Content
June 2015, Volume 48, Issue 4
- 1365-1394 Gender ratio, divorce rate, and intra-household collective decision process: evidence from iranian urban households labor supply with non-participation
by GholamReza Haddad - 1395-1418 Correlates of flexible working arrangements, stress, and sleep difficulties in the US workforce: does the flexibility of the flexibility matter?
by M. Haley & Laurie Miller - 1419-1444 Explaining upper secondary school dropout: new evidence on the role of local labor markets
by Kristine Simson - 1445-1478 The effect of life expectancy on education and population dynamics
by Matteo Cervellati & Uwe Sunde - 1479-1497 The effect of education on smoking behavior: new evidence from smoking durations of a sample of twins
by Pierre Koning & Dinand Webbink & Nicholas Martin - 1499-1523 An international comparison of productivity change in the textile and clothing industry: a bootstrapped Malmquist index approach
by Magdalena Kapelko & Alfons Oude Lansink - 1525-1539 Information and communication technology and foreign direct investment: interactions and contributions to economic growth
by Elena Ketteni & Constantina Kottaridi & Theofanis Mamuneas - 1541-1561 Income inequality and economic growth: a panel VAR approach
by Bebonchu Atems & Jason Jones - 1563-1585 Fiscal policy and current account in an oil-rich economy: the case of Nigeria
by Olusegun Akanbi - 1587-1617 Macroeconomic effects of fiscal policy in the European Union: a GVAR model
by Alejandro Ricci-Risquete & Julián Ramajo-Hernández - 1619-1641 Tracking Chinese CPI inflation in real time
by Michael Funke & Aaron Mehrotra & Hao Yu - 1643-1665 Convergence of inflation with a common cycle: estimating and modelling Spanish historical inflation from the 16th to the 18th centuries
by José Cendejas Bueno & Cecilia Font de Villanueva - 1667-1690 Explaining commodity prices by a cointegrated time series-cross section model
by Hildegart Ahumada & Magdalena Cornejo - 1691-1712 GARCH modeling of five popular commodities
by Saralees Nadarajah & Emmanuel Afuecheta & Stephen Chan - 1713-1730 Estimation of optimal metropolitan size in Japan with consideration of social costs
by Fumitoshi Mizutani & Tomoyasu Tanaka & Noriyoshi Nakayama
May 2015, Volume 48, Issue 3
- 923-937 A micro spatial analysis of firm demography: the case of food stores in the area of Trento (Italy)
by Giuseppe Arbia & Patrizia Cella & Giuseppe Espa & Diego Giuliani - 939-949 Are all sovereigns equal? A test of the common determination of sovereign spreads in the euro area
by Heather Gibson & Stephen Hall & George Tavlas - 951-967 Taylor rules revisited: ECB and Bundesbank in comparison
by Tobias Rühl - 969-982 Do the Keynesian monetary transmission mechanisms work in the MENA region?
by Sanchita Mukherjee & Rina Bhattacharya - 983-1011 Stochastic trends and seasonality in economic time series: new evidence from Bayesian stochastic model specification search
by Tommaso Proietti & Stefano Grassi - 1013-1054 Residual-based tests for cointegration with three-regime TAR adjustment
by Daiki Maki & Shin-ichi Kitasaka - 1055-1078 Identifying extreme values of exchange market pressure
by Mohammad Karimi & Marcel Voia - 1079-1102 Oil price shocks and stock markets: testing for non-linearity
by Rebeca Jiménez-Rodríguez - 1103-1117 Price dynamics in agricultural commodity markets: a comparison of European and US markets
by Jean-Christophe Statnik & David Verstraete - 1119-1147 Do markup dynamics reflect fundamentals or changes in conduct?
