Content
2024, Volume 13, Issue 4
- 172-182 Transition climate risks and corporate risky asset holdings: evidence from US firms
by Nicholas Apergis & Iraklis Apergis - 183-193 Human genetic diversity and income inequality
by Mustafa Kilinc & Zeynel Abidin Kilinc - 194-202 A new time-varying method for club convergence analysis
by Mateusz Tomal - 203-212 The relationship between income and subjective well-being: the case of Spain
by Ana Cárcaba & Eduardo González - 213-221 The effect of election outcome on economic activity: a tale of two countries
by Amr Saber Algarhi
2024, Volume 13, Issue 3
- 112-121 Optimal choice of relative performance indicator and product market competition
by Jumpei Hamamura & Sho Hayakawa - 122-131 Did the Great Recession matter for health care utilization? An approach from the working-age population in Spain
by Carla Blázquez Fernández & David Cantarero-Prieto & Patricio Perez - 132-140 Gold, bitcoin and the financial fear gouge
by Gil Cohen - 141-157 Analysis of the long-run relationship between public capital, economic growth, and (non-)renewable energy consumption: a pooled mean group approach
by Thai-Binh Pham - 158-171 Do female CEOs handle crisis better? Evidence from the COVID-19 pandemic
by John Thornton & Chrysovalantis Vasilakis
2024, Volume 13, Issue 2
- 58-67 How does inflation propagate among CPI components? Evidence from the euro area
by Tiago Trancoso & Sofia Gomes - 68-81 Redistribution and human development: evidence from Europe
by Oscar Claveria - 82-90 The impact of the Economic Adjustment Programme for Ireland: a synthetic control approach
by Daniel de Abreu Pereira Uhr & Felipe Weizenmann & Julia Gallego Ziero Uhr - 91-103 The world’s productivity distribution and optimal knowledge absorption
by Orlando Gomes - 104-111 The impact of finance on income inequality: a threshold analysis
by John Thornton; Chrysoivalantis Vasilakis
2024, Volume 13, Issue 1
- 12-19 The moderating role of external private investment on government-sponsored commercialisation R&D
by Zhunwoo Kim & Ohsung Kwon - 20-28 Money demand in Mexico: a nonlinear ARDL approach
by Nazif Durmaz & Tairu Jie - 29-38 The ChatGPT effect on AI-themed cryptocurrencies
by Lennart Ante & Ender Demir - 39-47 Eurozone inflation: fresh projections from global factors
by Nicholas Apergis - 48-57 Tax policy cyclicality and financial development
by Christos Chrysanthakopoulos & Athanasios Tagkalakis - aid:20784 Editorial Note
by Francisco J. Delgado; Eduardo Gonzalez
2023, Volume 12, Issue 4
- 266-276 Online disinformation: an economic analysis
by Gaetano Lisi - 277-283 A micro-foundation of a simple financial model with finite-time singularity bubble and its agent-based simulation
by Naohiro Yoshida - 284-295 Banking sector openness, a path to social responsibility? Evidence from Southern European banks
by Brahim Gaies - 296-305 PhD holders propensity to work in research-intensive sectors: evidence from Italy
by Valentino Parisi & Margarida M. Pinheiro - 306-312 The urban mobility of elder workers: evidence with the American Time Use Survey (2003-2018)
by Jorge Velilla & Raquel Ortega-Lapiedra & Antonio Gutiérrez-Lythgoe - 313-320 A note on institutional trust and poverty: evidence from Latin America
by Edgar Demetrio Tovar-GarcÃa - 321-330 Monetary aggregates in the US since 2020 and post-COVID-19 inflation: evidence from the equation of exchange
by Edoardo Beretta & Doris Neuberger - 331-341 When two banks fall, how do markets react?
