Content
February 2022, Volume 62, Issue 2
- 887-904 External financial dependence and firms’ crisis performance across Europe
by Peter S. Eppinger & Katja Neugebauer
January 2022, Volume 62, Issue 1
- 1-6 Economic applications of quantile regression 2.0
by Bernd Fitzenberger & Roger Koenker & José Machado & Blaise Melly - 7-33 Fast algorithms for the quantile regression process
by Victor Chernozhukov & Iván Fernández-Val & Blaise Melly - 35-62 Vector quantile regression and optimal transport, from theory to numerics
by Guillaume Carlier & Victor Chernozhukov & Gwendoline De Bie & Alfred Galichon - 63-63 Correction to: Vector quantile regression and optimal transport, from theory to numerics
by Guillaume Carlier & Victor Chernozhukov & Gwendoline Bie & Alfred Galichon - 65-92 Impact of asset size on performance and outreach using panel quantile regression with non-additive fixed effects
by Sandra Kendo & Josephine Tchakounte - 93-118 Modelling systemic risk using neural network quantile regression
by Georg Keilbar & Weining Wang - 119-155 Variable selection with group structure: exiting employment at retirement age—a competing risks quantile regression analysis
by Shuolin Shi & Ralf A. Wilke - 157-186 Distributional differences in the time horizon of executive compensation
by Michael Haylock - 187-212 Gender differences in wage expectations: the role of biased beliefs
by Stephanie Briel & Aderonke Osikominu & Gregor Pfeifer & Mirjam Reutter & Sascha Satlukal - 213-245 Heterogeneous Effects of Job Displacement on Earnings
by Afrouz Azadikhah Jahromi & Brantly Callaway - 247-277 Changing selection into full-time work and its effect on wage inequality in Germany
by Bernd Fitzenberger & Jakob Lazzer - 279-296 The impact of air pollution on birthweight: evidence from grouped quantile regression
by Martina Pons
December 2021, Volume 61, Issue 6
- 2931-2962 Does the macroeconomy matter to market volatility? Evidence from US industries
by Zhang Wu & Terence Tai-Leung Chong - 2963-2983 Time-varying relationship between conventional and unconventional monetary policies and risk aversion: international evidence from time- and frequency-domains
by Besma Hkiri & Juncal Cunado & Mehmet Balcilar & Rangan Gupta - 2985-3027 Lack of fiscal transparency and economic growth expectations: an empirical assessment from a large emerging economy
by Helder Ferreira de Mendonça & Vítor Ribeiro Laufer Calafate - 3029-3057 Does national income mediate the relationship between trade and government size?
by Kevin Williams - 3059-3085 Is it good to be bad or bad to be good? Assessing the aggregate impact of abnormal weather on consumer spending
by Anna Pauliina Sandqvist & Boriss Siliverstovs - 3087-3124 Economic disasters and aggregate investment
by Bruno Ćorić & Vladimir Šimić - 3125-3177 Estimating poverty and vulnerability to monetary and non-monetary poverty: the case of Vietnam
by Anh Thu Quang Pham & Pundarik Mukhopadhaya & Ha Vu - 3179-3211 Model-based indicators for the identification of cyclical systemic risk
by Jorge E. Galán & Javier Mencía - 3213-3237 Does cross-shareholding lead to China's stock returns comovement? Evidence from a GMM-based spatial AR model
by Yun Feng & Xin Li - 3239-3269 Real estate listings and their usefulness for hedonic regressions
by Jens Kolbe & Rainer Schulz & Martin Wersing & Axel Werwatz - 3271-3313 Housing boom and non-housing consumption: evidence from urban households in China
by Dong Cheng - 3315-3345 Forecasting building permits with Google Trends
by David Coble & Pablo Pincheira - 3347-3374 Constraints in models of production and cost via slack-based measures
by Caroline Khan & Mike G. Tsionas - 3375-3400 Workload, staff composition, and sickness absence: findings from employees in child care centers
by Nina Drange & Trude Gunnes & Kjetil Telle - 3401-3417 Has healthcare expenditure converged across Australian states and territories?
