Content
March 2012, Volume 19, Issue 5
- 467-470 Classic performance indexes revisited: axiomatic and applications
by Fernando Gómez-Bezares & Fernando R. Gómez-Bezares - 471-476 How has the financial crisis affected the fiscal convergence of Central and Eastern Europe to the Eurozone?
by Astrid Ayala & Szabolcs Blazsek - 477-481 Interchangeability of the median operator with the present value operator
by Gary R. Skoog & James E. Ciecka - 483-486 An interrelation of time preference and risk attitude: an application to the equity premium puzzle
by Jangkoo Kang & Hwa-Sung Kim - 487-491 Purchasing power parity with nonlinear and asymmetric smooth adjustment for the Middle Eastern countries
by Tsangyao Chang & Yu-Shao Liu & Chi-Wei Su - 493-503 Detecting trends in the foreign exchange markets
by Adrián Fernández-P�rez & Fernando Fernández-Rodr�guez & Simón Sosvilla-Rivero
March 2012, Volume 19, Issue 4
- 305-311 The nonlinear relationship between autocorrelation and volatility: the case of the Asian financial crisis
by Chiao-Yi Chang & Fu-Shuen Shie - 313-317 A predictive model of the freight rate of the international market in Capesize dry bulk carriers
by Ching-Chih Chang & Chin-Yuan Hsieh & Yung-Chih Lin - 319-324 The consequences on job satisfaction of job--worker educational and skill mismatches in the Spanish labour market: a panel analysis
by Lourdes Badillo Amador & Ángel López Nicolás & Luis E. Vila - 325-328 Thinking about it: a note on attention and well-being losses from unemployment
by Paul Dolan & Nattavudh Powdthavee - 329-335 Who has more influence on Asian stock markets around the subprime mortgage crisis -- the US or China?
by Chien-Chung Nieh & Chao-Hsiang Yang & Yu-Sheng Kao - 337-343 The inter-industrial linkage of maritime sector in Taiwan: an input--output analysis
by Rong-Her Chiu & Yu-Chang Lin - 345-348 Investor sentiment in the Chinese stock market: an empirical analysis
by Lixu Chi & Xintian Zhuang & Dalei Song - 349-352 Do commuters suffer from job--education mismatch?
by Peter Huber - 353-361 Exploring stationarity and structural breaks in commodity prices by the panel data model
by Chao-Hsiang Yang & Chi-Tai Lin & Yu-Sheng Kao - 363-366 Fear sentiments and gold price: testing causality in-mean and in-variance
by Mahmod Qadan & Joseph Yagil - 367-371 A Lotka--Volterra evolutionary model of China's incremental institutional reform
by Yongjing Zhang - 373-377 Examining the power of stochastic unit root tests without assuming independence in the error processes of the underlying time series
by Jen-Je Su & Eduardo Roca - 379-382 The euro changeover and price adjustments in Italy
by Guglielmo Maria Caporale & Alessandro Girardi & Marco Ventura - 383-386 Effects of unusual R&D expenditures on stock returns -- evidences from the listed companies in Taiwan
by Jian-Fa Li & Yih-Bey Lin & Cheng-Yih Hong - 387-391 The Volcker--Greenspan--Bernanke Phillips Curve
by Sandeep Mazumder - 393-397 FDIs in life cycle stages: firm-level evidence from Taiwan
by Szu-Hsien Lin & You-Jie Chen & Tz-Li Wang & Ya-Chiu Angela Liu - 399-402 Current account imbalances, trade and finance
by Anna Lo Prete - 403-406 Does age matter for employability? A field experiment on ageism in the Swedish labour market
by Ali M. Ahmed & Lina Andersson & Mats Hammarstedt
February 2012, Volume 19, Issue 3
- 207-214 Oil prices and their effect on potential output
by Angel Estrada & Pablo Hernández de Cos - 215-220 Note on estimating effectiveness of demand management
by Joon-Mo Yang - 221-225 Sunk costs of physical capital and the form of enterprise: investor-owned firms, consumer cooperatives and public enterprises
by Kazuhiko Mikami - 227-235 An econometric approach to identify determinants of cooperation for innovation among firms
by Flávio Lenz-Cesar & Almas Heshmati - 237-241 Are project appraisers chiromancers?