by Dora Almeida & Andreia DionÃsio & Paulo Ferreira - 342-355 Home-ownership and unemployment: revisiting the Oswald hypothesis from a regional heterogeneity perspective
by Timo Tohmo & Jutta Viinikainen - 356-365 Does export intensity of heterogeneous firms affect leverage? Evidence from a small open economy
by Imran Ramzan & Ömer Lütfi Gebizlioglu
2023, Volume 12, Issue 3
- 186-202 The impact of home protection schemes on non-performing loans in Greece
by Andreas Zervas & Apostolos Fasianos & Konstantinos Loizos - 203-212 Work, leisure, and the Monday Blue: Does culture matter?
by Iordanis Petsas & Fengyun Li & Jinghan Cai - 213-230 Do tourism, economic complexity and globalization affect economic growth? New empirical evidence in the context of TALC theory and accounting for cross sectional dependence
by Thomas Panagiotou & Constantinos Katrakilidis - 231-240 Forecasting VIX: the illusion of forecast evaluation criteria
by Eleftheria Kafousaki & Stavros Degiannakis - 241-247 Revisiting the Mankiw et al. (1992) growth regressions
by Spyridon Boikos & Theodore Panagiotidis & Elisavet Serenidou & Thanasis Stengos - 248-265 The dynamic effect of macroprudential policies on income inequality: some evidence
by Panagiotis Konstantinou & Anastasios Rizos & Artemis Stratopoulou
2023, Volume 12, Issue 2
- 97-104 The degrees of central bank digital currency adoption across countries: a preliminary analysis
by Tu DQ Le & Son H Tran & Dat T Nguyen & Thanh Ngo - 105-114 Developing central bank digital currencies: a reality check during cryptocurrency euphoria
by Iulia Cioroianu & Shaen Corbet & Charles Larkin & Les Oxley - 115-120 Heterogeneity in investment behavior in sustainable products: the case of thematic funds
by LucÃa de Carlos Fraile & Eva Crespo-Cebada & à ngel Sabino Mirón-Sanguino & Carlos DÃaz-Caro - 121-131 Environmental, social and governance scores in Europe: what drives financial performance for larger firms?
by Tiago Cruz Gonçalves & Victor Barros & José Vicente Avelar - 132-136 Steady state economic freedom
by Ryan H Murphy - 137-146 CSR committee and firm value during the COVID-19 pandemic
by Yu-Lin Hsu & Ya-Ching Chu - 147-156 Underemployment and overemployment in Central Europe
by Ondřej Dvouletý - 157-164 Gender and job satisfaction in OECD countries
by Tekin Kose & Kubra Avcioglu - 165-171 Does Okun's law suffer from COVID-19?Evidence from Europe and the US
by Jan Russnak & Georg Stadtmann & Lilli Zimmermann - 172-185 Financial development, economic growth, and income inequality: a Toda-Yamamoto panel causality test
by Theodora Sotiropoulou & Stefanos Giakoumatos & Antonios Georgopoulos
2023, Volume 12, Issue 1
- 1-9 Editorial Note
by Francisco J. Delgado; Eduardo Gonzalez - 10-19 Product market competition and organization capital
by Ilhang Shin & Hansol Lee - 20-32 Asymmetric impact of the COVID-19 pandemic on foreign exchange markets: Evidence from an extreme quantile approach
by Ngo Thai Hung & Vo Xuan Vinh - 33-39 COVID-19 and remittances to Mexican states
by Ana Paula Goerne Luna & Jaime Lara Lara & Luz Daniela Montañez MartÃnez & Regina Saracho Cueto & Alonso Torre De Silva & Iliana Michelle Zaldivar Galindo - 40-48 The doping dilemma is not the only dilemma in sport
by Kjetil Haugen - 49-61 Regional healthcare infrastructure disparities and foreign direct investment into Europe
by Juliane Sormain & Michael Ryan - 62-67 Executive compensation and bank risk in China
by Qiubin Huang - 68-74 A note on national leadership and technology in moderating finance-growth nexus
by Chor Foon Tang & Mannir Salisu - 75-84 The labour market trade-offs of pet ownership
by Robbie Maris & Michael P. Cameron - 85-90 Ownership structure and profit maximization in general equilibrium models of monopolistic competition
by Vincent Boitier - 91-96 Revisiting the effects of government size and labour market institutions on macroeconomic volatility: the case of the eurozone
by Oscar Bajo-Rubio & Burcu Berke
2022, Volume 11, Issue 4
- 34-142 Credit to private sector, household debt and economic growth: An empirical investigation of EU countries
by Dimitrios Asteriou & Konstantinos Spanos - 143-149 Climate factor and banks’ resilience: Evidence from US banks
by Iraklis Apergis & Nicholas Apergis - 150-160 Government debt accumulation and non-performing loans: An ARDL bounds testing approach
by Maria Karadima & Helen Louri - 161-171 Does age modulate the impact of import competition on job type?