by Kris Ivanovski & Sefa Awaworyi Churchill - 3419-3443 On the evolution of athlete anthropometric measurements: racial integration, expansion, and steroids
by Martin B. Schmidt - 3445-3478 Sunk costs in the NBA: the salary cap and free agents
by Quinn Keefer - 3479-3503 Live large or die young: subsidized loans and firm survival in Brazil
by Philipp Ehrl - 3505-3539 FDI and educational outcomes in developing countries
by Miao Wang & Hong Zhuang - 3541-3555 Price relationship among domestic and imported beef products in South Korea
by Hanpil Moon & Jun Ho Seok - 3557-3558 Correction to: Alternative estimation approaches for the factor augmented panel data model with small T
by Jörg Breitung & Philipp Hansen - 3559-3560 Correction to: Persistent and transient inefficiency in adult education
by Oleg Badunenko & Deni Mazrekaj & Subal C. Kumbhakar & Kristof Witte
November 2021, Volume 61, Issue 5
- 2335-2361 Semi-parametric models of spatial market integration
by Barry K. Goodwin & Matthew T. Holt & Jeffrey P. Prestemon - 2363-2394 Firms’ knowledge investment and market responses
by Kyriakos Drivas & Claire Economidou & Elena Ketteni & Konstantina Kottaridi - 2395-2418 Bargaining power and information asymmetry in China’s water market: an empirical two-tier stochastic frontier analysis
by Changxin Xu & Lihua Yang & Bin Zhang & Min Song - 2419-2448 Innovation spillover and merger decisions
by Mahdiyeh Entezarkheir & Saeed Moshiri - 2449-2475 What’s behind firms’ inflation forecasts?
by Cristina Conflitti & Roberta Zizza - 2477-2499 Forecasting inflation in the euro area: countries matter!
by Angela Capolongo & Claudia Pacella - 2501-2516 Are the responses of output and investment to oil price shocks asymmetric?: The case of an oil-importing small open economy
by Ozge Kandemir Kocaaslan - 2517-2538 Revisiting the asymmetric impacts of the exchange market pressure on the inflation, interest rate and foreign trade balance in Eastern Europe
by Oguzhan Ozcelebi & Kaya Tokmakcioglu & Emre Su - 2539-2585 Macroeconomic effects of inflation targeting in emerging market economies
by Martin Stojanovikj & Goran Petrevski - 2587-2611 Macroeconomic effects of the ECB’S forward guidance
by Andrejs Zlobins - 2613-2634 Fiscal policy in the US: a new measure of uncertainty and its effects on the American economy
by Alessio Anzuini & Luca Rossi - 2635-2662 Okun’s law revisited in the time–frequency domain: introducing unemployment into a wavelet-based control model
by Patrick M. Crowley & David Hudgins - 2663-2683 The volatility of Bitcoin and its role as a medium of exchange and a store of value
by Dirk G. Baur & Thomas Dimpfl - 2685-2711 Bayesian estimation of stochastic tail index from high-frequency financial data
by Osman Doğan & Süleyman Taşpınar & Anil K. Bera - 2713-2737 The dual-financial-threshold effect in the “club convergence” of economic growth: a dynamic panel threshold model
by Yang Song & Dayu Liu & Qiaoru Wang - 2739-2795 Finance and inequality in a panel of US States
by Ọláyínká Oyèkọ́lá - 2797-2825 Long run trails of poverty, 1925–2010
by Michail Moatsos - 2827-2864 Were they a shock or an opportunity?: The heterogeneous impacts of the 9/11 attacks on refugees as job seekers—a nonlinear multi-level approach
by Seonho Shin - 2865-2911 Preference estimation in centralized college admissions from reported lists
by Hayri A. Arslan - 2913-2930 Crude oil price point forecasts of the Norwegian GDP growth rate
by Nima Nonejad
October 2021, Volume 61, Issue 4
- 1699-1724 A mixed-frequency smooth measure for business conditions
by Yi-Ting Chen - 1725-1748 Price controls, hyperinflation, and the inflation–relative price variability relationship
by Rodrigo Cerda & Alvaro Silva & Rolf Lüders - 1749-1778 A study of financial cycles and the macroeconomy in Taiwan
by Han-Liang Cheng & Nan-Kuang Chen - 1779-1817 The impact of non-banking financial institutions on monetary policy transmission in Euro area
by Darja Milic - 1819-1863 Market news co-moments and currency returns
by Mohammadreza Tavakoli Baghdadabad & Girijasankar Mallik - 1865-1881 Modelling currency demand: the case of the euro
by António Rua - 1883-1915 A statistical analysis of investor preferences for portfolio selection
by Doron Nisani & Amit Shelef - 1917-1933 Time-varying influence of household debt on inequality in United Kingdom
by Edmond Berisha & David Gabauer & Rangan Gupta & Chi Keung Marco Lau - 1935-1958 Long-term determinants of income inequality: evidence from panel data over 1870–2016
by Abebe Hailemariam & Tutsirai Sakutukwa & Ratbek Dzhumashev - 1959-1983 Tools of the trade: trade flexibility with respect to margins and buyers
by Frank Asche & Atle Oglend & Hans-Martin Straume - 1985-2039 Financial depth and electricity consumption in Africa: Does education matter?