by Marco Percoco - 243-249 Day-of-the-week effect on the return and conditional variance of the H-shares index in Hong Kong
by Hing Lin Chan & Kai-Yin Woo - 251-259 The dynamics of sovereign credit default swap and bond markets: empirical evidence from the 2001 to 2007 period
by Rahmi Erdem Aktug & Geraldo Vasconcellos & Youngsoo Bae - 261-268 Testing for the possibility of a monetary union in the ASEAN+3 countries: rationality and asymmetric loss functions
by Hyun-Jae Rhee - 269-275 Ship investment at a standstill? An analysis of shipbuilding activities and policies
by Jane Jing Xu & Tsz Leung Yip - 277-283 Incorporating undesirable outputs into Malmquist TFP indices with an unbalanced data panel of Chinese power plants
by Hongliang Yang & Michael Pollitt - 285-288 Paying to punish on a free ride: member and nonmember punishments in voluntary coalitions
by David Michael McEvoy - 289-295 A reassessment of inequality and growth in the United States
by Ho-Chuan (River) Huang & Chih-Chuan Yeh - 297-303 The effects of exchange rate volatility on trade: evidence from Turkish agricultural trade
by Gülistan Erdal & Hilmi Erdal & Kemal Esengün
February 2012, Volume 19, Issue 2
- 105-111 Does insurance demand or financial development promote economic growth? Evidence from Taiwan
by Ming-Sun Horng & Yung-Wang Chang & Ting-Yi Wu - 113-116 On the specification of the asset evolution equation in consumption models
by Samih Antoine Azar - 117-121 Optimal leverage with a variable borrowing rate
by John F. McDonald - 123-128 Nonlinear adjustment to purchasing power parity in G-7 countries
by Tsangyao Chang & Chia-Hao Lee & Pei-I Chou - 129-132 Sovereign credit default swaps and the macroeconomy
by Yang Liu & Bruce Morley - 133-137 Investment under uncertainty and volatility estimation risk
by George Dotsis & Vasiliki Makropoulou & Raphael Nicholas Markellos - 139-144 Re-examining purchasing power parity for selected emerging markets and African countries
by Pelin Öge Güney & Erdinç Telatar & Mübariz Hasanov - 145-147 Trust, institutions and development
by Biswo Poudel & Krishna P. Paudel - 149-154 Yuan revaluation and its implications
by Won-Cheol Yun - 155-159 Investment strategies of institutional investors: evidence from Dutch flow-of-funds data
by Leo de Haan & Jan Kakes - 161-165 The sustainability of trade balances in sub-Saharan Africa: panel cointegration tests with cross-section dependence
by Yoshihiro Hashiguchi & Shigeyuki Hamori - 167-173 Fiscal policy and the current account new evidence from four East Asian countries
by Hassan Mohammadi & Golaleh Moshrefi - 175-179 On the evaluation of marginal expected shortfall
by Massimiliano Caporin & Paolo Santucci de Magistris - 181-184 Some notes on applying the Herfindahl--Hirschman Index
by Akio Matsumoto & Ugo Merlone & Ferenc Szidarovszky - 185-187 Estimating an inflation index by quantile regression
by Eric Blankmeyer - 189-196 Corporate governance, stock options and earnings management
by Bo Sun - 197-202 Nonlinear adjustment to purchasing power parity for Germany's real exchange rate relative to its major trading partners
by Tsangyao Chang & Hsu-Ling Chang & Ken Hung & Chi-Wei Su - 203-206 Biases in the distribution of bilateral aid: a regional decomposition analysis
by Matthew J. Salois
January 2012, Volume 19, Issue 1
- 1-5 Gender and ethnic discrimination in the rental housing market
by Ragnar Bengtsson & Ellis Iverman & Björn Tyrefors Hinnerich - 7-11 The synchronization of GDP growth in the G7 during US recessions
by Nikolaos Antonakakis & Johann Scharler - 13-18 Causality links between consumer and producer price inflation in South Africa
by Zerihun Gudeta Alemu - 19-24 Purchasing power parity in major OPEC countries: flexible Fourier stationary test
by Chi-Wei Su & Yu-Shao Liu & Meng-Nan Zhu & Kuei-Chiu Lee - 25-28 Regime shift of Japanese foreign exchange policy: some findings
by Takeshi Hoshikawa - 29-33 An assessment of crop diversification in Bangladesh: a spatial analysis
by Nawshaba Islam & Motiur Rahman - 35-39 Efficiency of Chinese enterprises: Does human resource management matter?
