong Hook Law & Hui Boon Tan & W. N. W. Azman-Saini - 34-50 The Promoting Effect of Financial Development on Economic Growth: Evidence from China
by Xianming Fang & Yu Jiang - 51-67 Trade, Export Capacity, and World Trade Organization Membership: Evidence from Jordan
by Adel Bino & Diana Abu Ghunmi & Ibrahim Qteishat - 68-95 Innovation, Exports, and Productivity: Learning and Self-Selection in Chile
by Claudio Bravo-Ortega & Jose Miguel Benavente & Álvaro González - 96-106 Technology Spillovers of Foreign Direct Investment in Coastal Regions of East China: A Perspective on Technology Absorptive Capacity
by Hao Xu & Difang Wan & Ying Sun - 107-120 Corporate Social Responsibility and Cost of Capital: An Empirical Study of the Taiwan Stock Market
by Shih-wei Wu & Fengyi Lin & Chia-ming Wu - 121-133 Financial Markets and Politics: The Piñera Effect on the Chilean Capital Market
by Claudio A. Bonilla & Harold Contreras & Jean P. Sepúlveda - 134-147 Do Institutional Investors Use Earnings Forecasts from Financial Analysts? Evidence from China's Stock Market
by Fangfei Ding & Min Chen & Zhongxin Wu - 148-166 Contemporaneous and Asymmetric Properties in the Price-Volume Relationships in China's Agricultural Futures Markets
by Ling-Yun He & Sheng Yang & Wen-Si Xie & Zhi-Hong Han - 167-177 The Impact of Index Futures on Spot Market Volatility in China
by Shiqing Xie & Jiajun Huang - 178-193 Ownership-Control Disparity and Foreign Investors' Ownership: Evidence from the Korean Stock Market
by Hyang Mi Choi & Young-Gon Cho & Wonsik Sul - 194-211 Investment Performance of Individual Investors: Evidence from the Korean Stock Market
by Jinwoo Park & Minhyuk Kim - 212-236 Performance of Government-Linked Firms Listed on Two Stock Exchanges of the United Arab Emirates: An Empirical Study
by Md Hamid Uddin & Sawsan Halbouni & Mahendra Raj - 237-253 Transmission of U.S. Financial Shocks to Emerging Market Economies: Evidence from Claims by U.S. Banks
by Gab-Je Jo - 254-264 Window Dressing in Reported Earnings: A Comparison of High-Tech and Low-Tech Companies
by Fengyi Lin & Lijuan Zhao & Liming Guan - 265-293 Firm Size as Determinant of the Nonlinear Relationship Between Bank Debt and Growth Opportunities: The Case of Chilean Public Firms
by Paolo Saona Hoffmann & Mauricio Jara Bertín & Marta Moreno Warleta - 294-308 A Critique of the Contingent Claims Approach to Sovereign Risk Analysis
by Rahmi Erdem Aktug
January 2014, Volume 50, Issue 1
- 1-4 Introduction
by Ali M. Kutan - 5-21 Liquidity and Return Relationships in an Emerging Market
by Jonathan A. Batten & Xuan Vinh Vo - 22-51 Oil Price and Stock Market Synchronization in Gulf Cooperation Council Countries
by Rosmy Jean Louis & Faruk Balli - 52-70 Macroeconomic Impact of Bank Regulation and Supervision: A Cross-Country Investigation
by Bilin Neyapti & N. Nergiz Dincer - 71-92 Stock Returns Under High Inflation and Interest Rates: Evidence from the Brazilian Market
by Rene Coppe Pimentel & Taufiq Choudhry - 93-117 Capturing Order Book Dynamics in the Interbank EUR/PLN Spot Market
by Katarzyna Bień-Barkowska - 118-119 Economic and Financial Challenges and Issues in the Asia-Pacific Countries: Guest Editors' Introduction
by Li Gan & Dayong Zhang - 120-149 SME Financing in Emerging Markets: Firm Characteristics, Banking Structure and Institutions
by Yan Dong & Chao Men - 150-163 The Great Moderation in China: A Disaggregated Analysis
by Chengsi Zhang & Chaofeng Li - 164-182 Accounting Accruals, Future Operating Performance, and Public-Listing Age
by Lin Huang & Yan Shu - 183-196 Adjustment of the Stamp Duty on Stock Transactions and Its Effect on the Chinese Stock Market
by Zhe Peng & Qiming Tang & Kent Wang - 197-209 Rumor Clarification and Stock Returns: Do Bull Markets Behave Differently from Bear Markets?