by Lourenco Paz - 172-179 Alternative specifications of human capital in production functions
by Luis Orea & Antonio Alvarez
2022, Volume 11, Issue 3
- 93-97 The political economy of state right to farm amendments: evidence from Missouri
by Levi Russell & Josh Hall - 98-106 Government responses, democracy, and COVID-19 containment: a cross-country study
by Toan Luu Duc Huynh & Duy Duong - 107-117 Policy uncertainty sensitivity, COVID-19 and industry returns in the United States
by Asil Azimli - 118-124 Civil unrest and firm performance: evidence from Chile
by Christian Espinosa-Méndez - 125-133 The impact of financial constraints on investment efficiency in South Africa
by Oluwaseyi Olopade & Beatrice Desiree Simo-Kengne & Abieyuwa Ohonba
2022, Volume 11, Issue 2
- 46-52 Does offshoring boost productivity? A comparison of SMEs and large firms for Germany
by Fabian Kreutzer & Wolfram Berger - 53-69 Intensity of competition and firm innovative behavior
by Daragh O'Leary & Justin Doran & Bernadette Power - 70-78 Institutional quality and health outcomes: evidence from the EU countries
by Anand Sharma & Vipin Sharma & Shekhar Tokas - 79-87 A note on the human capital and tourism growth nexus: a semi-parametric approach
by Michael Polemis & Dr Aikaterina Oikonomou - 88-92 Who votes for right-to-work?A median voter analysis of Missouri’s Proposition A
by Colin Steitz
2022, Volume 11, Issue 1
- 7-15 Economic effects of promotion and relegation in parallel competitions
by Thadeu Gasparetto & Angel Barajas - 16-23 Transient and persistent efficiency: an application to Portuguese wineries
by Samuel Faria & Sofia Gouveia & João Rebelo - 24-32 Do people really care about global warming?
by Francesco Busato & Bruno Chiarini & Gianluigi Cisco & Maria Ferrara - 33-40 Are tax revenue elasticities consistent with a balanced government budget? An analysis and implications for six CEE countries
by Charalambos Pattichis - 41-45 On the effectiveness of reward-based policies: Are we using the proper concept of tax reward?
by Gaetano Lisi - aid:17632 Editorial Note
by Francisco J. Delgado; Eduardo Gonzalez
2021, Volume 10, Issue 4
- 336-341 Effects of the COVID-related stay-at-home order on hospitality sales and automobile traffic counts: evidence from the State of Maine, USA
by Todd Gabe & Andrew Crawley - 342-348 Gender disparity effect among financially included (and excluded) women in Middle East and North Africa
by Antonella Francesca Cicchiello & Amirreza Kazemikhasragh & Anna Maria Fellegara & Stefano Monferrà - 349-358 Measuring the effect of trade liberalisation on the consumption of non-renewable energy sources in Latin America&the Caribbean Countries
by Matheus Koengkan & José Alberto Fuinhas & Isabel Vieira - 359-368 National culture and the distribution of foreign aid
by Phuong-Tra Vu & Phung Bao Ngoc Van - 369-382 An innovation adoption model of licensing-in for US start-ups
by Bernadette Power & Gavin C. Reid - 383-393 Does the use of a big data variable improve monetary policy estimates? Evidence from Mexico
by Luis Alberto Delgado-de-la-Garza & Gonzalo Adolfo Garza-RodrÃguez & Daniel Alejandro Jacques-Osuna & Alejandro Múgica-Lara & Carlos Alberto Carrasco - 394-402 Information transmission between bitcoin derivatives and spot markets: high-frequency causality analysis with Fourier approximation
by Efe Caglar Cagli & Pinar Evrim Mandaci - 403-407 The income elasticity of lottery revisited: a worldwide perspective
by Levi Pérez & à lvaro Muñiz - 408-415 Energy consumption, economic growth, foreign direct investment and globalization causality nexus in OECD countries: a symbolic transfer entropy analysis
by Ahdi Noomen AJMI & Seyi Saint Akadiri - 416-423 Attenuating the school context increases students’ academic self-concept
by Tamas Keller
2021, Volume 10, Issue 3
- 164-177 Market structure, state ownership and monetary policy transmission through bank lending channel: Evidence from Vietnamese commercial banks
by Huu Huan Nguyen & Minh Vu Ngo & Thanh Phuc Nguyen - 178-190 FDI and economic growth in the GCC: does the oil sector matter?