by Ying Chu Ng & Li-Qun Wei - 41-45 The US term structure and central bank policy
by Enzo Weber & Jürgen Wolters - 47-51 An appropriate test of the Kuznets hypothesis
by Ho-Chuan (River) Huang & Yi-Chen Lin & Chih-Chuan Yeh - 53-56 Credit securitization decisions
by Camilo Sarmiento - 57-60 An EBIT-based variant of the Duffie--Lando credit risk model
by Joseph Simonian - 61-66 Testing for hysteresis in entrepreneurship in 23 OECD countries
by Simon C. Parker & Emilio Congregado & Antonio A. Golpe - 67-71 Successive monopolies and product variety
by Brian J. Jacobsen - 73-78 Efficiency of the top 50 business schools in the United States
by Yukiko Hirao - 79-82 An empirical test of Lazear's leadership theory using evidence from Ghana
by Oliver Masakure - 83-85 Breaking deterministics, test size and the efficient Wald test for fractional unit roots
by P. S. Sephton - 87-91 Are we getting closer to purchasing power parity in Central and Eastern European economies?
by Darja Boršič & Ahmad Zubaidi Baharumshah & Jani Bekő - 93-97 Herd behaviour and underdogs in the NFL
by Sean Wever & David Aadland - 99-104 The relationship between plan characteristics and Medicare Prescription Drug Plan bids
by Rui Dai & John Robst
December 2011, Volume 18, Issue 18
- 1723-1728 Is there a software Kuznets curve?
by E. Panas & V. Ninni - 1729-1734 FDI by early movers, followers and latecomers: timing of entry by German firms during transition in the Czech Republic
by Henning Mühlen & Peter Nunnenkamp - 1735-1738 The performance of NASDAQ-listed UK ADRs: a note
by Mark Schaub - 1739-1743 A self-reflective inverse demand system
by Kenneth W. Clements & Maxwell Maesepp - 1745-1750 Current account, productivity and terms of trade shocks in Norway
by C�sar R. Sobrino - 1751-1754 The existence and uniqueness of equilibrium in the international public good model
by Tatsuyoshi Miyakoshi & Kenichi Suzuki - 1755-1758 Testing the permanent income hypothesis using unit root quantile autoregression tests
by Fabio Augusto Reis Gomes - 1759-1764 A Monte Carlo study to compare two recent modifications of the KPSS test for near integration
by Mar�a-Isabel Ayuda & Antonio Aznar - 1765-1768 On the probability of winning a lottery with a random number of competitors
by Seamus Hogan & Laura Meriluoto - 1769-1775 Understanding the determinant factors of Internet business solutions adoption: the case of Portuguese firms
by Tiago Oliveira & Maria Fraga O. Martins - 1777-1784 A generalization of a class of production functions
by Catalin Angelo Ioan & Gina Ioan - 1785-1787 Partial coordination in local debt policies
by Junichi Nagami & Hikaru Ogawa - 1789-1794 Incorporating water purification in efficiency evaluation: evidence from Japanese water utilities
by Theara Horn - 1795-1800 Revisiting purchasing power parity for G-7 countries using nonparametric rank test for cointegration
by Tsangyao Chang & Kuei-Chiu Lee & Yang-Cheng Ralph Lu & Guochen Pan - 1801-1806 Purchasing power parity with threshold effects for Central and Eastern European countries
by Yu-Shao Liu & Chi-Wei Su & Meng-Nan Zhu - 1807-1812 Purchasing power parity in Mainland China and Taiwan: an empirical note based on threshold unit root test