by Philip Kofi Adom - 2041-2072 Is the Korean housing market following Gangnam style?
by Khamis Hamed Al-Yahyaee & Walid Mensi & Hee-Un Ko & Massimiliano Caporin & Sang Hoon Kang - 2073-2112 Long-term effects of institutional instability
by Simon Hartmann & Rok Spruk - 2113-2141 Measuring Knightian uncertainty
by Andreas Dibiasi & David Iselin - 2143-2172 Semiparametric modeling of the right-censored time-series based on different censorship solution techniques
by Dursun Aydın & Ersin Yılmaz - 2173-2204 The effect of sibship size on educational attainment of the first born: evidence from three decennial censuses of Taiwan
by Cheng Chen & Sabrina Terrizzi & Shin-Yi Chou & Hsien-Ming Lien - 2205-2236 Testing urban efficiency wages in France and Spain
by José Ignacio Giménez-Nadal & José Alberto Molina & Jorge Velilla - 2237-2263 Gender pay gaps in domestic and foreign-owned firms
by Iga Magda & Katarzyna Sałach - 2265-2291 How do extremely high temperatures affect labor market performance? Evidence from rural China
by Chengzheng Li & Zheng Pan - 2293-2333 Does moderate weight loss affect subjective health perception in obese individuals? Evidence from field experimental data
by Lucas Hafner & Harald Tauchmann & Ansgar Wübker
September 2021, Volume 61, Issue 3
- 1135-1150 Who revolts? Income, political freedom and the Egyptian revolution
by Fady Mansour & Tesa Leonce & Franklin G. Mixon - 1151-1188 On time and frequency-varying Okun’s coefficient: a new approach based on ensemble empirical mode decomposition
by Myeong Jun Kim & Stanley I. M. Ko & Sung Y. Park - 1189-1223 Is the future really observable? A practical approach to model monetary policy rules
by Hardik A. Marfatia - 1225-1251 Net external position, financial development, and banking crisis
by Mahir Binici & Aytül Ganioglu - 1253-1279 Housing wealth, household debt, and financial assets: Are there implications for consumption?
by Konstantina Manou & Panagiotis Palaios & Evangelia Papapetrou - 1281-1309 Classification with segmentation for credit scoring and bankruptcy prediction
by Dalila Boughaci & Abdullah A. K. Alkhawaldeh & Jamil J. Jaber & Nawaf Hamadneh - 1311-1350 The real effects of loan-to-value limits: empirical evidence from Korea
by Victor Pontines - 1351-1396 Backtesting and estimation error: value-at-risk overviolation rate
by Georges Tsafack & James Cataldo - 1397-1414 Can profit and loss sharing (PLS) financing instruments reduce the credit risk of Islamic banks?
by Shahari Farihana & Md. Saifur Rahman - 1415-1433 Persistence and efficiency of OECD stock markets: linear and nonlinear fractional integration approaches
by Oluwasegun B. Adekoya - 1435-1459 Nonparametric portfolio efficiency measurement with higher moments
by Jens J. Krüger - 1461-1489 Oil price volatility and the US stock market
by Sajjadur Rahman - 1491-1518 Does the source of oil supply shock matter in explaining the behavior of U.S. consumer spending and sentiment?