by Mohamed Elheddad & Mohga Bassim & Rizwan Ahmed - 191-199 Nexus between green bonds, financial and environmental indicators
by Ngo Thai Hung - 200-207 Do managers’ emotional intelligence matter for SMEs’ business practices?
by Huong Trang Kim - 208-216 The key role of quoted spreads in financial services and transactions
by Guillermo Peña - 217-228 Effect of macroeconomic variables on systemic risk: Evidence from Vietnamese economy
by Thi Xuan Huong Tram & Nguyen Thi Thanh Hoai - 229-239 Financial leverage and performance of SMEs in Vietnam: Evidence from the post-crisis period
by Tung Duy Bui & Huan Huu Nguyen & Vu Minh Ngo - 240-248 Basel violations, volatility model variants and value at risk: Optimization of performance deviations in banks
by Shahid Anjum - 249-261 Financial crisis and diversification strategies: the impact on bank risk and performance
by Duy Khanh Pham & Vu Minh Ngo & Huan Huu Nguyen & Toan Linh Vu Le - 262-273 Do female leaders influence bank profitability and bank stability? Evidence from Vietnamese banking sector
by Hai Yen Hoang & Ngoc Vu & Linh Nguyen - 274-283 Why do the Chinese make direct investment in the Europe? Insights from disaggregated bilateral data
by Thong Trung Nguyen & Xuan Vinh Vo - 284-290 The semiconducting principle of monetary and environmental values exchange
by Quan-Hoang Vuong - 291-298 Does frequent leadership changes influence firm performance? Insights from China
by Ahsan Akbar & Xinfeng Jiang & Zeeshan Fareed & Minhas Akbar - 299-309 Public support for lockdown policies
by David Boto-Garcia - 310-318 Pricing of higher education: The case of top-ranked MBA programs
by Andy W. Chen & Hao Chen - 319-330 Adoption of yield-increasing technologies in poorly integrated crop output markets
by Relwende Apollinaire Nikiema - 331-335 Safe-haven assets for U.S. equities during the 2020 COVID-19 bear market
by Chung Baek & Thomas Jackman
2021, Volume 10, Issue 2
- 95-101 Does the UK economy grow faster under a Conservative or Labour government?