by Mikael Juselius & Moshe Kim & Staffan Ringbom - 1149-1167 The trade effect of price risk: a system-wide approach
by Dengjun Zhang - 1169-1187 Equity premium over different investment horizons
by Eunhee Lee & Chang Kim & In-Moo Kim - 1189-1202 Size distortions of the wild bootstrapped HCCME-based LM test for serial correlation in the presence of asymmetric conditional heteroskedasticity
by Klaus Grobys - 1203-1231 Density characteristics and density forecast performance: a panel analysis
by Geoff Kenny & Thomas Kostka & Federico Masera - 1233-1266 Further results on the regression-based approach to inequality decomposition with evidence from India
by Maurizio Bigotta & Jaya Krishnakumar & Uma Rani - 1267-1286 Disruption, learning, and the heterogeneous benefits of smaller classes
by Graham McKee & Katharine Sims & Steven Rivkin - 1287-1325 Latent variables and propensity score matching: a simulation study with application to data from the Programme for International Student Assessment in Poland
by Maciej Jakubowski
March 2015, Volume 48, Issue 2
- 517-535 Panel data dynamics with mis-measured variables: modeling and GMM estimation
by Erik Biørn - 537-555 Unit roots and the dynamics of market shares: an analysis using an Italian banking micro-panel
by Caterina Giannetti - 557-575 Monetary policy in Brazil: evidence of a reaction function with time-varying parameters and endogenous regressors
by Edilean Silva Bejarano Aragón & Gabriela Medeiros - 577-607 Macroeconomic news surprises and volatility spillover in foreign exchange markets
by Walid Ben Omrane & Christian Hafner - 609-626 Is forecasting inflation easier under inflation targeting?
by Harun Özkan & M. Yazgan - 627-656 DSGE priors for BVAR models
by Thomai Filippeli & Konstantinos Theodoridis - 657-681 The evolution of economic convergence in the European Union
by Mihály Borsi & Norbert Metiu - 683-697 Asymmetry in the relationship between unemployment and the business cycle
by Jorge Belaire-Franch & Amado Peiró - 699-714 Time–frequency relationship between share prices and exchange rates in India: Evidence from continuous wavelets
by Aviral Tiwari & Niyati Bhanja & Arif Dar & Faridul Islam - 715-745 World Trade Organization sanctions, implementation, and retaliation
by Benjamin Liebman & Kasaundra Tomlin - 747-778 Measuring world governance: revisiting the institutions hypothesis
by Mehmet Pinar - 779-805 Sectoral trade freeness and agglomeration in the EU: an empirical test approach
by Gianluca Cafiso - 807-827 Productivity spillovers from FDI and the role of domestic firm’s absorptive capacity in South Korean manufacturing industries
by Minjung Kim - 829-848 Expected efficiency ranks from parametric stochastic frontier models
by William Horrace & Seth Richards-Shubik & Ian Wright - 849-881 Do dropouts with longer training exposure benefit from training programs? Korean evidence employing methods for continuous treatments
by Chung Choe & Alfonso Flores-Lagunes & Sang-Jun Lee - 883-908 The elasticity of taxable income of high earners: evidence from Hungary
by Áron Kiss & Pálma Mosberger - 909-921 Income and democracy: the modernization hypothesis re-visited via alternative non-linear models
by Suzanna-Maria Paleologou
February 2015, Volume 48, Issue 1
- 1-8 Introduction
by Subal Kumbhakar & Christopher Parmeter - 9-36 Nonparametric testing for anomaly effects in empirical asset pricing models
by Sainan Jin & Liangjun Su & Yonghui Zhang - 37-59 Mixed data kernel copulas
by Jeffrey Racine - 61-81 Penalized exponential series estimation of copula densities with an application to intergenerational dependence of body mass index
by Yichen Gao & Yu Zhang & Ximing Wu - 83-141 Partial identification of the long-run causal effect of food security on child health
by Daniel Millimet & Manan Roy - 143-168 Nonparametric estimation of returns to scale using input distance functions: an application to large U.S. banks
by Diego Restrepo-Tobón & Subal Kumbhakar - 169-191 Semi-nonparametric spline modifications to the Cornwell–Schmidt–Sickles estimator: an analysis of US banking productivity
by Pavlos Almanidis & Giannis Karagiannis & Robin Sickles - 193-225 Should all microfinance institutions mobilize microsavings? Evidence from economies of scope
by Michael Delgado & Christopher Parmeter & Valentina Hartarska & Roy Mersland - 227-251 Additive kernel estimates of returns to schooling