by Tsung-Hsien Chen & Tsangyao Chang & Yi-Chun Zhang & Chia-Hao Lee - 1813-1816 Leisure and happiness in the United States: evidence from survey data
by Miao Wang & Man Chiu Sunny Wong - 1817-1822 Testing the validity of quasi PPP hypothesis: evidence from a recent panel unit root test with structural breaks
by Bulent Guloglu & Serdar Ispira & Deniz Okat
2011, Volume 18, Issue 17
- 1619-1622 Identifying key elasticities in a CGE model: a Monte Carlo approach
by Antoine Belgodere & Charles Vellutini - 1623-1627 Forecasting comparison between two nonlinear models: fuzzy regression versus SETAR
by Hui Feng - 1629-1632 Human capital and innovation: evidence from panel cointegration tests
by Vladimir Kuhl Teles & Renato Joiozo - 1633-1638 International price dispersions of the Big Mac and economic integration
by Yukio Fukumoto - 1639-1644 Do you have credit cards? The expansion of the credit card market in Taiwan
by Yun-Huan Lee & Ya-Li Huang - 1645-1654 Estimating demand elasticities for intra-regional tourist arrivals to Hong Kong - the 'bounds' testing approach
by Koon Nam Henry Lee - 1655-1663 The nonlinear dynamic process of macroeconomic development by modelling dry bulk shipping market
by Ching-Chih Chang & Tin-Chia Lai - 1665-1669 A decomposition of the growth in self-employment
by F. van Es & D. J. van Vuuren - 1671-1675 Determinants of various aspects of smoking behaviour in the United States
by Rajeev Goel & Michael Naretta - 1677-1682 The decreasing returns on working time: an empirical analysis on panel country data
by Gilbert Cette & Samuel Chang & Maty Konte - 1683-1685 Bank insolvency risk and Z-score measures with unimodal returns
by Frank Strobel - 1687-1690 Measuring satisfaction of the unemployed: a composite indicator and policy implications
by Hector Bellido & Jose Ignacio Gimenez-Nadal & Raquel Ortega - 1691-1696 An empirical test of the purchasing power parity for transition economies: Panel SURADF tests
by Yang-Cheng Ralph Lu & Tsangyao Chang & Kuei-Chiu Lee & Han-Wen Tzeng - 1697-1703 The exact import price and its implications for the US external imbalance
by Fumihide Takeuchi - 1705-1708 An empirical analysis of income convergence in the European Union
by Laurent Cavenaile & David Dubois - 1709-1711 The effect of motivations on social indirect reciprocity: an experimental analysis
by Luca Stanca & Luigino Bruni & Marco Mantovani - 1713-1717 The revision policy of seasonally adjusted balance sheet data in Italy
by Andrea Silvestrini - 1719-1722 Incorporating uncertainty into the Black-Litterman portfolio selection model
by Joseph Simonian & Josh Davis
2011, Volume 18, Issue 16
- 1511-1515 Stochastic volatility, liquidity and intraday information flow
by Jinliang Li & Chunchi Wu - 1517-1520 Domestic lending when financial markets are integrated: Is it all for real?
by Luisa Zanforlin - 1521-1525 Interview versus self-completion questionnaires in discrete choice experiments
by J. D. Snowball & K. G. Willis - 1527-1530 Finance-growth nexus revisited for some Asian countries
by Bidisha Mukhopadhyay & Rudra Pradhan & Mete Feridun - 1531-1535 Are Asian-Pacific real exchange rates (trend) stationary?
by Benjamin Kim & Andrew Perumal - 1537-1540 R&D human resources in firms: What determines the educational level required?