by Zeina Alsalman - 1519-1537 Willingness to pay to ensure a continuous water supply with minimum restrictions
by Clevo Wilson & Wasantha Athukorala & Benno Torgler & Robert Gifford & Maria A. Garcia-Valiñas & Shunsuke Managi - 1539-1566 Networks, human capital and export success: evidence from Bangladesh
by Mohammad Tariful Bari & Kankesu Jayanthakumaran - 1567-1616 Misreporting of program take-up in survey data and its consequences for measuring non-take-up: new evidence from linked administrative and survey data
by Kerstin Bruckmeier & Regina T. Riphahn & Jürgen Wiemers - 1617-1639 Adverse shocks, household expenditure and child marriage: evidence from India and Vietnam
by Trong-Anh Trinh & Quanda Zhang - 1641-1667 SNAP participation, diet quality, and obesity: robust evidence with estimation techniques without external instrumental variables
by Susan Chen & Le Wang - 1669-1687 The catalogue raisonné and art auction prices: the case of Berthe Morisot
by Edward Oczkowski - 1689-1697 Innovation, institutional ownership and financial constraints
by Jan Philip Schain & Joel Stiebale
August 2021, Volume 61, Issue 2
- 529-548 On Zipf’s law and the bias of Zipf regressions
by Christian Schluter - 549-586 Can licensing induce productivity? Exploring the IPR effect
by Gustavo Canavire-Bacarreza & Luis Castro Peñarrieta - 587-636 Does high debt ratio influence Chinese firms’ performance? A semiparametric stochastic frontier approach with zero inefficiency
by Taining Wang & Jinjing Tian & Feng Yao - 637-666 Electricity derivatives: an application to the futures Italian market
by Laura Casula & Giovanni Masala - 667-692 Horizon confidence sets
by Jack Fosten & Daniel Gutknecht - 693-717 Cost of CO2 emission mitigation and its decomposition: evidence from coal-fired thermal power sector in India
by Surender Kumar & Rakesh Kumar Jain - 719-742 Dynamic linkage between oil prices and exchange rates: new global evidence
by Bwo-Nung Huang & Chi-Chuan Lee & Yu-Fang Chang & Chien-Chiang Lee - 743-771 Revisiting the link between output growth and volatility: panel GARCH analysis
by Pinar Deniz & Thanasis Stengos & M. Ege Yazgan - 773-798 International confidence spillovers and business cycles in small open economies
by Michał Brzoza-Brzezina & Jacek Kotłowski - 799-825 A model selection approach to jointly testing for structural breaks and cointegration with application to the Eurocurrency interest rates market
by Yan Qian & Zijun Wang - 827-853 Bank stability and economic growth: trade-offs or opportunities?
by Robert Stewart & Murshed Chowdhury & Vaalmikki Arjoon - 855-881 Financial distress and real economic activity in Lithuania: a Granger causality test based on mixed-frequency VAR
by Andrea Cipollini & Ieva Mikaliunaite - 883-918 Return and volatility spillovers to African equity markets and their determinants
by Eric Martial Etoundi Atenga & Mbodja Mougoué - 919-945 Crises, market shocks, and herding behavior in stock price forecasts
by Yoichi Tsuchiya - 947-972 Multivariate time-varying parameter modelling for stock markets
by Serdar Neslihanoglu & Stelios Bekiros & John McColl & Duncan Lee - 973-1009 Using the conditional volatility channel to improve the accuracy of aggregate equity return predictions
by Nima Nonejad - 1011-1037 Racial demographics and cigarette tax shifting: evidence from scanner data
by Hyunchul Kim & Dongwon Lee - 1039-1062 Embedding effect and the consequences of advanced disclosure: evidence from the valuation of cultural goods
by Moisés Carrasco Garcés & Felipe Vasquez-Lavin & Roberto D. Ponce Oliva & José Luis Bustamante Oporto & Manuel Barrientos & Arcadio A. Cerda - 1063-1096 Convergence in obesity and overweight rates across OECD countries: evidence from the stochastic and club convergence tests
by Saadet Kasman & Adnan Kasman - 1097-1133 “Who’ll take the chair?” Maternal employment effects of a Polish (pre)school reform
by Yusuf Emre Akgündüz & Thomas Huizen & Janneke Plantenga
July 2021, Volume 61, Issue 1
- 1-33 The impact of fiscal consolidations on growth in sub-Saharan Africa
by Francisco Arizala & Jesus Gonzalez-Garcia & Charalambos G. Tsangarides & Mustafa Yenice - 35-60 Measuring monetary policy: rules versus discretion
by Narek Ohanyan & Aleksandr Grigoryan - 61-100 Exchange rate pass-through to import prices in Europe: a panel cointegration approach
by Antonia Arsova - 101-120 Evaluation of performance of stock and real estate investment trust markets in Japan