by Deniz Ozabaci & Daniel Henderson - 253-281 Efficient kernel-based semiparametric IV estimation with an application to resolving a puzzle on the estimates of the return to schooling
by Feng Yao & Junsen Zhang - 283-312 Assessing the effect of high performance computing capabilities on academic research output
by Amy Apon & Linh Ngo & Michael Payne & Paul Wilson - 313-335 A semiparametric varying coefficient model of monotone auction bidding processes
by Wenchuan Liu & Yu Zhang & Qi Li - 337-360 A nonparametric analysis of firm size, leverage and labour productivity distribution dynamics
by Kim Huynh & David Jacho-Chávez & Robert Petrunia & Marcel Voia - 361-387 Semi-mixed effects gravity models for bilateral trade
by Isabel Proença & Stefan Sperlich & Duygu Savaşcı - 389-405 A new semiparametric test for superior predictive ability
by Zongwu Cai & Jiancheng Jiang & Jingshuang Zhang & Xibin Zhang - 407-426 Forecasting major Asian exchange rates using a new semiparametric STAR model
by Nan Cai & Zongwu Cai & Ying Fang & Qiuhua Xu - 427-438 Testing purchasing power parity hypothesis: a semiparametric varying coefficient approach
by Hongjun Li & Zhongjian Lin & Cheng Hsiao - 439-459 An environmental degradation index based on stochastic dominance
by Elettra Agliardi & Mehmet Pinar & Thanasis Stengos - 461-491 Robust multiple regimes in growth volatility
by Andros Kourtellos & Ioanna Stylianou & Chih Tan - 493-515 Transaction costs and social networks in productivity measurement
by Geraldine Henningsen & Arne Henningsen & Christian Henning
December 2014, Volume 47, Issue 4
- 1173-1192 Is the value of environmental goods sensitive to the public funding scheme? Evidence from a marine restoration programme in the Black Sea
by Kyriaki Remoundou & Fikret Adaman & Phoebe Koundouri & Paulo Nunes - 1193-1220 Estimating the Markov-switching almost ideal demand systems: a Bayesian approach
by Satoshi Kabe & Yuichiro Kanazawa - 1221-1250 On estimation of almost ideal demand system using moving blocks bootstrap and pairs bootstrap methods
by Ken-ichi Mizobuchi & Hisashi Tanizaki - 1251-1282 The associations between early life circumstances and later life health and employment in Europe
by Manuel Flores & Adriaan Kalwij - 1283-1316 Bank competition in transition countries: Are those markets really in equilibrium?
by Tai-Hsin Huang & Nan-Hung Liu - 1317-1340 Succeeding in innovation: key insights on the role of R&D and technological acquisition drawn from company data
by Andrea Conte & Marco Vivarelli - 1341-1363 Timing and determinants of local residential broadband adoption: evidence from Ireland
by Sean Lyons - 1365-1387 Robust tests for time-invariant individual heterogeneity versus dynamic state dependence
by Federico Zincenko & Walter Sosa-Escudero & Gabriel Montes-Rojas - 1389-1410 Fractional integration and cointegration in US financial time series data
by Guglielmo Caporale & Luis Gil-Alana - 1411-1440 Imposing curvature conditions on flexible functional forms for GNP functions
by Guy Chapda Nana & Bruno Larue - 1441-1466 Trade facilitation and country size
by Mohammad Amin & Jamal Haidar - 1467-1496 Export and import market-specific characteristics
by Francesco Serti & Chiara Tomasi - 1497-1523 Inflation uncertainty revisited: a proposal for robust measurement
by Christian Grimme & Steffen Henzel & Elisabeth Wieland - 1525-1541 The long-run relationship of gold and silver and the influence of bubbles and financial crises
by Dirk Baur & Duy Tran - 1543-1562 Forecasting spatially dependent origin and destination commodity flows
by James LeSage & Carlos Llano-Verduras
November 2014, Volume 47, Issue 3
- 781-823 Monetary transmission mechanism and time variation in the Euro area
by Kemal Bagzibagli - 825-851 Twin deficits: new evidence from a developing (oil vs. non-oil) countries’ perspective
by Hany Eldemerdash & Hugh Metcalf & Sara Maioli - 853-880 A DSGE model with housing in the cointegrated VAR framework
by Bjørnar Kivedal - 881-904 Is the Engel curve approach viable in the estimation of alternative PPPs?
by Erling Røed Larsen - 905-925 Supermarket responses to Wal-Mart Supercenter expansion: a structural approach
by Rebecca Cleary & Rigoberto Lopez - 927-957 Medical consumption over the life-cycle
by Juergen Jung & Chung Tran - 959-976 Deep habits in consumption: a spatial panel analysis using scanner data
by Benjamin Verhelst & Dirk Van den Poel - 977-998 Outsourcing and firm productivity: a production function approach
by Alberto López - 999-1027 Productivity in the euro area: any evidence of convergence?