by Jose Garcia-Quevedo & Francisco Mas-Verdu & Jose Polo-Otero - 1541-1543 Bank insolvency risk and different approaches to aggregate Z-score measures: a note
by Frank Strobel - 1545-1548 Health dynamics, adaptation to illness and resource allocation
by Katharina Hauck & Bruce Hollingsworth - 1549-1552 Forecasting bank failures: timeliness versus number of failures
by Guo Li & Lee Sanning & Sherrill Shaffer - 1553-1557 Can households form consistent/convergent and unbiased expectation of interest rate?
by Zhong Chunping & Calum Turvey - 1559-1563 A note on sibling rivalry and good-kid, bad-kid equilibria
by Dennis Weisman - 1565-1569 Frequent flyer programs premium and the role of airport dominance
by Diego Escobari - 1571-1576 Capital allocation, stock return volatility and productivity growth in US industries
by Hyunbae Chun & Jung-Wook Kim - 1577-1581 A methodological proposal to estimate changes of residential property value: case study developed in Bogota
by Jorge Perdomo - 1583-1589 Does the composition of public expenditure affect economic growth? Evidence from the Swiss case
by Carsten Colombier - 1591-1593 Liquidity on the outside from the inside
by Joseph Simonian - 1595-1602 An examination of price integration between stock market and international crude oil indices: evidence from China
by Bruce Hearn & Shuk Yin Man - 1603-1607 The effects of gender composition of senior management on the economic fallout
by Cynthia Bansak & Mary Graham & Allan Zebedee - 1609-1612 From debt crisis to tequila crisis: inflation stationarity through Mexico's turbulent decades
by Tony Caporale & Julia Paxton - 1613-1618 Complementarity and contextuality in the adoption of information systems
by Yunhee Kim & Jae Young Choi & Yeonbae Kim
2011, Volume 18, Issue 15
- 1405-1409 Inward FDI, remittances and out-migration
by Miao Wang & M. C. Sunny Wong - 1411-1414 Market discounts and announcement effects of private placements: evidence from China
by Deng Lu & Li Si-fei & Wu Wei-xing - 1415-1419 Predicting regime switches in the VIX index with macroeconomic variables
by N. Baba & Y. Sakurai - 1421-1426 The role of ownership on control right allocation and compensation contract design
by Yu-Hsiu Lin & Len-Kuo Hu - 1427-1430 Assessing health efficiency across countries with a two-step and bootstrap analysis
by Antonio Afonso & Miguel St. Aubyn - 1431-1435 Optimal tariff calculations in tariff games with climate change considerations
by Yan Dong & John Whalley - 1437-1442 Determinants of performing arts attendance in Taiwan: a multivariate probit analysis
by Tsung-Chi Cheng & Wei-Jen Wen - 1443-1447 Further evidence on money and inflation in the long run
by John Thornton - 1449-1454 Portfolio insurance with ratcheted floor as a long-term asset management strategy: implications of loss aversion
by Huai-I. Lee & Hsinan Hsu & Len-Kuo Hu & Ching-Chung Lin - 1455-1461 Calorie consumption and income: panel cointegration and causality evidence in developing countries
by P. J. Dawson & A. I. Sanjuan - 1463-1468 A note on subsidy-free prices and scope economies
by Dennis Weisman - 1469-1477 Tax-induced multiple equilibria
by John Whalley & Shunming Zhang - 1479-1483 How to offset the negative trend growth rate in the Italian economy?