by Xiaolan Yang & Yongli Luo - 210-225 Economic Globalization and Financial Development in East Asia: A Panel Cointegration and Causality Analysis
by Siong Hook Law & W. N. W. Azman-Saini & Hui Boon Tan - 226-240 Comparison of Mean-Risk Efficient Portfolios in Asia-Pacific Capital Markets
by Miloš Kopa & Tomáš Tichý
November 2013, Volume 49, Issue S5
- 4-6 Guest Editor's Introduction
by Gökhan Özertan - 7-30 Bank Competition and Outreach: Evidence from Turkey
by Ahmet Faruk Aysan & Mustafa Disli & Koen Schoors - 31-40 Competition and Collusion in the Turkish Banking Industry
by Resul Aydemir - 41-58 Demand and Competition Analysis in the Turkish Deposit and Credit Markets
by G. Gulsun Akin & Ahmet Faruk Aysan & Sebnem Ileri & Levent Yildiran - 59-79 A Survey-Based Analysis of the Housing Market in an Emerging Economy: The Turkish Case
by Orhan Erdem & Ali Coşkun & Hande Oruç - 80-98 The Impact of Regulatory Policies on Risk Taking and Scale Efficiency of Commercial Banks in an Emerging Banking Sector
by E. Nur Özkan-Günay & Zeynep N. Günay & Gökhan Günay - 99-111 Assessment of the Participation Banks and Their Role in Financial Inclusion in Turkey
by Ahmet Faruk Aysan & Muhammed Habib Dolgun & M. Ibrahim Turhan - 112-129 Does Financial Integration Increase Exports? Evidence from International Industry-Level Data
by Nurullah Gur - 130-147 Which Economic Freedoms Contribute Income per Capita? Are Results Sensitive to the Indicators and the Estimation Methods?
by Fuat Erdal & Asli Yenipazarli - 148-162 Reforms and Challenges: The Turkish Pension Regime Revisited
by Mehmet Fatih Aysan - 163-179 Public-Private-Sector Employment Decisions and Wage Differentials in Peninsular Malaysia
by Ganesh K. Seshan - 180-193 Dynamics Between Turkish and International Cotton Prices
by Mustafa Safa Öz & Gökhan Özertan - 194-212 Yield Curve as a Predictor of Recessions: Evidence from Panel Data
by Huseyin Ozturk & Luis Felipe V. N. Pereira - 213-227 Purchasing Power Parity Hypothesis: Mixed Evidence from Eastern Europe Emerging Markets
by Gokhan Karabulut & Mehmet Huseyin Bilgin & Giray Gozgor - 228-249 The Drivers of Credit Default Swap Prices: Evidence from Selected Emerging Market Countries
by Hasan Murat Ertugrul & Huseyin Ozturk - 250-258 Capital Mobility in Emerging Europe
by Caner Taslaman & Fazıl Kayıkçı
September 2013, Volume 49, Issue S4
- 1-4 Introduction
by Ali M. Kutan - 5-16 Foreign Direct Investment in Emerging Markets: Bondholders' Perspective
by Chyi-Lun Chiou & Mao-Wei Hung & Pei-Gi Shu - 17-31 Financial Integration of Large- and Small-Cap Stocks in Emerging Markets
by Ming-Chieh Wang & Ming Fang & Jin-Kui Ye - 32-52 Impact of Trade Credit on Firm Inventory Investment During Financial Crises: Evidence from Latin America
by Hsia Hua Sheng & Adriana Bruscato Bortoluzzo & Gisler André Pereira dos Santos - 53-69 An Investigation of the Flight-to-Quality Effect: Evidence from Asia-Pacific Countries
by Chiu-Lan Chang & Paul L. Hsueh - 70-80 Characteristic Factors and Fund Evaluation in Korea
by Chulwoo Han & Inhyung Lee & Chae Woo Nam - 81-92 Forecasting Exchange Rate from Combination Taylor Rule Fundamental
by Hyeyoen Kim & Doojin Ryu - 93-103 Tactical Asset Allocation and Stock Issuance in the Korean Stock Market
