Content
December 2024, Volume 14, Issue 4
- 827-845 Sustainability and the domestic credit market: worldwide evidence
by Fátima Sol Murta & Paulo Miguel Gama - 847-871 Unravelling the European food security puzzle: exploring determinants and constructing a comprehensive measure
by Jozef Palkovič - 873-905 Analyzing the influence of Airbnb announcements in the Asia Pacific Region: a sectoral perspective on travel, tourism, and real estate
by Tchai Tavor - 907-931 Firm-specific attributes and capital gains overhang
by Mohamad Husam Helmi & Mohamed Shaker Ahmed - 933-980 The response of oil-importing and oil-exporting countries’ macroeconomic aggregates to crude oil price shocks: some international evidence
by Jin Shang & Shigeyuki Hamori - 981-1003 Interest rate uncertainty and the shape of the yield curve of U.S. treasury bonds
by Yasmeen Bayaa & Mahmoud Qadan - 1005-1033 Balancing financial stability and economic growth: a comprehensive analysis of macroprudential regulation
by Salma Gallas & Houssam Bouzgarrou & Montassar Zayati - 1035-1055 Non-parametric evidence on the determinants of access to financial services in the countries of the Organization of Turkic States
by Kenan İlarslan - 1057-1094 Day-of-the-week effect: a meta-analysis
by Leonard Grebe & Dirk Schiereck
September 2024, Volume 14, Issue 3
- 571-595 The lens of the quantity theory of money to disentangle the perceived relationship between money growth and inflation: a PSVAR approach
by Antonio Focacci & Angelo Focacci & Alessandro Faenza - 597-618 A computational model of the effects of borrower default on the stability of P2P lending platforms
by Evangelos Katsamakas & J. Manuel Sanchez-Cartas - 619-640 Fiscal policy and real exchange rate variations in India
by Biswajit Maitra & Dhritiman Ganguli - 641-661 An empirical examination of the effect of domestic monetary policy on external commercial borrowings to India
by Virender Kumar & Poonam - 663-664 Correction to: An empirical examination of the effect of domestic monetary policy on external commercial borrowings to India
by Virender Kumar & Poonam - 665-707 From volatility to stability: understanding the role of macroeconomic factors in sovereign CDS spreads
by Huthaifa Sameeh Alqaralleh - 709-728 Economic policy uncertainty and cryptocurrencies
by Chiara Oldani & Giovanni S. F. Bruno & Marcello Signorelli - 729-755 The impact of COVID-19 on Ethereum returns and Ethereum market efficiency
by Naseem Al Rahahleh & Ahmed Al Qurashi - 757-780 Energy profile and oil shocks: a dynamic analysis of their impact on stock markets
by Salem Adel Ziadat & Aktham Maghyereh - 781-825 Dynamic connectedness between energy and agricultural commodities: insights from the COVID-19 pandemic and Russia–Ukraine conflict
by Noureddine Benlagha & Wafa Abdelmalek
June 2024, Volume 14, Issue 2
- 235-254 Is interest rate hiking a recipe for missing several goals of monetary policy—beating inflation, preserving financial stability, and keeping up output growth?
