Content
September 2019, Volume 6, Issue 5
- 104-130 Distribution of Historic Market Data ¨C Implied and Realized Volatility
by M. Dashti Moghaddam & Zhiyuan Liu & R. A. Serota - 131-144 The Economic Policy Uncertainty in China, the United States, and Europe: The Empirical Impact on Chinese Stock Markets
by Wannakomol Supachart - 145-157 Welfare Effect of Monetary Financing
by Tersoo Shimonkabir SHITILE & Abubakar SULE - 158-167 Seasonality in the Australian Stock Market
by Ha Vu & Sean Turnell - 168-176 The Theory of Agricultural Price Bubble & Price Crash in Global Economy
by M.B. Dastagiri & L. Bhavigna - 177-192 Applying the Support Vector Machine for Testing Pricing Inefficiency on the Stock Exchange of Mauritius
by Aleesha Mohamudally-Boolaky & Teemulsingh Luchowa & Kesseven Padachi
July 2019, Volume 6, Issue 4
- 1-10 A Simple Approach to Assess if a Financial ¡°Bubble¡± is Present: The Case of Bitcoin
by Vitor M. A. da Fonseca & Manuel A. R. da Fonseca - 11-17 The Sense of Quality of Life Among the Elderly in the Open Protection Centres of the Elderly (KAPI) During the Economic Crisis
by Zacharias Dermatis & Athanasia Konstantinopoulou & Athina Lazakidou & Athanasios Anastasiou - 18-27 The Effects on Investment Behavior of Zero Interest Rate Policy¡ªEvidence From a Roulette Experiment
by Christian A. Conrad - 28-35 Wealth Effects on Consumption in Malta: Evidence from Household Level Data
by Ilias Georgakopoulos - 36-40 How CEO Wealth Affects the Riskiness of a Firm
by Sonik Mandal & Charlie Swartz & Sanjib Guha & Carl B. McGowan Jr. - 41-61 Volatility Transmission Among Oil Price, Exchange Rate and Agricultural Commodities Prices
by Sima Siami-Namini - 62-71 How Does a Portfolio Manager Balance the Relationship Between Money Management and Investment?
by Liurui Deng & Lan Yang & Bolin Ma - 72-84 Key Factors in Customer Relationship Management Strategy Success in the Local Government Authorities
by Douglas Chiguvi & Ruramayi Tadu & Moreblessing Ngwenya
May 2019, Volume 6, Issue 3
- 1-6 AR Model or Machine Learning for Forecasting GDP and Consumer Price for G7 Countries
by Yutaka Kurihara & Akio Fukushima - 7-27 Interest Rate Term Structure Decomposition at the Instrument Level
by Brian Barnard - 28-44 Political Economy Analysis of the Macroeconomic Impact of National Elections in Ghana During the Fourth Republican Era, 1992 to 2016
by Kwabena Asomanin Anaman & Gbensuglo Alidu Bukari - 45-57 Exploring the Impact of Healthcare on Economic Growth in Africa
by Juste Som¨¦ & Selsah Pasali & Martin Kaboine - 58-70 Estimating the Potential Output and Output Gap of Ghana
by Joseph Atta-Mensah & Sawuya Nakijoba - 71-78 Research of the Current Situation and Future Trend of Internet Small-Credit Companies in China¡ªTake Chongqing as a Case Study
by Weiguo Qiu - 79-86 The Impact of Government Intervention on Municipal Bond Liquidity Premium: Evidence from China
by Xiao-Wan Jiang - 87-104 Impact of the Exchange Rate and Price Volatility on FDI Inflows: Case of Morocco and Turkey
by Azzouzi Asmae & Bousselhami Ahmed
March 2019, Volume 6, Issue 2
- 1-5 The Impact of Capital Structure on the Profitability of Publicly Traded Manufacturing Firms in Bangladesh
by Md. Ataur Rahman & Md. Sadrul Islam Sarker & Md. Joyen Uddin - 6-14 Corporate Social Responsibility and Sustainable Development: A Study of Commercial Banks in Bangladesh
by Md. Ataur Rahman & Md. Ashraful Islam - 15-31 Wage Growth Puzzle and Capacity Utilization
by Arto Kovanen - 32-42 The Effect of Price Reduction on Consumer's Buying Behavior in the U.S. Differentiated Yogurt Market