by Amr Saber Algarhi & Alexander Tziamalis - 102-106 Who gains from economic freedom? A panel analysis on decile income levels
by Robert Lawson & James Dean - 104-147 The moderating role of board gender diversity between power-based corporate governance and tax aggressiveness
by Farzan Yahya & Abdul Manan & Muhammad Wasim Jan Khan & Muhammad Sadiq Hashmi - 107-115 Decision process and preferences over risk under the “endogenous decision rule†: results from a group experiment
by Andrea Morone & Simone Nuzzo & Tiziana Temerario - 116-125 Diesel prices in Brazil: A dynamic fractional integration analysis
by Derick David Quintino & Paulo Ferreira - 126-132 On the hedging benefits of REITs: The role of risk aversion and market states
by Riza Demirer & Asli Yuksel & Aydin Yuksel - 133-139 Does a country’s income inequality affect its citizens’ quest for equality in leisure? Evidence from European men’s football
by Nicolas Scelles & Aurélien François - 148-156 Exchange rate pass-through: an analysis of a panel quantile regression
by Yasemin Colak & Lutfi Erden - 157-163 Growth and ideas in a perfectly competitive world: A complement
by Vincent Boitier
2021, Volume 10, Issue 1
- 9-15 Brexit and skill shortages: an empirical analysis of UK SMEs
by Pattanapong Tiwasing - 16-26 Determinants of internet use by the elderly in Spain: time dedicated to search and communications
by Juan Carlos Campaña & Raquel Ortega - 27-36 Determinants of share repurchases: a quantile regression approach
by Ioannis Chasiotis & Andreas.G Georgantopoulos & Nikolaos Eriotis - 37-44 Chasing returns with high-beta stocks: evidence from tax-privileged mutual funds in Thailand
by Roongkiat Ratanabanchuen & Kanis Saengchote - 45-57 Do Korean chaebols practice noblesse oblige? Evidence from their CSR activities
by Denis Yongmin Joe & Jiyoung Lee & Frederick Dongchuhl Oh - 58-68 The effect of central bank transparency on inflation persistence
by Georgios Oikonomou & Stephanos Papadamou & Eleftherios Spyromitros - 69-71 The market demand- (and supply) curve paradox
by Kjetil Haugen & Knut P. Heen - 72-80 The role of macroeconomic and geopolitical news on gold returns and volatility
by Nicholas Apergis & Tasawar Hayat & Tareq Saeed - 81-86 Government borrowing as a Ponzi scheme: the case of Bangladesh
by Syed Yusuf Saadat - 87-94 The impact of economic crisis on cost structure configuration
by Odysseas Pavlatos - aid:16221 Editorial Note
by Francisco J. Delgado; Eduardo Gonzalez
2020, Volume 9, Issue 4
- 279-288 Closing gap between new development and voice of customer
by Mercedes Grijalvo & MarÃa Fernanda Eliopoulos & Gustavo Morales-Alonso - 289-297 The importance for a start-up to trust in open innovation: A systematic literature review
by Katia Mastrostefano & Gustavo Morales-Alonso & Marco Greco & Michele Grimaldi & Jose Antonio Blanco-Serrano - 298-305 Stay or switch? Investigating lock-in effect in multi-channel apparel retailing
by Emiliano Acquila-Natale & à ngel Hernández-GarcÃa & Santiago Iglesias-Pradas & Julián Chaparro-Peláez - 306-316 Quality in organizations: its capacity for transformation to create sustainable value
by Pablo Arranz Val & Julio César Puche Regaliza & Paula Antón Maraña - 317-325 Project portfolio selection for increasing sustainability in supply chains
by MarÃa-José Verdecho & David Pérez-Perales & Faustino Alarcón-Valero - 326-333 The role of services in the environmental Kuznets curve
by Manuel Cantavella - 334-341 The effect of oil prices on the economic diversification process: evidence from the GCC countries
by Osama D. Sweidan - 342-349 Threshold effects and unit roots of real commodity prices since the mid-nineteenth century
by Pedro Clavijo & Jacobo Campo & Henry Mendoza - 350-360 Middle-income trap and factors affecting the risk of growth slowdown in upper-middle-income countries
by Uğur Ursavaş & Hakan Sarıbaş - 361-369 A closer look at entrepreneurial intentions
by Mihaela Mikić & Tin Horvatinović & Ivan TurÄ ić
2020, Volume 9, Issue 3
- 146-156 Shape-shift contagion in emerging markets equities: evidence from frequency- and time-domain analysis
by Peterson Owusu Junior & Imhotep Alagidede & George Tweneboah - 157-166 The role of foreign investment in U.S. infrastructure: opportunities and challenges ahead
by Iordanis Petsas & Sofia M Vidalis - 167-177 Predicting firm-level volatility in the United States: the role of monetary policy uncertainty
by Matthew W Clance & Riza Demirer & Rangan Gupta & Clement Kweku Kyei - 178-188 Testing the white noise hypothesis in high-frequency housing returns of the United States
by Aviral Kumar Tiwari & Rangan Gupta & Juncal Cunado & Xin Sheng - 189-196 From cash to private and public digital currencies. The risk of financial instability and “modern monetary Middle agesâ€
by Ansgar Belke & Edoardo Beretta - 197-205 Catching-up effects in the logistics industry and the dynamic linkages with international trade and economic growth: empirical evidence from an international panel dataset
by Ioannis Katrakylidis & Michael Madas - 206-215 Examining the relationship between income inequality, taxation and economic freedom: a panel cointegration approach
by Achillefs Karakotsios & Constantinos Katrakilidis & Dimitrios Dimitriadis & Theodoros Christoforidis - 216-220 The ECB is running out of policy space: can fiscal policy help?