by David Sondermann - 1029-1053 Nonparametric measures of returns to scale: an application to German water supply
by Michael Zschille - 1055-1066 Power laws and the market structure of tourism industry
by Davide Provenzano - 1067-1101 Entry regulation and entrepreneurship: a natural experiment in German craftsmanship
by Davud Rostam-Afschar - 1103-1127 Sick of being “Activated?”
by Barbara Hofmann - 1129-1146 Income, distance and amenities. An empirical analysis
by Rafa Madariaga & Joan Martori & Ramon Oller - 1147-1172 Regional inflation dynamics using space–time models
by Helena Marques & Gabriel Pino & Juan Dios Tena Horrillo
September 2014, Volume 47, Issue 2
- 389-409 Exchange rates dynamics revisited: a panel data test of the fractional integration order
by Fredrik Andersson - 411-426 Revealing asymmetries in the loss function of WTI oil futures market
by E. Mamatzakis - 427-450 On the choice of regularization parameters in specification testing: a critical discussion
by Stefan Sperlich - 451-468 Estimating SUR system with random coefficients: the unbalanced panel data case
by Erik Biørn - 469-494 The last fifteen years of stagnation in Italy: a business cycle accounting perspective
by Renzo Orsi & Francesco Turino - 495-522 Measuring the natural rates, gaps, and deviation cycles
by Yasutomo Murasawa - 523-552 Wage spillovers across sectors in Eastern Europe
by Gaetano D’Adamo - 553-592 Heterogeneous returns to personality: the role of occupational choice
by Katrin John & Stephan Thomsen - 593-617 The wage effects of subsidized career breaks
by Oskar Skans & Linus Liljeberg - 619-637 Decomposing inequality change from the perspective of reranking and income growth between income groups
by Mauro Mussini - 639-667 Endogenous neighborhood effects on welfare participation
by Qingyan Shang - 669-693 Estimating noncooperative and cooperative models of bargaining: an empirical comparison
by Masanori Mitsutsune & Takanori Adachi - 695-716 A new dataset on educational inequality
by Elena Meschi & Francesco Scervini - 717-731 Estimating the effect of technological factors from samples affected by collinearity: a data-weighted entropy approach
by Esteban Fernández-Vázquez - 733-751 (Un)expected retirement and the consumption puzzle
by Margherita Borella & Flavia Coda Moscarola & Mariacristina Rossi - 753-780 Survival expectations, subjective health and smoking: evidence from SHARE
by Silvia Balia
August 2014, Volume 47, Issue 1
- 1-19 Demand uncertainty and capacity utilization in airlines
by Diego Escobari & Jim Lee - 21-34 A panel data approach to price–value correlations
by Andrea Vaona - 35-56 Unemployment duration and the role of compositional variation: evidence from a period of economic crisis in Finland
by Jouko Verho - 57-73 The European unemployment problem: its cause and cure
by Naveen Srinivasan & Pratik Mitra - 75-92 Testing exclusion restrictions and additive separability in sample selection models
by Martin Huber & Giovanni Mellace - 93-110 Income inequality between Chinese regions: newfound harmony or continued discord?
by Johan Lyhagen & Johanna Rickne - 111-128 Consumers’ preferences for a local food product: a real choice experiment
by Azucena Gracia - 129-142 Farmland returns and economic conditions: a FAVAR approach
by Todd Kuethe & Todd Hubbs & Mitch Morehart - 143-168 Is eco-efficiency in greenhouse gas emissions converging among European Union countries?