by Rezgar Mohammed & Olga Murova - 43-55 Effects of Tax Evasion and Tax Policy on Economic and Social Environment: The Case of Bosnia and Herzegovina
by Saudin Terzi? & Miro D?akula - 56-70 Socioeconomic Status and Fertility Decline in Burkina Faso, 2003-2015
by Dalomi Bahan & Latif Dramani - 71-78 Oil Price Fluctuation, Gold Returns and Inflationary Pressure: An Empirical Analysis Using Cointegration Approach
by Hanan Naser - 79-85 Identification of Obstacles and Drivers of Smallholder Rubber Farmers to Become Members of A Processing and Marketing Unit in Indonesia
by Mirza Antoni & Hiromi Tokuda - 86-98 A FMOLS Analysis of FDI Flows to Latin America
by Miguel D. Ramirez
January 2019, Volume 6, Issue 1
- 1-10 Infant Formula Trade and Food Safety
by Sarah W. Adelman & Katherine N. Schmeiser - 11-20 Determinants of Tax Revenues: Evidence From a Sample of Lower Middle Income Countries
by Rachid Boukbech & Ahmed Bousselhami & Elhadj Ezzahid - 21-29 Risk Evaluation and Control of Supply Chain Finance
by Ying Yu Du & Jun Bin Zhong & Zi Yue Su & Xin Peng Yang & Yi Lan Yao - 30-44 Research on the Pricing of Shared Ownership Housing
by Dai Yuan Li & Cong Wei Xie & Shu Hao Chen & Xiu Xiang Zou - 45-52 The Impact of Workers' Remittances on Economic Growth: Panel Data Approach for Selected Country Group
by Burcak Polat - 53-63 Testing for Shift-Contagion Vulnerability Among MENA Stock Markets During the Turkish Financial Crisis
by Osama M Badr & Wajih Khallouli - 64-73 Distinctiveness of Highly Risky Italian Firms That are Saved-A Logistic Approach
by Marco Muscettola - 74-83 The Leap of Comparative Advantage Trap in Guangzhou-Based on the Perspective of Global Value Chain
by Ji Yan Wu & Zi Jian Luo & Zhi Huang Huang - 84-96 Interest Rate Term Structure Decomposition: An Axiomatic
by Brian Barnard - 97-108 Risk and Return: The Case of Securities Listed on the West African Economic and Monetary Union Regional Exchange of Securities (BRVM)
by Herv¨¦ Ndoume Essingone & Mouhamadou Saliou Diallo - 109-117 Public Interest Payments and Bond Yields: A Panel Data Estimation for the Eurozone
by Nicolas Afflatet
November 2018, Volume 5, Issue 6
- 1-11 Impact of Consumption and Investment onto Growth: An Example of the Republic of Srpska
by Boris Spasojevic, Aleksandar Dukic - 12-22 India¡¯s Finance-Growth Nexus: Cointegration and Causality Analysis with Income Inequality and Globalization
by Takashi Fukuda - 23-32 Aristotle on Economics and Ethics
by Emel Kahya, Sungsoo Kim - 33-41 Climate Change Is not Only GHGs but Also Economics
by Jan-Erik Lane - 42-51 The Monetary Transmission Mechanism in Canada: A Time-Varying Vector Autoregression with Stochastic Volatility
by Ronald Henry Lange - 52-60 Macroeconomic Determinants of Infant Mortality in WAEMU Countries: Evidence from Panel Data Analysis
by Edem K. Abbuy - 61-75 Inefficient Signalling, Education Arms Race and Education Inflation in China
by Weiguang Liu - 76-83 Structural Breaks and Volatility Persistence of Stock Returns: Evidence from the US and UK Equity Markets
by Chikashi Tsuji - 84-100 Excess Real Interest Rates and the Inflation Targeting Regime in Brazil: Monetary Policy Ineffectiveness and Rentiers¡¯ Interests
by Fernando Ferrari Filho, Marcelo Milan - 101-110 Study on the Effectiveness of the Equity Incentive Plan of Private Enterprises in Zhuhai City: Taking TongWang Technology as an Example
by Junda Yang, Yun Xia, Liu Yang, Zhongtao Zhang - 111-125 Evaluation of Banks' Interest Rate Risk: An Alternative Approach