by Jiro Hodoshima - 121-144 Adjustment dynamics between broker–dealer leverage and stock market: a threshold cointegration analysis
by M. Iqbal Ahmed & Quazi Fidia Farah - 145-172 Sup-ADF-style bubble-detection methods under test
by Verena Monschang & Bernd Wilfling - 173-199 The robustness of forecast combination in unstable environments: a Monte Carlo study of advanced algorithms
by Yongchen Zhao - 201-229 No place like home: geography and culture in the dissemination of economic research articles
by Christiane Hellmanzik & Lukas Kuld - 231-257 A Bayesian spatial autoregressive logit model with an empirical application to European regional FDI flows
by Tamás Krisztin & Philipp Piribauer - 259-277 Public perceptions of the tax avoidance of corporations and the wealthy
by Steven Sheffrin & Rujun Zhao - 279-307 Does the belt and road initiative resolve the steel overcapacity in China? Evidence from a dynamic model averaging approach
by Zhongxin Ni & Xing Lu & Wenjun Xue - 309-337 Financing constraints and exports: Evidence from manufacturing firms in India
by Shahana Mukherjee & Rupa Chanda - 339-354 Gibrat’s law in the trucking industry
by Andrew T. Balthrop - 355-388 Does energy aid improve energy efficiency in developing countries?
by Admasu Asfaw Maruta & Rajabrata Banerjee - 389-415 Using repeated cross-sectional data to examine the role of immigrant birth-country networks on unemployment duration: an application of Guell and Hu (2006) approach
by Kusum Mundra & Fernando Rios-Avila - 417-441 Higher frequency hedonic property price indices: a state-space approach
by Robert J. Hill & Alicia N. Rambaldi & Michael Scholz - 443-467 Market prices, spatial distribution of consumers and firms’ optimal locations in a linear city
by Raúl Bajo-Buenestado - 469-487 Optimal pricing of alpine ski passes in the case of crowdedness and reduced skiing capacity
by Erik Haugom & Iveta Malasevska & Gudbrand Lien - 489-502 Does the choice of balance-measure matter under genetic matching?
by Adeola Oyenubi & Martin Wittenberg - 503-527 Intergenerational transmission of risk attitudes in Burkina Faso
by Mohammad H. Sepahvand & Roujman Shahbazian
June 2021, Volume 60, Issue 6
- 2657-2663 Applications of efficiency and productivity analysis: editors’ introduction
by Subal C. Kumbhakarⓡ & Emir Malikovⓡ & Christopher F. Parmeterⓡ - 2665-2700 Benchmarking the performance of US Municipalities
by Caitlin T. O’Loughlin & Paul W. Wilson - 2701-2740 Predicting recessions with a frontier measure of output gap: an application to Italian economy
by Camilla Mastromarco & Léopold Simar & Valentin Zelenyuk - 2741-2764 Spatial effects of nutrient pollution on drinking water production
by Roberto Mosheim & Robin C. Sickles - 2765-2793 Direct and network effects of idiosyncratic TFP shocks
by Kristina Barauskaite & Anh Dinh Minh Nguyen - 2795-2836 Aggregate efficiency of industry and its groups: the case of Queensland public hospitals
by Bao Hoang Nguyen & Valentin Zelenyuk - 2837-2866 Wrong skewness and finite sample correction in the normal-half normal stochastic frontier model
by Jun Cai & Qu Feng & William C. Horrace & Guiying Laura Wu - 2867-2896 Managing power supply interruptions: a bottom-up spatial (frontier) model with an application to a Spanish electricity network
by Pablo Argüelles & Luis Orea - 2897-2923 Determining the efficiency of residential electricity consumption
by Mark A. Andor & David H. Bernstein & Stephan Sommer - 2925-2942 Persistent and transient inefficiency in adult education
by Oleg Badunenko & Deni Mazrekaj & Subal C. Kumbhakar & Kristof Witte - 2943-2968 Maximum simulated likelihood estimation of the seemingly unrelated stochastic frontier regressions
by Hung-pin Lai - 2969-2992 Determinants of profitability of community banks in the USA: a cost-frontier-based decomposition approach
by Guohua Feng & Chuan Wang - 2993-3010 India’s calorie consumption puzzle: insights from the stochastic cost frontier analysis of calorie purchases
by Gautam Hazarika & Sourabh Bikas Paul - 3011-3041 Measuring the effect of management on production: a two-tier stochastic frontier approach
by Alecos Papadopoulos - 3043-3068 Estimation of semi- and nonparametric stochastic frontier models with endogenous regressors
by Artem Prokhorov & Kien C. Tran & Mike G. Tsionas - 3069-3102 Is the productivity premium of internationalized firms technology-driven?