by Mariam Camarero & Juana Castillo-Giménez & Andrés Picazo-Tadeo & Cecilio Tamarit - 169-198 Market variance risk premiums in Japan for asset predictability
by Masato Ubukata & Toshiaki Watanabe - 199-226 Financial liberalization and the selection of emigrants: a cross-national analysis
by Aniruddha Mitra & James Bang & Phanindra Wunnava - 227-251 TFP growth and its determinants: a model averaging approach
by Michael Danquah & Enrique Moral-Benito & Bazoumana Ouattara - 253-304 On the robustness of the trade-inducing effects of trade agreements and currency unions
by Jayjit Roy - 305-345 Evolving UK and US macroeconomic dynamics through the lens of a model of deterministic structural change
by George Kapetanios & Tony Yates - 347-364 Real-time forecasting US GDP from small-scale factor models
by Maximo Camacho & Jaime Martinez-Martin - 365-388 Evaluating FOMC forecast ranges: an interval data approach
by Henning Fischer & Marta García-Bárzana & Peter Tillmann & Peter Winker
June 2014, Volume 46, Issue 4
- 1181-1196 Exchange rate pass-through and inflation targeting in Peru
by Diego Winkelried - 1197-1220 Consumption multipliers of different types of public spending: a structural vector error correction analysis for the UK
by Luigi Marattin & Simone Salotti - 1221-1240 Reconsidering the welfare cost of inflation in the US: a nonparametric estimation of the nonlinear long-run money-demand equation using projection pursuit regressions
by Rangan Gupta & Anandamayee Majumdar - 1241-1270 State politics, tuition, and the dynamics of a political budget cycle
by C. Reynolds - 1271-1300 Savings and investments in the OECD: a panel cointegration study with a new bootstrap test
by Francesca Iorio & Stefano Fachin - 1301-1323 Employment comovements at the sectoral level over the business cycle
by Steven Cassou & Jesús Vázquez - 1325-1337 More equal but not so fair: an analysis of Brazilian income distribution from 1995 to 2009
by Erik Figueiredo & José Silva Netto Junior - 1339-1383 On the redistributive effects of Germany’s feed-in tariff
by Peter Grösche & Carsten Schröder - 1385-1415 Labour force participation across Europe: a cohort-based analysis
by Almut Balleer & Ramon Gomez-Salvador & Jarkko Turunen - 1417-1428 Default options and training participation
by Lex Borghans & Bart Golsteyn - 1429-1446 Building the minimum wage: the distributional impact of Germany’s first sectoral minimum wage on wages and hours across different wage bargaining regimes
by Pia Rattenhuber - 1447-1471 The role of hard-to-obtain information on ability for the school-to-work transition
by Barbara Mueller & Stefan Wolter - 1473-1493 On the reliability of retrospective unemployment information in European household panel data
by Tomi Kyyrä & Ralf Wilke - 1495-1519 Are the choices of people stochastically rational? A stochastic test of the number of revealed preference violations
by Per Hjertstrand & James Swofford - 1521-1544 Testing for complementarities among countable strategies
by Eugenio Miravete - 1545-1572 Intrasectoral structural change and aggregate productivity development: robust stochastic nonparametric frontier function estimates
by Jens Krüger
May 2014, Volume 46, Issue 3
- 789-825 Why does monetary policy respond to the real exchange rate in small open economies? A Bayesian perspective
by Carlos Garcia & Wildo Gonzalez - 827-842 Evaluating changes in the monetary transmission mechanism in the Czech Republic
by Michal Franta & Roman Horvath & Marek Rusnak - 843-864 Measuring the effects of monetary policy in Pakistan: a factor-augmented vector autoregressive approach
by Kashif Munir & Abdul Qayyum - 865-886 Zero lower bound, ECB interest rate policy and the financial crisis
by Stefan Gerlach & John Lewis - 887-901 The predictive power of yield spread: evidence from wavelet analysis
by Arif Dar & Amaresh Samantaraya & Firdous Shah - 903-935 Sticky information and inflation persistence: evidence from the U.S. data
by Benedetto Molinari - 937-960 Comparative fiscal illusion: a fiscal illusion index for the European Union
by Roberto Dell’Anno & Brian Dollery - 961-972 A revisit on the tax burden distribution and GDP growth: fresh evidence using a consistent nonparametric test for causality for the USA
by Aviral Tiwari & Mihai Mutascu - 973-998 On the power of bootstrap tests for stationarity: a Monte Carlo comparison
by Sevan Gulesserian & Mohitosh Kejriwal - 999-1017 Government popularity and the economy: first evidence from German microdata
by Sören Enkelmann - 1019-1055 Choosing and using payment instruments: evidence from German microdata
by Ulf Kalckreuth & Tobias Schmidt & Helmut Stix - 1057-1079 Parametric versus nonparametric methods in risk scoring: an application to microcredit
by Manuel Hernandez & Maximo Torero - 1081-1110 The trend over time of the gender wage gap in Italy
by Chiara Mussida & Matteo Picchio - 1111-1141 Regional unemployment and norm-induced effects on life satisfaction
by Adrian Chadi - 1143-1166 Household food consumption, individual caloric intake and obesity in France
by Céline Bonnet & Pierre Dubois & Valérie Orozco - 1167-1179 Are estimated peer effects on smoking robust? Evidence from adolescent students in Spain
by R. Duarte & J. Escario & J. Molina
March 2014, Volume 46, Issue 2
- 397-425 Evaluating the effectiveness of in-work tax credits
by Ghazala Azmat - 427-449 Consumer cohorts and purchases of nonalcoholic beverages
by Geir Gustavsen & Kyrre Rickertsen - 451-477 Earnings dynamics of men and women in Finland: permanent inequality versus earnings instability
by Otto Kässi - 479-499 Does supervisor gender affect wages?