by Dorothea Schäfer & Willi Semmler - 255-273 The impact of the European Insider Trading and Market Manipulation Regulation on the volatility and abnormal returns of the stock market in Poland
by Janusz Kudła & Barbara Gajus - 275-300 Decomposition of total factor productivity growth in Türkiye regions: a panel stochastic frontier approach
by Nadide Gülbay Yiğiteli & Devran Şanlı - 301-337 The geometry of growth: how wealth distribution patterns predict economic development
by Arie Jacobi & Joseph Tzur - 339-360 External debt and economic growth: moderating role of governance in South Asia Region
by Umar Farooq & Adel Ahmed & Mosab I. Tabash & Mujeeb Saif Mohsen Al-Absy & Yasmeen Elsantil - 361-395 How herding led to a speculative bubble during a period of severely negative macro fundamentals: the case of Istanbul stock market
by Umit Erol & Burak Dogan - 397-420 Financial development and economic growth in Asian countries: evidence from the DCCE approach
by Yujue Wang & Nur Syazwani Mazlan & Wan Azman Saini Wan Ngah & Muhammad Faheem & Yifan Liang - 421-452 Public debt and growth in Asian developing economies: evidence of non-linearity and geographical heterogeneity
by Gan-Ochir Doojav & Munkhbayar Baatarkhuu - 453-485 Dynamic spillovers between natural gas and BRICS stock markets during health and political crises
by Mellouli Dhoha & Wael Dammak & Hind Alnafisah & Ahmed Jeribi - 487-506 Return spillovers between decentralized finance and centralized finance markets
by Ramzi Nekhili & Mohammad Alomari & Walid Mensi & Jahangir Sultan - 507-538 Intraday spillovers in high-order moments among main cryptocurrency markets: the role of uncertainty indexes
by Walid Mensi & Anoop S. Kumar & Hee-Un Ko & Sang Hoon Kang - 539-570 Exchange rate spillovers in the CIS
by Salome Giorgadze
March 2024, Volume 14, Issue 1
- 1-11 Macro-financial policy at the crossroad: addressing climate change, biodiversity loss, and environmental degradation - introduction to the special issue
by Paola D’Orazio & Dorothea Schäfer & Andreas Stephan - 13-37 Ecological transition in a monetary economy of production: a heterodox approach
by Maurizio Solari & Alexandre Le Bloc’h & Sergio Rossi - 39-60 Greener and cheaper: green monetary policy in the era of inflation and high interest rates
by Nicolás Aguila & Joscha Wullweber - 61-86 Macroeconomic effects of green recovery programs
by Angela Köppl & Margit Schratzenstaller - 87-120 Climate change, ESG criteria and recent regulation: challenges and opportunities
by Mónica Oliver Yébenes - 121-148 The importance of the Greenium: experimental evidence on the role of certifications
by Annarita Colasante & Andrea Morone & Piergiuseppe Morone - 149-173 Certification against greenwashing in nascent bond markets: lessons from African ESG bonds
by Samuel Mutarindwa & Dorothea Schäfer & Andreas Stephan - 175-212 Is corporate governance important for green bond performance in emerging capital markets?
by Ion Frecautan & Irina Ivashkovskaya - 213-233 Exploring the determinants of green bond market development in Bangladesh
by Md. Bokhtiar Hasan & Md. Mamunur Rashid & Tapan Sarker & Muhammad Shafiullah
December 2023, Volume 13, Issue 3
- 321-372 Economic policy uncertainty, geopolitical risk, market sentiment, and regional stocks: asymmetric analyses of the EU sectors
by Ahmed Bossman & Mariya Gubareva & Tamara Teplova - 373-427 The role of labor market regulations on the sensitivity of unemployment to economic growth
by Mindaugas Butkus & Laura Dargenyte-Kacileviciene & Kristina Matuzeviciute & Dovile Rupliene & Janina Seputiene - 429-467 Bank competition and liquidity hoarding
by Japan Huynh - 469-497 Long memory and structural breaks of cryptocurrencies trading volume
by Mohamed Shaker Ahmed & Elie Bouri - 499-513 Do product returns in the retail sector affect the price level? Evidence from the equation of exchange
by Edoardo Beretta & Doris Neuberger & Richard Senner - 515-533 Fiscal decentralization and income inequality in OECD countries: does shadow economy matter?