by Michele Battisti & Filippo Belloc & Massimo Gatto - 3103-3134 Unrestricted geometric distance functions and the Geometric Young productivity index: an analysis of Indian manufacturing
by Subhash C. Ray & Arnab K. Deb & Kankana Mukherjee - 3135-3170 Estimation of firm productivity in the presence of spillovers and common shocks
by Shunan Zhao & Man Jin & Subal C. Kumbhakar - 3171-3202 Evaluating the cdf of the Skew Normal distribution
by Christine Amsler & Alecos Papadopoulos & Peter Schmidt
May 2021, Volume 60, Issue 5
- 2155-2176 Does the green inspiration effect matter for stock returns? Evidence from the Chinese stock market
by Tong Fang & Zhi Su & Libo Yin - 2177-2201 Optimal quantile hedging under Markov regime switching
by Donald Lien & Ziling Wang & Xiaojian Yu - 2203-2225 Credit default swap spreads: market conditions, firm performance, and the impact of the 2007–2009 financial crisis
by Xiaoqing Fu & Matthew C. Li & Philip Molyneux - 2227-2259 Why do Turkish REITs trade at discount to net asset value?
by Yener Coskun & Isil Erol & Giacomo Morri - 2261-2291 The impact of financial openness on public debt in developing countries
by Daxin Dong - 2293-2322 The role of nonlinearity on the financial development–economic performance nexus: an econometric application to Italian banks
by Cristian Barra & Nazzareno Ruggiero - 2323-2350 Revisiting the nexus of the financial development and economic development: new international evidence using a wavelet approach
by Hyunjoo Kim Karlsson & Kristofer Månsson & Scott Hacker - 2351-2363 A simple wavelet-based test for serial correlation in panel data models
by Yushu Li & Fredrik N. G. Andersson - 2365-2389 Monitoring memory parameter change-points in long-memory time series
by Zhanshou Chen & Yanting Xiao & Fuxiao Li - 2391-2405 Evidence on PPP with China along the belt and road using the three-regime TAR cointegration tests
by Kai-yin Woo & Shu-kam Lee & Paul Kwok Shum - 2407-2428 The macroeconomic impact of the electricity price: lessons from Chile
by Renato Agurto & Fernando Fuentes & Carlos J. García & Esteban Skoknic - 2429-2453 Forecasting exports across Europe: What are the superior survey indicators?