by Jakob Lichtner, Marcus Riekeberg, Friedrich Thie?en, Thomas Maurer
September 2018, Volume 5, Issue 5
- 1-9 Simulation-Based Optimal Portfolio Selection Strategy¡ªEvidence from Asian Markets
by Longqing Li - 10-22 Determinants of Employability of Young People Aged 15-29 in Burkina Faso
by Sayouba OUEDRAOGO - 23-32 The Short and Long Run Effects of Selected Variables on Tax Revenue - A Case Study
by Sima Siami-Namini & Daniel Muhammad & Fahad Fahimullah - 33-44 Empirical Measure of Wealth Effects in Household Consumption: The Case of Congo
by Idrys Fransmel OKOMBI - 45-58 Determinants of Nominal Effective Exchange Rate in Uganda (2000-2017): A Vecm Approach
by Sawuya Nakijoba - 59-66 Factors Affecting the Price of Commercial Housing in Haikou Housing
by Ji-Yan Wu & Wan-Yin Zheng & Xu-You Zeng - 67-74 Economic Diversification in Bahrain
by Ashraf Nakibullah - 75-82 Indian Implied Volatility Index: A Macroeconomic Study
by Jyothi Chittineni - 83-95 The Impact of Financial Development on Economic Growth as Countries Develop Financially and Economically: WAEMU Countries Case
by Daouda Coulibaly
July 2018, Volume 5, Issue 4
- 1-11 Asymmetric Effect of Monetary Policy in Emerging Countries: The Case of Egypt
by Mamdouh Abdelmoula M. Abdelsalam - 12-23 Regularized Age-Period-Cohort Modeling of Opioid Mortality Rates
by Gary Venter - 24-39 Understanding Positive Asymmetric Pricing with a Log-Concave Demand Function and Constant Marginal Costs
by Ricardo Quineche - 40-52 Macroeconomic Drivers of Remittances and the Implication for Economic Growth in Nigeria
by Johnson A. Atan & Godwin Essang Esu - 53-69 Entrepreneurial Leadership as a Determining Factor in the Internationalisation of Technology Driven Knowledge Intensive Services within Spanish SMEs
by Juan Pablo Camus Moller & Patricio Morcillo & Jose Maria Fernandez-Crehuet - 70-86 Economic Uncertainty and Money Demand Stability in Uganda during Financial Liberalization: A GARCH and ARDL Approach
by Allan Kayongo & Asumani Guloba - 87-94 The Role of Financial Speculation in Copper Prices
by Kegomoditswe Koitsiwe & Tsuyoshi Adachi - 95-101 Futures Trend Strategy Model Based on Recurrent Neural Network
by Ru Zhang & Chenyu Huang & Shaozhen Chen - 102-116 Research on Risk Measurement in Financial Market Based on GARCH-VaR and FHS¡ª¡ªAn Example of Chinese Bond Market
by Shaozhen Chen & Bangqian Zhang & Jinjin Deng - 117-126 Intelligent Growth and Macroeconomic Performance of EU Member Countries in the Framework of Europe 2020
by Papailiou Paraskevi & Komninos Dimitrios & Dermatis Zacharias & Anastasiou Athanasios & Liargovas Panagiotis - 127-139 Abrupt Climate Change: Time Is Tight
by Jan-Erik Lane - 140-149 Exchange Rate Volatility and Trade: An Empirical Investigation from the Egyptian Economy
by Osama M. Badr & Ahmed F. El-khadrawi - 150-159 Bitcoin Poison? Anecdotal Evidence from Bitcoin Miners Revenue
by David Spohn - 160-173 Effect of Equity Financing Options on Financial Performance of Non-Financial Firms Listed at the Nairobi Securities Exchange, Kenya
by Benter Omollo Achieng & Willy Muturi & Joshua Wanjare - 174-184 International Financial Reporting Standards Adoption and Value Relevance of Financial Information of Quoted Healthcare Firms in Nigeria
by Taibat A. Atoyebi & Yinka M. Salaudeen & Jerry Y. A. Onyilokwu
May 2018, Volume 5, Issue 3
- 1-7 Volatility Regime and Equity Portfolio Return: Evidence from Europe
by Chikashi Tsuji - 8-21 Do US Government Tax Revenues and Expenditures Respond to Debt Levels and Economic Conditions Asymmetrically over the Business Cycle?