by Cong Minh Huynh & Tan Loi Nguyen & Thi Huong Tra Lam - 535-574 Impact of uncertainty on inflation forecast errors in Central and Eastern European countries
by Agata Kliber & Magdalena Szyszko & Mariusz Próchniak & Aleksandra Rutkowska - 575-613 Impact of macroprudential policy on economic growth in Indonesia: a growth-at-risk approach
by Raluca Maran - 615-636 Is precarity a fate for women in Türkiye? Rethinking energy poverty from a gender perspective
by Meltem Ucal & Simge Günay - 637-676 Unveiling the influence of economic complexity and economic shocks on output growth volatility: evidence from a global sample
by Lan Khanh Chu & Huong Hoang Diep Truong & Hoang Phuong Dung - 677-702 Bank performance, capital and size: a comparative analysis in MENA and EU
by Marwan Al-Zoubi & Mais Sha’ban - 703-731 Effectiveness and conduct of macroprudential policy in Indonesia in 2003–2020: Evidence from the structural VAR models
by Marek A. Dąbrowski & Dimas Mukhlas Widiantoro - 733-751 Active labor market policies and institutional quality of governance: evidence from OECD countries
by Marwa Sahnoun & Chokri Abdennadher - 753-802 Social sentiment and exchange-specific liquidity at a Eurasian stock exchange outside of US market hours
by Tamara Teplova & Mariya Gubareva & Nikolai Kudriavtsev - 803-830 Forecasting volatility by using wavelet transform, ARIMA and GARCH models
by Lihki Rubio & Adriana Palacio Pinedo & Adriana Mejía Castaño & Filipe Ramos
June 2023, Volume 13, Issue 2
- 177-209 The financial access, ICT trade balance and dark and bright sides of digitalization nexus in OECD countries
by Mansour Naser Alraja & Faris Alshubiri & Basel M. Khashab & Mahmood Shah - 211-236 Bayesian VARs of the U.S. economy before and during the pandemic
by Anna Sznajderska & Alfred A. Haug - 237-258 Catching up or getting stuck: convergence in Eastern European economies
by Istvan Konya - 259-283 Health care financing and productivity of health care in OECD countries: a stochastic frontier analysis
by Constantin Ogloblin - 285-305 Forecasting bitcoin volatility: exploring the potential of deep learning
by Tiago E. Pratas & Filipe R. Ramos & Lihki Rubio - 307-319 Dynamic correlation and hedging strategy between Bitcoin prices and stock market during the Russo-Ukrainian war
by Mariem Gaies & Walid Chkili
March 2023, Volume 13, Issue 1
- 1-33 Do fiscal policies affect the firms’ growth and performance? Urban versus rural area
by Alessandra Amendola & Marinella Boccia & Gianluca Mele & Luca Sensini - 35-56 An analysis of COVID-19 and WHO global research roadmap: knowledge mapping and future research agenda
by Mohammad Ashraful Mobin & Masnun Mahi & M. Kabir Hassan & Marzia Habib & Shabiha Akter & Tahmina Hassan - 57-83 The Green Asset Ratio (GAR): a new key performance indicator for credit institutions
by Volker Brühl - 85-102 Monetary shocks on the Korean stock index: structural VAR analysis
by Yongseung Han & Myeong Hwan Kim - 103-125 Financial deepening and income inequality: is there a financial Kuznetz curve in Latin America?
by Peter Mikek - 127-144 Do currency manipulations hurt US bilateral trade balance?