by Robert Lehmann - 2455-2475 How you pay matters: performance-related pay and learning by exporting
by Youngho Kang - 2477-2498 The effect of training on workers’ perceived job match quality
by Yi Zhang & Martin Salm & Arthur Soest - 2499-2531 Human capital versus signaling is empirically unresolvable
by Nick Huntington-Klein - 2533-2556 The ins and outs of unemployment over different time horizons
by Ajax Moreira & Miguel N. Foguel & Carlos Henrique Corseuil - 2557-2587 Heterogeneity in labor income profiles: evidence from Turkey
by Emrehan Aktuğ & Tolga Umut Kuzubaş & Orhan Torul - 2589-2612 Sources of firm-level heterogeneity in labour productivity in Egypt’s manufacturing sector
by Abeer Elshennawy & Mohammed Bouaddi - 2613-2635 An analysis of risk aversion in biotechnology adoption: the case of US genetically modified corn
by Do-il Yoo & Jean-Paul Chavas - 2637-2655 Untalented but successful? Rosen and Adler superstar Pokemons
by Olivier Gergaud & Vincenzo Verardi
April 2021, Volume 60, Issue 4
- 1607-1628 The dynamics and volatility of prices in multiple markets: a quantile approach
by Jean-Paul Chavas - 1629-1659 Assessing differences in household needs: a comparison of approaches for the estimation of equivalence scales using German expenditure data
by Christian Dudel & Jan Marvin Garbuszus & Julian Schmied - 1661-1684 Combining experimental evidence with machine learning to assess anti-corruption educational campaigns among Russian university students
by Elena Denisova-Schmidt & Martin Huber & Elvira Leontyeva & Anna Solovyeva - 1685-1718 On the productivity effects of training apprentices in Hungary: evidence from a unique matched employer–employee dataset
by Sofie Cabus & Eszter Nagy - 1719-1746 Are active labor market policies (cost-)effective in the long run? Evidence from the Netherlands
by Marloes Lammers & Lucy Kok - 1747-1775 Public–private sector wage gap in a group of European countries: an empirical perspective
by Kamila Sławińska - 1777-1816 Taxation, credit frictions and the cyclical behavior of the labor wedge
by Salem Abo-Zaid - 1817-1844 Estimating a time-varying financial conditions index for South Africa
by Alain Kabundi & Asithandile Mbelu - 1845-1873 Tell me where to stop: thresholds in the bank lending and output growth relationship
by Demetris Koursaros & Nektarios Michail & Christos Savva - 1875-1894 Testing for relevant dependence change in financial data: a CUSUM copula approach
by Tim Kutzker & Florian Stark & Dominik Wied - 1895-1911 Herding and capitalization size in the Chinese stock market: a micro-foundation evidence
by Zhenxi Chen & Jing Ru - 1913-1938 The fundamental drivers of electricity price: a multi-scale adaptive regression analysis
by Dmitriy O. Afanasyev & Elena A. Fedorova & Evgeniy V. Gilenko - 1939-1967 Nonlinear impact of financial deepening on income inequality
by Péter Benczúr & Virmantas Kvedaras - 1969-2004 Differential effects of decentralization on income inequality: evidence from developed and developing countries
by Antonio N. Bojanic & LaPorchia A. Collins - 2005-2037 Fiscal transparency, legal system and perception of the control on corruption: empirical evidence from panel data
by Gabriel Caldas Montes & Paulo Henrique Luna - 2039-2061 Regional economic growth in Turkey: the effects of physical, social and financial infrastructure investment
by Hülya Saygılı & K. Azim Özdemir - 2063-2081 A sturdy values analysis of motor vehicle fatalities
by Richard Fowles & Peter D. Loeb - 2083-2103 Health care policy uncertainty, real health expenditures and health care inflation in the USA
by Chak Hung Jack Cheng & Nopphol Witvorapong - 2105-2124 Federal Reserve policy after the zero lower bound: an indirect inference approach
by Lealand Morin & Ying Shang - 2125-2151 Sources of current account fluctuations in Taiwan: 1989–2015
by Yu-Hsi Chou & Chun-Yen Tsai - 2153-2153 Correction to: Conditional growth volatility and sectoral comovement in U.S. industrial production, 1828–1915
by Gustavo Freire & Marcelo Resende
March 2021, Volume 60, Issue 3
- 1115-1125 Asymmetry in the distribution of daily stock returns
by Walter Krämer - 1127-1156 Dynamic cross-correlation and dynamic contagion of stock markets: a sliding windows approach with the DCCA correlation coefficient
by Oussama Tilfani & Paulo Ferreira & My Youssef El Boukfaoui - 1157-1174 On fitting cryptocurrency log-return exchange rates
by Ayman Alzaatreh & Hana Sulieman