by Steven P Cassou & Hedieh Shadmani - 22-33 Analysis of the Relationship Between Income Inequality and Poverty Prevalence in Selected North Central States of Nigeria: 1991 ¨C 2013
by Ndako Yahaya Shaba & S. A. J. Obansa & Sule Magaji & Mohammed Yelwa - 34-48 Research on Performance and Valuation of Enterprises Placarded by Others Based on the Improved Panel Vector Auto-Regression Model
by Na Luo - 49-58 Bollinger Bands Trading Strategy Based on Wavelet Analysis
by Shaozhen Chen & Bangqian Zhang & GengJian Zhou & Qiaoxu Qin - 59-64 Factoring as a Form of Financing Small and Medium-Sized Enterprises in ASEAN
by Thi My Huong Do - 65-74 A Study on the Effectiveness of the Equity Incentive Plan of Zhuhai Private Enterprises: Based on the Case of Livzon Group
by QiTong Yu & WenYu Dong - 75-81 Are Unprecedented Monetary Policy Effective: Recent Japanese Case
by Yutaka Kurihara - 82-88 The Interactive Relationship between Sci-Tech Innovation and Economic Growth: An Empirical Study Based on China Macroeconomic Data
by QiTong Yu & WenYu Dong - 89-99 Estimating Beta (¦Â) Values of Stocks in the Creation of Diversified Portfolio - A Detailed Study
by Syed Mohammad Faisal & Ahmad Khalid Khan & Omar Abdullah Al Aboud - 100-107 Debt Servicing and Sectoral Economic Growth in Kenya
by Brenda Molonko & Ambrose Jagongo & Job Omagwa - 108-115 Applying the Strategy of Village Revitalization to Manage the Rural Hollowing in Daba Mountains Area of China
by Zhang Lijuan & Zhang Guoyi
March 2018, Volume 5, Issue 2
- 1-12 Global Warming and the G22 Nations: On the Failure of the Unfccc and Chaos Theory
by Jan-Erik Lane - 13-31 Speculative Bubbles in the Near Future? Not Unlikely Indeed
by Giovanni Antonio COSSIGA - 32-40 Weaknesses of Financial Market Regulation
by Christian A. Conrad - 41-48 The Impact of Military Expenditures on Economic Growth of Pakistan
by Muhammad Ajmair & Khadim Hussain & Faisal Azeem Abbassi & Misbah Gohar - 49-64 Strategies to Manage Risk and their Role in Impacting Economic Performance among Farm Households
by Hisham S. El-Osta - 65-72 Volatility Transmission between Oil and LME Futures
by Jaehwan Park - 73-83 Tackling Infrastructural Gap in Nigeria: The Pension Fund Option
by Onwuka, Ifeanyi Onuka & Nwafor, Michael - 84-94 Biased Decision-Making and Liquidity Buffer in Commercial Banking
by Mingyuan Sun - 95-110 Effect of Public Investment on Private Investment and Economic Growth: Evidence From Vietnam by Economic Industries
by Nguyen Thi Canh & Nguyen Anh Phong - 111-116 The Role of Investment in Human Capital: Evolution Between Microeconomic and Macroeconomic Approach
by Babacar NDIAYE - 117-124 Presidential Election Results and Stock Market Performance: Evidence From Nigeria
by A.E. Osuala & U.A. Onoh & G.U. Nwansi - 125-142 The Issues and Implications About the Volatility of the Stock and the Bond Prices and Their Returns and the Volatility of Interest Rates and Inflation - Which Are Being Researched in Finance and Macro-Monetary Economics Literature: A Survey
by Muthucattu Thomas Paul - 143-151 Explaining the Saving Behavior of Households¡¯ in Ethiopia, Africa