by Muhammad Aftab & Mohsen Bahmani-Oskooee & Huseyin Karamelikli - 145-173 Pairs trading in the index options market
by Marianna Brunetti & Roberta De Luca - 175-176 Correction to: Pairs trading in the index options market
by Marianna Brunetti & Roberta Luca
December 2022, Volume 12, Issue 4
- 569-629 Dynamic effects of network exposure on equity markets
by Mardi Dungey & Moses Kangogo & Vladimir Volkov - 631-651 Systemic risk and the financial network system: an experimental investigation
by Yudistira Permana & Saiqa Akbar & Anisa Nurpita - 653-679 Comparing cryptocurrencies and gold - a system-GARCH-approach
by Jens Klose - 681-703 Does the impact of geopolitical risk reduce with the financial structure of an economy? A perspective from market vs. bank-based emerging economies
by Ecenur Ugurlu-Yildirim & Beyza Mina Ordu-Akkaya - 705-743 Cost efficiency in financial exchanges and post-trade infrastructures: a closer look at integration and product diversification
by Seven Ipek & Cumhur Ekinci - 745-767 Balance-of-payments-constrained growth model: an application to the Kazakhstan’s economy
by Zhandos Ybrayev - 769-795 Friends with or without benefits? An empirical evaluation of bilateral trade and economic integration between some of the post-Soviet economies
by Andrzej Cieślik & Oleg Gurshev
September 2022, Volume 12, Issue 3
- 373-386 Can wavelets produce a clearer picture of weak-form market efficiency in Bitcoin?
by Andrew Phiri - 387-425 Testing for asymmetric non-linear short- and long-run relationships between crypto-currencies and stock markets
by Achraf Ghorbel & Wajdi Frikha & Yasmine Snene Manzli - 427-448 Forecasting performance of Bayesian VEC-MSF models for financial data in the presence of long-run relationships
by Anna Pajor & Justyna Wróblewska - 449-477 Does international trade favor proximity in cultural beliefs?
by Chiara Franco & Daniela Maggioni - 479-505 FDI propensity and geo-cultural interaction in former Yugoslavia: pairwise analysis of origin and destination countries
by Joel I. Deichmann & Stephen Grubaugh & Patrick Scholten - 507-529 Cultural values and the global financial crisis: a missing link?
by Adem Baltaci & Raif Cergibozan & Ali Ari - 531-565 Employment effects of immigration to Germany in the period of migration policy liberalization, 2005–2018
by Isil Erol & Umut Unal - 567-568 Correction to: Employment effects of immigration to Germany in the period of migration policy liberalization, 2005–2018
by Isil Erol & Umut Unal
June 2022, Volume 12, Issue 2
- 187-212 Regular employment and intergenerational income mobility in Japan
by Zhi-xiao Jia - 213-239 A bibliometric review of the Waqf literature
by Muneer M. Alshater & M. Kabir Hassan & Mamunur Rashid & Rashedul Hasan - 241-266 Do Islamic fundamental weighted indices outperform their conventional counterparts? An empirical investigation during the crises in the MENA region
by Rasha Tawfiq Abadi & Florinda Silva - 267-314 Cross-time-frequency analysis of volatility linkages in global currency markets: an extended framework
by Hasan Fehmi Baklaci & Tezer Yelkenci - 315-332 Volatility dependent smooth transitions and abrupt switches: why they are needed for better forecasting the FX rates
by Arif Orçun Söylemez - 333-359 Herding behavior during the Covid-19 pandemic: a comparison between Asian and European stock markets based on intraday multifractality
by Faheem Aslam & Paulo Ferreira & Haider Ali & Sumera Kauser - 361-371 The effect of ICT development on innovation: evidence from G-20 countries
by Rudra P. Pradhan & Ajoy K. Sarangi & Ashim Sabat
March 2022, Volume 12, Issue 1
- 1-28 The value of political connections and Sharia compliance during the COVID-19 pandemic
by Budi Wahyono - 29-54 Depicting ethical dilemma in Islamic financial institutions; addressing the gender heterogeneity
by Shinaj Valangattil Shamsudheen & Aishath Muneeza - 55-94 On the role of Islamic banks in the monetary policy transmission in Saudi Arabia
by Amine Ben Amar - 95-114 How do the global equity and bond markets affect Islamic and conventional banks? A comparative cross-country analysis using multivariate regression quantiles