by Paul Sicilian & Adam Grossberg - 501-524 Supplementary private health insurance and health care utilization of people aged 50+
by Anikó Bíró - 525-542 A ray of hope? Another look at the Italian textile industry
by Lila Truett & Dale Truett - 543-572 Economic integration and specialization in production in the EU27: does FDI influence countries’ specialization?
by Natalia Vechiu & Farid Makhlouf - 573-606 Preference-directed regulation when ethical environmental policy choices are formed with limited information
by Christopher Jeffords - 607-628 Estimating a high-frequency New-Keynesian Phillips curve
by Steffen Ahrens & Stephen Sacht - 629-652 Smooth transition trends and labor force participation rates in the United States
by Paraskevi Salamaliki & Ioannis Venetis - 653-680 Detecting multiple breaks in long memory the case of U.S. inflation
by Uwe Hassler & Barbara Meller - 681-699 Measuring monetary policy with empirically grounded identifying restrictions
by Piyachart Phiromswad - 701-731 Still puzzling: evaluating the price puzzle in an empirically identified structural vector autoregression
by Selva Demiralp & Kevin Hoover & Stephen Perez - 733-741 Competing specifications of the gravity equation: a three-way model, bilateral interaction effects, or a dynamic gravity model with time-varying country effects?
by Elif Nuroğlu & Robert Kunst - 743-763 Do money and financial variables help forecasting output in emerging European Economies?
by Petre Caraiani - 765-788 Understanding and forecasting aggregate and disaggregate price dynamics
by Colin Bermingham & Antonello D’Agostino
February 2014, Volume 46, Issue 1
- 1-18 Temperature, rainfall and economic growth in Africa
by Matteo Lanzafame - 19-41 The dynamics of international trade integration: 1967–2004
by Iván Arribas & Francisco Pérez & Emili Tortosa-Ausina - 43-63 The link between economic growth and growth volatility
by Shu-Chin Lin & Dong-Hyeon Kim - 65-99 Decomposition of inter-regional poverty gap in India: a spatial approach
by Somnath Chattopadhyay & Amita Majumder & Hasanur Jaman - 101-108 Is real GDP stationary? Evidence from a panel unit root test with cross-sectional dependence and historical data
by Nektarios Aslanidis & Stilianos Fountas - 109-125 Ricardian equivalence and fiscal distortions in the Dominican Republic
by Peter Prazmowski - 127-144 Predicting U.S. recessions through a combination of probability forecasts
by Giovanni De Luca & Alfonso Carfora - 145-174 Economic forecast quality: information timeliness and data vintage effects
by Nicholas Taylor - 175-197 Determinants and dynamics of migration to OECD countries in a three-dimensional panel framework
by Ilse Ruyssen & Gerdie Everaert & Glenn Rayp - 199-228 Bounds analysis of competing risks: a non-parametric evaluation of the effect of unemployment benefits on migration
by Melanie Arntz & Simon Lo & Ralf Wilke - 229-252 Does the impact of plant closure on labour market attachment differ between immigrants and native workers across the business cycle?
by Inés Hardoy & Pål Schøne - 253-284 How well does the U.S. Government provide health insurance for infants?
by Manan Roy - 285-305 The impact of working conditions on sickness absence: a theoretical model and an empirical application to work schedules
by Cédric Afsa & Pauline Givord - 307-316 A note on the robustness of Card and Krueger (1994) and Neumark and Wascher (2000)
by Olli Ropponen - 317-328 Dealing with internal inconsistency in double-bounded dichotomous choice: an application to community-based health insurance
by Hermann Donfouet & P. Jeanty & P.-A. Mahieu - 329-360 Precautionary saving under liquidity constraints: evidence from Italy
by Manuela Deidda - 361-391 Counterfactual analysis of bank mergers
by Pedro Barros & Diana Bonfim & Moshe Kim & Nuno Martins - 393-395 Report of the Editors
by Robert Kunst
December 2013, Volume 45, Issue 3
- 1025-1047 Futures price dynamics of CO 2 emission allowances
by Marcel Gorenflo