by Eric Asare & Eduardo Segarra & Nakakeeto Gertrude & Fafanyo Asiseh - 152-157 The Effects of Fiscal Policy Shocks in Morocco: An SVAR Approach
by Firdawss Tahri & Mohamed Karim - 158-167 Effect Analysis of Real Estate Price and Monetary Policy: An Empirical Study Based on China Macroeconomic Data
by Liang Su & Li Lin & Shaozhen Chen & Lin Li - 168-174 The Economics of a Four-Day School Week: Community and Business Leaders¡¯ Perspectives
by Jon Scott Turner & Kim Finch & Ximena Uribe-Zarain - 175-184 Futures Quantitative Trading Strategies Based on Market Capital Flows
by Qiao-Xu Qin & Geng-Jian Zhou & Wei-Zhou Lin - 185-200 Comparative Sectoral Efficiency in the Fight Against Poverty and Unemployment in Burkina Faso
by Patrice Relouende Zidouemba
January 2018, Volume 5, Issue 1
- 1-13 Inflation Instability Impact on Interest Rate in Egypt: Augmented Fisher Hypothesis Test
by Doaa Akl Ahmed & Mamdouh Abdelmoula M. Abdelsalam - 14-28 DCCs among Sector Indexes and Dynamic Causality between Foreign Exchange and Equity Sector Volatility: Evidence from Egypt
by Amira Akl Ahmed & Rania Ihab Naguib - 29-36 Analysis of Carbon Tax on Selected European Countries: Does Carbon Tax Reduce Emissions?
by Ali Eren Alper - 37-44 Macroeconomic Determinants of Saudi Total Factor Productivity
by Wael Mousa - 45-57 Investigating the Relationship between the Type of Auditors and Disclosure Domain Quality among Pharmaceutical Companies Listed in Tehran Stock Exchange
by Alireza Hirad & Mahmoodreza Rakhshani - 58-74 The Self-Ful?lling Discriminations and Mismatches for Old Workers and Poor Workers
by Weiguang Liu - 75-80 Macroeconomic Effects of Fiscal Policy in Morocco: An Approach to Structural VAR
by Tlaytmaste Bahaddi & Mohamed Karim - 81-90 The Monetary Transmission Mechanism: An SVAR Analysis of the Four Municipalities in China
by Lili Wu & Mingxu Li - 91-101 Effects of Price Transmission and Exchange Rate Elasticities of Three Developing Countries on the World Cotton Trade
by Ozcan Ozturk - 102-124 Impact of Micro-Credit on Poor Households in Kurigram District
by Md. Thuhid Noor & Md. Rabiul Auwul & Saha Forid
November 2017, Volume 4, Issue 6
- 1-16 What Determines the Health Care Expenditure of High Income Countries? A Dynamic Estimation
by Yan Feng & Toby Watt & Anita Charlesworth & Grace Marsden & Adam Roberts & Jon Sussex - 17-26 New Analysis of Capital Flight from Saudi Arabia: The Relation with Long-Term Economic Performance
by Abdullah Hussein Almounsor - 27-35 Export Diversification and Economic Growth in Morocco: An Econometric Analysis
by Bilal Lotfi & Mohamed Karim - 36-41 Causal Relationship between Agricultural Exports and Exchange Rate: Evidence for India
by Dicle Ozdemir - 42-52 Performance of the Microfinance Investment Vehicles
by Erwan Le Saout - 53-63 The Strategies of Staging the Choices of Degrees of Formalization of Business Activities in Cameroon
by Abate Andre Modeste & Fouda Ongodo Maurice & Pene Zongabiro Nina Pelagie - 64-77 High and New Technology Enterprise Performance and Financial Constraints: Is Clustering Efficient?