by Resul Aydemir & Huzeyfe Zahit Atan & Bulent Guloglu - 115-138 Proposed model of integrated Islamic commercial and social finance for Islamic bank in Indonesia
by Ascarya Ascarya & Ugi Suharto & Jardine A. Husman - 139-167 Market discipline and capital buffers in Islamic and conventional banks in the MENA region
by Rihab Grassa & Nejia Moumen & M. Kabir Hassan & Khaled Hussainey - 169-186 The links between gold, oil prices and Islamic stock markets in a regime switching environment
by Walid Chkili
December 2021, Volume 11, Issue 4
- 583-609 Regional employment support programs and multidimensional poverty of youth in Turkey
by Eleftherios Giovanis & Oznur Ozdamar - 611-629 Joint estimation of intertemporal labor and consumption decisions: evidence from Spanish households headed by working men
by Antonio Cutanda & Juan A. Sanchis-Llopis - 631-631 Correction to: Joint estimation of intertemporal labor and consumption decisions: evidence from Spanish households headed by working men
by Antonio Cutanda & Juan A. Sanchis-Llopis - 633-665 Global production sharing and trade effects: an analysis of Eurasian Economic Union
by Sanjeev Vasudevan & M. Suresh Babu - 667-685 A neutral core of degressively proportional allocations under lexicographic preferences of agents
by Katarzyna Cegiełka & Piotr Dniestrzański & Janusz Łyko & Arkadiusz Maciuk & Maciej Szczeciński - 687-733 Trade credit, trade income elasticity and the international transmission of shocks
by Anna Watson - 735-751 Related bank deposits: Good or bad for stability?
by Aldy Fariz Achsanta & Tastaftiyan Risfandy & Putra Pamungkas & Irwan Trinugroho & Herman Saheruddin - 753-773 Financial connectedness of GCC emerging stock markets
by Ngo Thai Hung
September 2021, Volume 11, Issue 3
- 403-431 Efficiency in cryptocurrency markets: new evidence
by Carmen López-Martín & Sonia Benito Muela & Raquel Arguedas - 433-448 Modeling Bitcoin price volatility: long memory vs Markov switching
by Walid Chkili - 449-467 Volatility spillovers and contagion between energy sector and financial assets during COVID-19 crisis period
by Achraf Ghorbel & Ahmed Jeribi - 469-487 Dynamic modeling of the impact of socio-economic restrictions and behavior on COVID-19 outbreak
by Mikhail Pomazanov & Artem Arkhipov & Alexander Karminsky - 489-517 Diverse effects of fossil fuel subsidy reform on industrial competitiveness in Thailand
by Anan Wattanakuljarus - 519-548 Analysis of international trade integration of Eurasian countries: gravity model approach
by Anna Golovko & Hasan Sahin - 549-581 A hybrid econometric–machine learning approach for relative importance analysis: prioritizing food policy
by Akash Malhotra
June 2021, Volume 11, Issue 2
- 227-249 COVID-19 and its economic consequences for the Euro Area
by Dirk Ehnts & Michael Paetz - 251-281 The COVID-19 crisis in the EU: the resilience of healthcare systems, government responses and their socio-economic effects
by Katerina Aristodemou & Lucas Buchhass & Duco Claringbould - 283-319 COVID-19: stress-testing non-financial companies: a macroprudential perspective. The experience of Poland
by Natalia Nehrebecka - 321-348 Towards a more resilient European Union after the COVID-19 crisis
by Amélie Barbier-Gauchard & Meixing Dai & Claire Mainguy & Jamel Saadaoui & Moïse Sidiropoulos & Isabelle Terraz & Jamel Trabelsi - 349-361 US banks in the time of COVID-19: fresh insights from the wavelet approach
by Saeed Sazzad Jeris & Ridoy Deb Nath - 363-379 A survival analysis in the assessment of the influence of the SARS-CoV-2 pandemic on the probability and intensity of decline in the value of stock indices
by Beata Bieszk-Stolorz & Krzysztof Dmytrów - 381-402 Pan(dem)ic reactions in Turkish stock market: evidence from share repurchases
by Burak Pirgaip
March 2021, Volume 11, Issue 1
- 1-24 Drivers of green bond issuance and new evidence on the “greenium”
by Kristin Ulrike Löffler & Aleksandar Petreski & Andreas Stephan - 25-42 The relationship between trend and volume on the bitcoin market
by Beata Szetela & Grzegorz Mentel & Yuriy Bilan & Urszula Mentel - 43-83 How have the European central bank’s monetary policies been affecting financial markets in CEE-3 countries?