by Chanyoung Eom & Hyoung-Goo Kang & Soo-Hyun Kim - 104-118 R -Squared and Dividend Payout: Evidence from the Korean Market
by Sang Koo Kang & Haksoon Kim - 119-131 Output Gap Estimation and Monetary Policy in China
by Chengsi Zhang & Butan Zhang & Zhe Lu & Yasutomo Murasawa - 132-149 Does Financial Regulation Enhance or Impede the Efficiency of China's Listed Commercial Banks? A Dynamic Perspective
by Tung-Hao Lee & Shu-Hwa Chih - 150-162 An Empirical Analysis of the Volatility in the Open-End Fund Market: Evidence from China
by Shiqing Xie & Xichen Huang - 163-183 Application of a Multifactor Model in Enhanced Index Fund: Performance Analysis in China
by Yih Jeng & Chen-Ju Lee & Shyh-Weir Tzang - 184-196 International Involvement, Target Market Selection, and Consolidated Performance: A Firm-Level Analysis of Taiwan's FDI in China
by Huey-Ling Shiau & Chen-Jui Huang & Fong-Chyi Chen - 197-212 A Tale of Two Index Futures: The Intraday Price Discovery and Volatility Transmission Processes Between the China Financial Futures Exchange and the Singapore Exchange
by Biao Guo & Qian Han & Maonan Liu & Doojin Ryu - 213-235 Dynamic Interactions Among Macroeconomic Variables and Stock Indexes in Taiwan, Hong Kong, and China
by Syouching Lai & Teng Yuan Cheng & Hung Chih Li & Sheng-Peng Chien - 236-253 Financial Reporting Quality, Debt Maturity, and the Cost of Debt: Evidence from China
by Chao Chen & Song Zhu - 254-266 What Causes Fraudulent Financial Reporting? Evidence Based on H Shares
by Shih-Chung Yen - 267-279 The Impact of Corporate Diversification on the Long-Term Stock Return of R&D Increase Announcements
by Li-Yu Chen & Chi-Feng Wang - 280-300 Theoretical and Empirical Evidence for the Impact of Cross-Border Production Sharing on Exchange Rate Pass-Through
by Lihuei Lan & Luke Lin & Wenyuan Lin & Shuangshii Chuang
July 2013, Volume 49, Issue S3
- 3-4 Guest Editor's Introduction: Institutional Characteristics and Trading Mechanisms of Financial Markets in East Asia
by Min-Teh Yu - 5-19 Operating Performance of Emerging Market Acquirers: Corporate Governance Issues
by Tze-Yu Yen & Shuching Chou & Paul André - 20-34 Price and Liquidity Effects of Switching Exchange Listings
by Tsai-Ling Liao & Min-Teh Yu - 35-46 Issuer Credit Ratings and Warrant-Pricing Errors
by Ming-Hsien Chen & Yin-Feng Gau & Vivian W. Tai - 47-61 Behavioral Investment Strategy Matters: A Statistical Arbitrage Approach
by David S. Sun & Shih-Chuan Tsai & Wei Wang - 62-69 The Impact of Individual Investor Trading on Stock Returns
by Zhijuan Chen & William T. Lin & Changfeng Ma & Zhenlong Zheng - 70-97 Informativeness and Influence of Limit Order Books on Order Submissions in Electronic Continuous Auction Markets
by Matthew C. Chang & Rebecca Chung-Fern Wu - 98-109 An Analysis of Strategic Equity Stakes Acquisition of Chinese Banks by Foreign Financial Institutions
by Hui-Lung Chang & Sou-Shan Wu & Szu-Lang Liao - 110-122 Trade Openness and Finance: Effects of Foreign Trade with China on Latin American Financial Development
by Yu-Lung Chen & Etzer S. Emile
March 2013, Volume 49, Issue S2
- 4-5 Introduction
by Ali M. Kutan - 6-22 Does Financial Liberalization Change the Sectoral Allocation of Investments? Macro Evidence from Chinese Provinces
by Qichun He & Meng Sun - 23-42 Spillover and Cojumps Between the U.S. and Chinese Stock Markets