by Qianfei Shu & Go Yano - 78-90 Liquidity Risk under The New Basel Global Regulatory Framework
by Sviatlana Hlebik - 91-106 Conducting Comparative Research into Defence Capability Formation
by Stefan Markowski & Satish Chand & Robert Wylie - 107-115 Interactions among Stock Price and Financial Ratios: The Case of Turkish Banking Sector
by Ekrem Meric & Melik Kamisli & Fatih Temizel
September 2017, Volume 4, Issue 5
- 1-8 Analysis of Divided Policy and Its Impact on Shareholders Wealth Maximization in Nigerian Firms (A Study of Brewery Industry)
by Cordelia Onyinyechi Omodero & Kalu Ogbonnaya Amah - 9-20 Modelling Short-run Money Demand for the US
by Marcus Scheiblecker - 21-30 Robust FDI Determinants in Sub-Saharan African Countries
by Nvuh Njoya Youssouf - 31-44 The Relationship between Military Expenditure and Certain Growth and Development Related Variables in Transition Economies: A Panel Data Analysis
by Sotirios K. Bellos - 45-53 Risk Measurement of Futures Portfolio: An Empirical Study Based on PGARCH - EVT - Copula Model
by Liang Su & Lan-Ya Ma - 54-64 Structural Weaknesses in the Economy of Bosnia and Herzegovina ¨C A Brake on Growth and Development
by Zoran Mastilo & Radmila Cickovic - 65-77 Disabled Friendly Facility between Feasibility and Legality
by Ibrahim Z. Baghdadi & Mohammad Fahes & Muhieddine Z. Ramadan - 78-93 Cointegration of Stock Prices and Domestic Portfolio Diversification Opportunities: Evidence from the Ghana Stock Exchange
by George Amfo-Antiri & Edward Quansah - 94-100 The IMF has always promoted the theories of external adjustment. These theories were inspired by the work of J.Polak who first came up with the Monetary Approach to the Balance of Payments in 1957. In this approach, the balance of payments imbalances are related to excess: the model allows calculating a compatible amount of credit with a fixed target of external reserves. It is based on two assumptions: the constant money demand related to the income and the exogenous nature of the money supply resulting to an autonomous decision of the monetary authorities which fixes the internal component of currency level. An external imbalance is therefore only the symptom of a deeper evil, of monetary origin. In this paper, the Polak model will be applied on the variables of the Moroccan economy and study the results generated from the adjustment through the monetary balance of payments approach on its deficit
by Mariam Elhaddadi & Mohamed Karim
July 2017, Volume 4, Issue 4
- 1-16 Opportunistic Behaviour
by Jan-Erik Lane - 17-31 Macroeconomic Switching Regimes and Monetary Policy in Canada
by Ronald Henry Lange - 32-43 Regulatory Impact of Bank Performance in Nigeria: Application of Stochastic Frontier Analysis
by Mustapha A. Akinkunmi - 44-58 The Relation between Initial Returns and Audits by the Big Four Accounting Firms
by Jen-Sin Lee & Yue Li & Xin Hu & Qi-An Lu - 59-65 The Spillover Effect of Ecological Environment Protection on Poverty Reduction
by Danmeng Feng & Xiang Fan & Xiaoyuan Chu - 66-83 Estimation of the Impact of Monetary Policy on Economic Growth: The Case of Cote d Ivoire in Line with SVAR Methodology
by Drama Bedi Guy Herve - 84-93 Research on the Effect of Chinese Margin Trading on Market Risk: Based on GJR Model and Filtered Historical Simulation
by Lan-Ya Ma & Zi-Yu Li - 94-109 U.S. Quantitative Easing Policy Effect on TAIEX Futures Market Efficiency
by Han Ching Huang & Yong Chern Su & Wei-Shen Chen - 110-119 Empirical Study of Loincloth Typology in Custom-based Marriage in Congo-Brazzaville and Socioeconomic Implications