by Wojciech Grabowski & Ewa Stawasz-Grabowska - 85-123 The impact of cultural distance on salary: the case of Samurai Japan
by Wen-Jhan Jane - 125-157 The impact of the Eurasian Economic Union–Iran preferential trade agreement on mutual trade at aggregate and sectoral levels
by Amat Adarov & Mahdi Ghodsi - 159-190 Fiscal institutions: different classifications and their effectiveness
by Patrícia Martins & Leonida Correia - 191-226 Heterogeneity of fiscal adjustments in EU economies in the pre- and post-crisis periods: common correlated effects approach
by Olgica Glavaški & Emilija Beker Pucar
December 2020, Volume 10, Issue 4
- 555-566 An augmented P-Star model of US inflation
by Imad Moosa & Basil Al-Nakeeb - 567-605 Market reaction to regulatory policy changes in financial statements filings: evidence from Turkey
by Mustafa K. Yılmaz & Mine Aksoy & Tankut T. Çelik - 607-634 Impact of public and private sector external debt on economic growth: the case of Portugal
by Jorge Silva - 635-659 Is size an input in the mutual fund performance evaluation with DEA?
by Sevgi Eda Tuzcu & Emrah Ertugay - 661-679 Cultural fractionalization and informal finance: evidence from Indian firms
by Khondker Aktaruzzaman & Omar Farooq - 681-706 Does corporate governance really matter for bank efficiency? Evidence from ASEAN countries
by Thi Lam Anh Nguyen & Xuan Vinh Vo - 707-726 Impact of macroeconomic cyclical indicators and country governance on bank non-performing loans in Emerging Asia
by Nurfilzah Arham & Mohd Shamlie Salisi & Rozita Uji Mohammed & Jasman Tuyon - 727-744 Optimal policies, middle class development and human capital accumulation under elite rivalry
by Elena Sochirca & Pedro Cunha Neves
September 2020, Volume 10, Issue 3
- 349-360 The relationship between cryptocurrencies and COVID-19 pandemic
by Ender Demir & Mehmet Huseyin Bilgin & Gokhan Karabulut & Asli Cansin Doker - 361-392 The importance of default risk awareness in conducting monetary and fiscal policies
by Eiji Okano & Masataka Eguchi - 393-410 Is the emphasis on unit labor costs an effective export-promoting policy? A comparison between Greece and Portugal
by Dimitris Doulos & Odysseus Katsaitis & George Zombanakis - 411-436 The Beveridge curve in the OECD before and after the great recession
by Sergio Destefanis & Matteo Fragetta & Giuseppe Mastromatteo & Nazzareno Ruggiero - 437-487 Returns to schooling in Kazakhstan: an update using a pseudo-panel approach
by Saule Kemelbayeva - 489-512 Propagation of economic shocks from Russia and Western European countries to CEE-Baltic countries
by Nazmus Sadat Khan - 513-531 Reassessing the environmental Kuznets curve: a summability approach for emerging market economies
by Seref Bozoklu & A. Oguz Demir & Sinan Ataer - 533-553 Subjects in the lab, activists in the field: public goods and punishment
by Chetan Dave & Sjur Hamre & Curtis Kephart & Alicja Reuben
June 2020, Volume 10, Issue 2
- 163-188 Asymmetric J-curve in the commodity trade between Pakistan and United States: evidence from 41 industries
by Mohsen Bahmani-Oskooee & Ahmed Usman & Sana Ullah - 189-209 Does the digital gap matter? Estimating the impact of ICT on productivity in developing countries
by Ronia Hawash & Guenter Lang - 211-235 Economic diversification and human development in Europe
by Muhammad Ali & Uwe Cantner - 237-265 Tax reform and fiscal space in developing countries
by Sèna Kimm Gnangnon & Jean-François Brun - 267-282 Initial public offering price support, valuation, and returns
by Lokman Tutuncu - 283-307 Collusive corruption in public services: evidence from Chinese state corruption audits
by Anthony Liu - 309-332 Local government efficiency: is there anything new after Troika’s intervention in Portugal?