by Xindan Li & Bing Zhang - 43-69 An Early Warning System of Financial Distress Using Multinomial Logit Models and a Bootstrapping Approach
by Bi-Huei Tsai - 70-90 State Ownership, Foreign Minority Shareholders, and the Efficiency of Chinese Commercial Banks
by Xiaohui Hou & Kuoping Chang & Qing Wang & Cheng Li - 91-106 Market Timing with Security Offering Regulations: Evidence from Private Placements of Chinese Listed Firms
by Lihong Cao & Xinping Xia & Yixia Wang - 107-125 The Relationship Between Equity-Based Compensation and Managerial Risk Taking: Evidence from China
by Yi-Ting Huang & Ming-Cheng Wu & Szu-Lang Liao - 126-144 Intra-Industry Trade and Labor Market Adjustment in Taiwan
by Chih-Hai Yang & Ming-Huan Liou - 145-157 Price and Volatility Spillovers in the Case of Stock Markets Located in Different Time Zones
by Joanna Olbrys - 158-170 Political Connections and the Efficiency of Capital Allocation Through Bond Financing in Chinese Listed Companies
by Xiaoqin Zhao & Difang Wan & Hao Xu
January 2013, Volume 49, Issue S1
- 3-4 Guest Editors' Introduction
by Ender Demir & Hakan Danis - 5-20 The Impact of FDI on Economic Growth: Some Evidence from Southeast Europe
by Eldin Mehic & Sabina Silajdzic & Vesna Babic-Hodovic - 21-36 Oil Prices and Emerging Market Exchange Rates
by Ibrahim Turhan & Erk Hacihasanoglu & Ugur Soytas - 37-48 Hedging with Chinese Aluminum Futures: International Evidence with Return and Volatility Spillover Indices Under Structural Breaks
by Chi Keung Marco Lau & Mehmet Huseyin Bilgin - 49-62 Women Out, Children Out: The Effect of Female Labor on Portuguese Preschool Enrollment Rates
by Paulo Reis Mourao - 63-76 The Sustainability of Indian Fiscal Policy: A Reassessment of the Empirical Evidence
by Marco Tronzano - 77-93 Market Reaction Implications of the Composition of SEO Packages on the Tel Aviv Stock Exchange
by Sagi Akron
November 2013, Volume 49, Issue 6
- 1-3 Introduction
by Ali M. Kutan - 4-21 Technological Catching Up, Quality of Exports, and Competitiveness: A Sectoral Perspective
by Eleonora Cavallaro & Piero Esposito & Alessia Matano & Marcella Mulino - 22-36 Start-Up Information Search Practices: The Case of Turkey
by Ahmet Murat Fis & Dilek Çetindamar - 37-51 Sectoral Responses of the Chinese Stock Market to International Oil Shocks
by Dayong Zhang & Hong Cao - 52-66 Manipulation Prevention and Hedging Effectiveness: Optimal Settlement Window Design for CSI 300 Stock Index Futures
by Song Jun & Luo Rui - 67-87 Information and Communications Technology and Trade in Emerging Market Economies
by Lirong Liu & Hiranya K. Nath - 88-111 Remittances and Currency Crisis: The Case of Developing and Emerging Countries
by Jounghyeon Kim - 112-137 Islamic Banking: How Has It Expanded?
by Patrick Imam & Kangni Kpodar
September 2013, Volume 49, Issue 5
- 1-3 Introduction
by Ali M. Kutan - 4-25 Profitability of Chile's Defined-Contribution-Based Pension System During the Multifund Era
by Viviana Fernandez - 26-44 Southeastern European Trade Analysis: A Role for Endogenous CEFTA-2006?
by Marjan Petreski - 45-62 Rapid Credit Growth in Emerging Markets: Boon or Boom-Bust?
by Selim Elekdag & Yiqun Wu - 63-81 Does Default Probability Matter in Latin American Emerging Markets?