by Moyo Nzololo - 120-133 Optimal Time Allocation between Idle and Active Time
by Michal Weber & Limor D. Gonen & Sara Westreich & Uriel Spiegel - 134-144 Construction of Quantitative Transaction Strategy Based on LASSO and Neural Network
by Xu Wang & Jia-Yu Zhong & Zi-Yu Li - 145-159 Effects of Food Assistance Programs, Demographic Characteristics, and Living Environments on Children¡¯s Food Insecurity
by Zhiming Qiu & Chanjin Chung - 160-168 The Impact of Liquidity on GARCH Option Pricing Error during Financial Crisis
by Han Ching Huang & Yong Chern Su & Wei-Shen Chen - 169-177 The Does Financial Inclusion Promote Women Empowerment? Evidence from Bangladesh
by Md. Nur Alam Siddik
May 2017, Volume 4, Issue 3
- 1-13 Meeting Dividend Thresholds through Earnings Management: A Cross-cultural Comparison
by Yi-Shu Wang & Jing Yang & Zhen-Jia Liu - 14-29 Long and Short-term Volatility Comovements in the East Asian Stock
by Jin Yong Yang & Sang-Heon Lee & In-Sung Yeo - 30-46 Spatial Dynamics of Chinese Manufacturing Industries: Comparative Advantage versus New Economic Geography
by Fei Wang & Qiliang Mao - 47-55 Estimating Optimal Level of Taxation for Growth Maximization in Asia
by Jeeban Amgain - 56-76 Technology Acceptance Model for Zimbabwe: The Case of the Retail Industry in Zimbabwe
by Cinderella Dube & Victor Gumbo - 77-88 The Slope of the Euro Area Phillips Curve: Always and Everywhere the Same?
by Johanna Amberger & Ralf Fendel - 89-101 Tax-financing of Budget Deficits in LDCs: Re-validation of Laffer Curve Theory
by Samuel O.Okafor & Olisaemeka D. Maduka & Ann N. Ike & Benedict I. Uzoechina - 102-110 Explaining Individuals¡¯ Behavior towards Their Acquisition of Students¡¯ Loan in the US
by Asare Eric & Segarra Eduardo - 111-128 The Implications of Poverty on the Cameroon Economic Emergence Vision 2035
by Saidou Baba Oumar & Molem Christopher Sama - 129-140 Empirical Modeling for the Spot Price of Gold Based on Influencing Factors
by Weihe Wang & Weixuan Xia - 141-154 Unbiased Technique in Identifying Appropriate Variables for FDI Inflows Model: A Role of Economic Growth in SADC
by Chidozie Njoku & Oscar Chiwira - 155-163 A Model of Plausible, Severe and Useful Stress Scenarios for VIX Shocks
by Zi-Yi Guo
March 2017, Volume 4, Issue 2
- 1-10 Stock Market Integration in China: Evidence from the Asymmetric DCC Model and Copula Approach
by Xiao Jing Cai & Shuairu Tian & Shigeyuki Hamori - 11-19 The Effect of Fixed Exchange Rates on Monetary Policy of the GCC Countries
by Ashraf Nakibullah - 20-32 Reasserting Monetary Policy: Sumner¡¯s Nominal GDP Targeting and Beyond
by Clark Johnson - 33-37 Estimating Elasticity Function of Jordanian Aggregate Import Demand
by Mohamed Ibrahim Mugableh - 38-43 The Effect of Implementing a Feed-in Tariff in Abu Dhabi UAE
by Daisuke Sasaki & Gun Matsuo & Sameh El Khatib & Mikiyasu Nakayama - 44-56 Sport Sentiments and Stock Returns: Example of FIFA World Cups
by Jen-Sin Lee & Ching-Wei Chiu - 57-64 Ownership Structure and Firm Performance: An Empirical Analysis of Chinese Companies
by Hui Zhang & Khine Kyaw - 65-75 Empirical Evidence on the Impact of City Taxes
by Charles Swenson - 76-86 Deficit Policy within the Framework of the Stability and Growth Pact: An Empirical Analysis
by Nicolas Afflatet - 87-100 Bank Lending Channel in Transmission of Monetary Policy in Japan, 2000¨C2012: The Sign Restrictions VAR Approach
by Masao Kumamoto & Juanjuan Zhuo - 101-112 An Examination of the Merchandise Imports Demand Function for Egypt