by Maria Basílio & Clara Pires & Carlos Borralho & José Pires Reis - 333-348 The comparison of empirical methods for modeling credit ratings of industrial companies from BRICS countries
by Alexander M. Karminsky & Sergei Grishunin & Natalya Dyachkova & Maxim Bisenov
March 2020, Volume 10, Issue 1
- 1-8 Entrepreneurship and culture
by David B. Audretsch - 9-25 Determinants of foreign direct investment from OECD countries in Poland
by Andrzej Cieślik - 27-45 Evaluating the logistics performance of OECD countries by using fuzzy AHP and ARAS-G
by Bahadir Fatih Yildirim & Burcu Adiguzel Mercangoz - 47-69 Asymmetric effects of inequality on real output levels of the United States
by Adnen Ben Nasr & Mehmet Balcilar & Rangan Gupta & Seyi Saint Akadiri - 71-88 Volatility transmission in the South African white maize futures market
by Ayesha Sayed & Christo Auret - 89-122 Consumer behavior in a monetary economy and smoothing of composite consumption
by Hiroaki Hayakawa - 123-141 Non-organized boycott: alliance advantage and free riding incentives in uneven wars of attrition
by Yi Zheng - 143-161 Are labor unions important for business cycle fluctuations? Lessons from Bulgaria
by Aleksandar Vasilev
December 2019, Volume 9, Issue 4
- 421-457 Effectiveness of public investment on growth in sub-Saharan Africa
by Nihal Bayraktar - 459-466 Unit versus ad valorem tax comparisons in a simple New Keynesian dynamic stochastic general equilibrium model
by Kazuki Hiraga - 467-492 Banks’ capital buffers, risk, and efficiency in emerging economies: are they counter-cyclical?
by Syed Moudud-Ul-Huq - 493-513 Kazakhstan trade with its partners and the role of tenge: an asymmetric analysis
by Mohsen Bahmani-Oskooee & Hanafiah Harvey & Amr Hosny - 515-530 Effects of geopolitical risks on trade flows: evidence from the gravity model
by Rangan Gupta & Giray Gozgor & Huseyin Kaya & Ender Demir - 531-555 Exogeneity of world oil prices to the Russian Federation’s economy and monetary policy
by Victoriia Alekhina & Naoyuki Yoshino
September 2019, Volume 9, Issue 3
- 285-310 Duality in human capital accumulation and inequality in income distribution
by Hiroaki Hayakawa & Yannis P. Venieris - 311-330 Human capital and genetic diversity
by Tiago Neves Sequeira & Marcelo Santos & Alexandra Ferreira-Lopes - 331-347 Human capital and economic growth across regions: a case study in Indonesia
by Yoga Affandi & Donni Fajar Anugrah & Pakasa Bary - 349-371 Unemployment gender inequality: evidence from the 27 European Union countries
by Marina Faďoš & Mária Bohdalová - 373-394 Female employment status: a survey analysis of selected member states of the Arab League
by Meltem Ucal & Simge Günay - 395-419 Migration and labor supply in Georgia: an empirical study
by George Berulava
June 2019, Volume 9, Issue 2
- 121-137 Bureaucratic efficiency, economic reform and informal sector
by Sujata Ghosh & Biswajit Mandal - 139-172 The role of local government policy on secondary school enrolment decision in Indonesia
by Ferry Prasetyia - 173-219 Effects and burdens of a carbon tax scheme in Thailand
by Anan Wattanakuljarus - 221-237 Informal economies around the world: measures, determinants and consequences
by Ceyhun Elgin & Ferda Erturk - 239-266 Ownership structure and firm patenting activity in Italy
by Marianna Succurro & Giuseppina Damiana Costanzo - 267-284 Informal employment in Kazakhstan: a blessing in disguise?