by Isabel Abinzano & Luis Muga & Rafael Santamaría - 82-98 Inflation Dynamics and an Extended New Keynesian Phillips Curve for China
by Chengsi Zhang - 99-119 Return Predictability of Turkish Stocks: An Empirical Investigation
by Nusret Cakici & Kudret Topyan - 120-133 Too Big to Change: The Stabilizing Force of Reserve Currency Preferences in the International Monetary System
by Alice Y. Ouyang & Jie Li
July 2013, Volume 49, Issue 4
- 1-3 Introduction
by Ali M. Kutan - 4-21 Heterogeneity of Trade Patterns in High-Tech Goods Across Established and Emerging Exporters: A Panel Data Analysis
by Javad Abedini - 22-45 Local Financial Development and Household Welfare: Microevidence from Thai Households
by Oliver Gloede & Ornsiri Rungruxsirivorn - 46-73 Do Bank Stockholders Share the Burden of Required Reserve Tax? Evidence from Turkey
by Mahir Binici & Bülent Köksal - 74-97 Empirical Analysis of Business Cycle Synchronization and Shock Similarity Between Romania and the Eurozone
by Elena Bojeşteanu Bobeica & Ana Simona Manu - 98-112 Impact of the Heterogeneity in Market Power on the Relationship Between Risk Taking and Competition: Case of the Chilean Banking Sector
by Gabriel Pino & Iván Araya - 113-129 Foreign Direct Investment, Institutional Voids, and the Internationalization of Mining Companies into Africa
by John M. Luiz & Meshal Ruplal
May 2013, Volume 49, Issue 3
- 1-64 Introduction
by Ali M. Kutan - 3-5 Guest Editors' Introduction
by Mehmet Orhan & Ali Coşkun - 6-19 Nonlinearities in CDS-Bond Basis
by Kurmaş Akdoğan & Meltem Gülenay Chadwick - 20-34 Market Risk of Developed and Emerging Countries During the Global Financial Crisis
by Bülent Köksal & Mehmet Orhan - 35-47 Asymmetric Behavior of the Exchange Rate Pass-Through to Manufacturing Prices in Turkey
by Bahar Şen Doğan - 48-63 Managerial and Technical Inefficiencies of Foreign and Domestic Banks in Turkey During the 2008 Global Crisis
by Ahmet Akin & Nizamettin Bayyurt & Selim Zaim - 65-83 Downside Risk in Emerging Markets
by Yigit Atilgan & K. Ozgur Demirtas - 84-102 Central Bank's Retained Profits and Discount Windows: A Bureaucratic Organization's Discretion-Seeking Hypothesis
by Iljoong Kim & Inbae Kim - 103-123 Would a Relaxation of the Exchange Rate Regime Increase the Independence of Chinese Monetary Policy? Evidence from China
by Shaoyu Li & Li-Chuan Tsai - 124-136 Effects of Monetary Policy Coordination on Small Open Economies
by Nilufer Ozdemir
March 2013, Volume 49, Issue 2
- 1-3 Introduction
by Ali M. Kutan - 4-18 Foreign Bank Entry and Bank Corporate Governance in China
by Iftekhar Hasan & Ru Xie - 19-30 Football and the Risk-Return Relationship for a Stock Market: Borsa Istanbul
by M. Hakan Berument & Nildag Basak Ceylan & Bahar Onar - 31-43 Quality Growth Versus Inflation in Turkey
by Yavuz Arslan & Evren Ceritoğlu - 44-63 Country Versus Industry Diversification in ASEAN-5
by Meng-Horng Lee & Chee-Wooi Hooy - 64-83 The Cyclical Relationships Between South Africa's Net Capital Inflows and Fiscal and Monetary Policies
by Sean J. Gossel & Nicholas Biekpe - 84-104 The Impact of Trade Integration with the European Union on Productivity in a Posttransition Economy: The Case of Polish Manufacturing Sectors
by Aleksandra Parteka & Joanna Wolszczak-Derlacz - 105-130 Efficiency and Risk in Latin American Banking: Explaining Resilience
by Adnan Kasman & Oscar Carvallo
January 2013, Volume 49, Issue 1
- 1-3 Introduction
by Ali M. Kutan - 4-16 The Relationship Between Disaggregated Country Risk Ratings and Stock Market Movements: An ARDL Approach
by Ramazan Sari & Mehmet Uzunkaya & Shawkat Hammoudeh - 17-32 The Implications of Low R 2 : Evidence from China
by Conghui Hu & Shasha Liu - 33-67 Accounting Regulation, Financial Development, and Economic Growth
by Orhan Akisik - 68-81 Ultimate Controller Ownership and Firm Value in Taiwan
by Feng-Li Lin & Hai-Ling Lin - 82-100 Emerging Bond Market Volatility and Country Spreads
by Seungyeon Won & Young Sup Yun & Byoung Joon Kim - 101-129 Default Risk, Liquidity Risk, and Equity Returns: Evidence from the Taiwan Market
by Che-Min Chen & Han-Hsing Lee
November 2012, Volume 48, Issue S5
- 4-6 Guest Editor's Introduction
by Ahmet Faruk Aysan - 7-18 Domestic Transformation and Raison du Monde: Turkey's Nascent Competition State
by Sadik Ünay