by Angela Capolongo & Daniel Gros - 221-229 Determining dividend payouts of the MENA banking industry: a probit approach
by Rola Elkabbani & Christian Richter & Mona ElBannan - 230-239 On the non-homogeneous effect of financial transaction taxes
by Patrick Thöni - 240-247 Determinants of credit ratings: evidence from panel discrete model
by Zamira Oskonbaeva - 248-254 Volatility, island nations and small states
by Jeffrey A Edwards & Alfredo A. Romero - 255-264 Economic effects of ambient air pollution on consumer shopping behaviors
by Hojin Jung - 265-269 Location decisions of heterogeneous European firms
by Josep Marti - 270-278 Technical inefficiency and output scale in banking and industry
by Gerasimos T. Soldatos
2020, Volume 9, Issue 2
- 48-55 A sector-based nonparametric decomposition of economic growth
by Barnabe Walheer - 56-72 Energy and economic growth in G20 countries: Panel cointegration analysis
by Aynur Pala - 73-83 Modeling Exchange rate -interest rate differential nexus in BRICS: The role asymmetry and structural breaks
by Zainab Sani & Afees Adebare Salisu & Eucharia Onyia & Onyebuchi Anih & Lawrence Kanu - 84-89 The dynamic impact of external shocks on fiscal reaction function in a small open economy
by Chee Loong Lee - 90-96 Providing new products by innovative entrepreneurs in Europe
by Jorge Velilla & Raquel Ortega - 97-105 Diversity in the board of directors and good governance practices
by à lvaro Melón-Izco & Francisco J. Ruiz-Cabestre & M. Carmen Ruiz-Olalla - 106-113 Women directors and exporting activity: The moderating role of network advice
by Bochra Idris & George Saridakis - 114-123 How optimal cash changed by the global financial crisis? A multi-country analysis
by Hasan Tekin - 124-134 Is saving vital? Evidence from the financial crisis
by Hasan Tekin & Ali Yavuz Polat - 135-145 Cyclical causalities between the U.S. wholesale beef and feed prices: A Markov-switching approach
by Dicle Ozdemir
2020, Volume 9, Issue 1
- 1-7 Editorial Note
by Francisco J. Delgado & Eduardo Gonzalez - 8-13 Globalization, free markets and investor protection
by Theophilus Lartey & Albert Danso - 14-20 Sustainability of current account balances in small states
by Jeetendra Khadan & Amrita Deonarine - 21-30 If worst comes to worst: Co-movement of global stock markets in the US-China trade war
by Toan Luu Duc Huynh & Tobias Burggraf - 31-40 The role of complementarity of goods in a mixed bundling strategy
by Carmen D. Ã lvarez-Albelo - 41-47 Effect of corruption on firm level innovation: Evidence from Pakistan
by Syed Muhammad Imran & Hafeez Ur Rehman & Rana Ejaz Ali Khan
2019, Volume 8, Issue 4
- 166-175 Financial sector development convergence in Africa: Evidence from bank- and market-based measures
by Yakubu Awudu Sare & Eric Evans Osei Opoku & Muazu Ibrahim & Isaac Koomson - 176-190 Rethinking the financial Kuznets curve in the framework of income inequality: Empirical evidence on advanced and developing economies
by Onur Özdemir - 191-198 Macroeconomic convergence in the West African monetary zone: Evidence from rank tests
by Emmanuel Numapau Gyamfi & Anokye Mohammed Adam & Emily Frimpomaa Appiah - 199-208 Gender gap in financial inclusion: Evidence from MENA
by Ekin Ayşe Özşuca - 209-214 An approach to predict Spanish mortgage market activity using Google data
by Marcos González-Fernández & Carmen González-Velasco