by Altay Mussurov & Dena Sholk & G. Reza Arabsheibani
March 2019, Volume 9, Issue 1
- 1-27 Big moves of mutual funds
by Thorsten Lehnert - 29-60 Exploring the dynamics of Bitcoin’s price: a Bayesian structural time series approach
by Obryan Poyser - 61-70 The importance of timing in estimating beta
by Roi D. Taussig & Dror Tobi & Moti Zwilling - 71-89 Reactions of emerging stock markets to dividend announcements during economic growth: evidence from India and Russia
by Irina V. Berezinets & Liliia A. Bulatova & Yulia B. Ilina & Marat V. Smirnov - 91-106 Role of governance on performance of microfinance institutions in Bangladesh
by Tanweer Hasan & Shakil Quayes & Baqui Khalily - 107-120 Foreign institutional investors and stock price synchronicity of Chinese listed firms: further evidence
by Tina T. He & Wilson X. B. Li & Gordon Y. N. Tang
December 2018, Volume 8, Issue 3
- 343-353 Ambiguity preferences, risk taking and the banking firm
by Udo Broll & Peter Welzel & Kit Pong Wong - 355-380 Output volatility and savings in a stochastic Goodwin economy
by Jochen Jungeilges & Tatyana Ryazanova - 381-392 Behaviors in the market for safe vegetables under information asymmetry: modeling approach
by Hoi Quoc Le & Thi Minh Nguyen - 393-416 Gender inequality and FDI: empirical evidence from developing Asia–Pacific countries
by Thi Mai Hoai Bui & Xuan Vinh Vo & Duy Tung Bui - 417-449 Cognitive skills and economic performance: evidence from the recent international student assessment tests
by Hüseyin Taştan & Selin Erdoğan - 451-483 Motives behind voting and the perception of the motives: paradox of voting in Bosnia and Herzegovina
by Anida Krajina & Jakub Prochazka - 485-497 Autonomy-induced preference, budget reallocation, and child health
by Biswajit Mandal & Prasun Bhattacharjee & Souvik Banerjee - 499-499 Correction to: Autonomy-induced preference, budget reallocation, and child health
by Biswajit Mandal & Prasun Bhattacharjee & Souvik Banerjee
August 2018, Volume 8, Issue 2
- 161-181 Development of stock market and economic growth: the G-20 evidence
by Rudra P. Pradhan - 183-213 Portfolio and hedging effectiveness of financial assets of the G7 countries
by Selma Izadi & M. Kabir Hassan - 215-229 Financials sector intraday volatility characteristics in the emerging Turkish economy
by A. Can Inci - 231-288 Shock transmission and volatility spillover in stock and commodity markets: evidence from advanced and emerging markets
by Gülin Vardar & Yener Coşkun & Tezer Yelkenci - 289-304 Outsourcing, factor prices and skill formation in countries with non-overlapping time zones
by Biswajit Mandal & Sugata Marjit & Noritsugu Nakanishi - 305-322 Fiscal policy and national saving in emerging Asia: challenge or opportunity?
by Duy-Tung Bui - 323-342 India’s comparative advantages in services trade
by Hiranya K. Nath & Binoy Goswami
April 2018, Volume 8, Issue 1
- 1-36 A model of search and matching with PES intermediation
by Twisha Chatterjee