by Mohamed Abbas Ibrahim - 113-128 Does Perception of Business Climate Differ Between Foreign and Local Investors. A Firm-level Study of Transition Economies in Eastern Europe and Central Asia
by Olga Golubeva - 129-140 A Volatility Analysis of Agricultural Commodity and Crude Oil Global Markets
by Jamel Trabelsi & Mohamed Mehdi Jelassi & Gaye Del Lo - 141-154 High Quality Liquid Suk¨±k: Relevance, Practice, and Empirical Research in the Context of Rising Global Interest Rates
by Abdullah Karatas - 155-162 Value Creation Concept In Stakeholder and Shareholder Economies
by Zoran Mastilo & Vladimir Zakic & Goran Popovic - 163-171 The Effect of Urbanization and Economic Performance on Metropolitan Water Consumption: Theoretic Model and Evidence from Guangzhou of China
by Shaohui Gao & Yiming He - 172-177 Information Technology Oriented Entrepreneurial Ventures
by Syed Ali Abbas - 178-189 Research on Strategies of Stock Index Futures Transaction Based on LMS Linear Regression
by Yaqian Pan & Yang Li & Shiqi Yu & Xiaomin Fu - 190-197 Informal Finance and Asymmetric Information: A Theory Review
by Wei Zhao
January 2017, Volume 4, Issue 1
- 1-8 Taylor Rule During the Zero or Low Interest Rate Era: The Recent Japanese Case
by Yutaka Kurihara - 9-17 The Relation of Fiscal Decentralization, Regional Finance and Social Justice for the Local Development of Indonesia
by Timbul Hamonangan Simanjuntak & Imam Mukhlis - 18-33 Evaluating the Operational Efficiency of Life Insurance Companies in Taiwan¨C An Application of the Dynamic Network SBM Model
by Lee Chi-Ai & Shyu Ming-Kuang & Chiu Yung-Ho - 34-42 The Relationship between Ownership Structure and the Probability of a Financial Distress Warning Happening: Evidence of Listed Common Stock Companies in Taiwan
by Ching-Chun Wei & Wen-Xin Fang & Guan-Hua Li & Yu-Wen Kao & Miao-Lin Tsai & Ching-Yi Yang - 43-52 Attention to Risk and Return: Choice Experiment of the Stated and Inferred Use of Investment Attributes
by Eeva Alho - 53-71 Nanoeconomics: A Statistical Model of Company Profit Influenced by Individual Interests of Managers
by Igor Sokolov & Anatoly Katyshev - 72-83 Accommodating Different Learning Styles in the Teaching of Economics: with Emphasis on Fleming and Mills¡¯s Sensory-based Learning Style Typology
by Hongxiang Zhang - 84-92 Adoption and Use of Information Communication Technologies in Zimbabwean Supermarkets
by Cinderella Dube & Victor Gumbo - 93-126 Simulation and Calibration of Options Prices under a Levy-Type Stochastic Dynamic and Semi Markov Market Switching Regimes Processes
by Patrick Assonken & Gangaram Ladde - 127-137 The Determinants of Bank Interest Margins: A Short-term Funding Perspective
by Ming Qi & Yumo Yang - 138-148 Empirical Estimates of Okun¡¯s Law in Malta
by Brian Micallef - 149-168 Exchange Rate Volatility and Malawi¡¯s Tobacco Exports to The United Kingdom and The United States
by Abel Mwanyungwe - 169-190 The Bank Lending Channel of Monetary Policy Transmission: A Dynamic Bank-level Panel Data Analysis on Tanzania
by Wilfred E. N. Mbowe - 191-198 Finite Difference Schemes for Black-Scholes with Asian Option
by Wei Zhao
November 2016, Volume 3, Issue 4
- 1-6 The Intellectuals in Contemporary Europe: Between Conformism and Non-Conformism
by Vasiliy Chernoperov & Sergey Usmanov - 7-19 The Influence of Teamwork on the Performance in International Joint Venture
by Danmeng Feng & Xiaoyuan Chu & Weiwei Chen - 20-28 The Impact of Social Housing Program on the Demand for Housing in Turkey: A Cross-Section Analysis
by Abuzer Pinar & Murat Demir