2019, Volume 8, Issue 3
- 122-129 In search of determinants of FDI backward spillovers: a meta-analysis
by Hongzhong Fan & Shi He - 130-137 Capital structure and board of directors: a quintile regression approach
by Omar Farooq & Zakir Pashayev - 138-146 The role of monetary policy uncertainty in predicting equity market volatility of the United Kingdom: evidence from over 150 years of data
by Rangan Gupta & Mark Wohar - 147-155 The geographical distribution of Portuguese business incubators: an empirical approach
by Gonçalo Rodrigues Brás & Miguel Torres Preto - 156-165 The persistent and informative distribution of returns on capital
by Paulo L. dos Santos & Jangho Yang
2019, Volume 8, Issue 2
- 62-73 Public expenditure and human development in Nigeria in the last decade, composition and distributional impacts
by Richardson Kojo Edeme & Chigozie Nelson Nkalu - 74-84 Is public sector performance just a matter of money? The case of the Spanish regional governments
by Raúl GarcÃa-Gómez & Jorge Onrubia-Fernández & Antonio Jesus Sanchez-Fuentes - 85-96 How “big†should government be?
by Antonio Afonso & Ludger Schuknecht - 97-105 The quality of public finances: where do we stand?
by Marta Rodriguez-Vives - 106-114 Towards a more resilient euro area
by Esther Gordo & Ivan Kataryniuk - 115-121 Efficient treatment of banking services under VAT
by Guillermo Peña
2019, Volume 8, Issue 1
- 1-6 Editorial Note
by Francisco J. Delgado & Eduardo Gonzalez - 7-16 Exchange rate pass-through to import prices: Evidence from Serbia
by Safet Kurtović - 17-30 Gender differences, risk attitude and entrepreneurship in Kyrgyzstan
by Raziiakhan Abdieva & Burulcha Sulaimanova & Kamalbek Karymshakov - 31-40 R&D expenditures by field of science and GDP: Which causes which in Canada?
by Bayram Veli Doyar - 41-52 Is employment growth affected by the introduction of broadband services? Evidence from firms in Ireland
by Philip Carthy & Sean Lyons - 53-61 Bloated balance sheets and stock returns: Asymmetries between profit and loss firms
by Georgios A. Papanastasopoulos
2018, Volume 7, Issue 4
- 126-128 Introduction - Gambling economics and management: some insights into recent developments in gambling-related research
by Levi Perez - 129-136 The betting market over time: overround and surebets in European football
by Carlos Gomez-Gonzalez & Julio del Corral - 137-143 Does betting experience matter in sequential risk taking in horse race wagering?
by Jani Saastamoinen & Niko Suhonen - 144-155 Influence of perceptual factors of a responsible gambling program on customer satisfaction with a gambling firm
by Brett Abarbanel & Lisa Cain & Kahlil Philander - 156-161 The optimal structure of lotto games
by Orrin David Gulley - 162-168 Regulation of online gambling
by Ingo Fiedler - 169-178 GDP vs genuine progress quantification of economic performance in South Korea and Malaysia
by Mastura Hashim & Imtiaz Mohammad Sifat & Azhar Mohamad - 179-188 How US wages effect post-socialist European stock markets: an empirical study
by Deniz Ilalan
2018, Volume 7, Issue 3
- 92-97 The Substitution Effect from the Profit Function in Consumption: Expressions from the Marshallian, Hicksian, and Frischian demand functions
by José Ignacio Gimenez-Nadal - 98-107 Evaluating the liberalization process on Telecommunications services for EU countries
by Christos Agiakloglou & Michael Polemis