by Antonio Paradiso & B. Bhaskara Rao - 1485-1489 Democracy levels and the income-military expenditure relationship
by Vahe Lskavyan - 1491-1495 Why not sell lottery tickets in a pharmacy: on conflicting product features and consumer choice
by Daniel Mueller & Philipp Wichardt - 1497-1500 Market size, service quality and competition in the US downhill ski industry
by James Mulligan - 1501-1505 Determinants and information of REIT pricing
by Jinliang Li & Liang Lei - 1507-1510 Why real estate values decline with leverage: a Modigliani-Miller example
by John McDonald
2011, Volume 18, Issue 14
- 1307-1310 Income inequality dynamics in rural China from 1991 to 2006: the role of alternative income sources
by Hai Fang & John Rizzo - 1311-1314 An index to evaluate fund and fund manager performance
by Hans Bystrom - 1315-1319 A gravity analysis of international stock market linkages
by Terence Tai-Leung Chong & Wing-Keung Wong & Juan Zhang - 1321-1325 Stock returns in emerging markets and the use of GARCH models
by Claudio Bonilla & Jean Sepulveda - 1327-1331 The bounds-test approach for co-integration between international tourist arrivals, per capita income and cost of living: the case of All Cyprus
by Vedat Yorucu & Ozay Mehmet - 1333-1340 Why a diversified portfolio should include African assets
by Paul Alagidede & Theodore Panagiotidis & Xu Zhang - 1341-1347 Immigrants' legal status, permanence in the destination country and the distribution of consumption expenditure
by Matteo Barigozzi & Biagio Speciale - 1349-1354 Pricing temperature-based weather contracts: an application to China
by Ahmet Goncu - 1355-1358 The long-run effect of outward FDI on domestic output in developing countries
by Dierk Herzer - 1359-1362 International evidence on the determinants of alcohol advertising restrictions
by Craig Gallet & Antonio Andres - 1363-1366 Nonlinearities in central and eastern European stock markets
by Barry Harrison & Winston Moore - 1367-1370 Using VIX data to enhance technical trading signals
by James Kozyra & Camillo Lento - 1371-1375 The lag in effect of inflation targeting and policy evaluation
by WenShwo Fang & Stephen Miller - 1377-1382 Evaluating poverty duration and transition: a spell-approach to rural China
by J. You - 1383-1386 Quantifying environmental sustainability using an aggregate index reflecting increasing marginal damage costs
by Jan Bentzen - 1387-1392 How stable is the demand for international reserves?
by Mohsen Bahmani-Oskooee & Scott Hegerty - 1393-1396 Health status and wage differences: measuring productivity penalty and discrimination patterns
by Nick Drydakis - 1397-1400 A Bayesian approach to building robust structural credit default models
by Joseph Simonian - 1401-1404 Big and fragile: when size does not shield from default
by Giulio Bottazzi & Federico Tamagni
2011, Volume 18, Issue 13
- 1201-1205 The effect of time on hotel pricing strategy
by Josep Maria Raya - 1207-1211 Nonlinear price dynamics between CO2 futures and Brent
by Massimo Peri & Lucia Baldi - 1213-1217 On choosing a constitution (at least the part relating to the distribution of income)
by John Hey & Carmen Pasca - 1219-1224 Decomposing terms of trade fluctuations in Ethiopia
by Josef Loening & Masato Higashi - 1225-1229 The effect of gender on stock price reaction to the appointment of directors: the case of the FTSE 100
by Brian Lucey & Brenda Carron - 1231-1235 Structural reforms and the benefits of the enlarged EU internal market: still much to be gained
by Jens Matthias Arnold & Andreas Worgotter - 1237-1241 Gender difference in the probability of success in starting business turns negligible when controlling for the managerial experience
by Naomi Kodama & Kazuhiko Odaki - 1243-1246 The impact of higher education institution-firm knowledge links on firm-level productivity in Britain
by R. Harris & Q. C. Li & J. Moffat - 1247-1251 The Fisher effect in the EU revisited: new evidence using panel cointegration estimation with global stochastic trends
by Rosa Badillo & Carmelo Reverte & Elena Rubio - 1253-1257 Football pools and lotteries: substitute roads to riches?
by D. Forrest & L. Perez - 1259-1262 Budget-constrained expenditure multipliers
by Ana-Isabel Guerra & Ferran Sancho - 1263-1266 Determinant factors in the convergence of welfare effort in OECD countries: a decomposition of the Theil indices
by Jon Olaskoaga-Larrauri & Ricardo Alaez-Aller & Eneko Arrospide-Zabala - 1267-1271 Determinants of bank net interest margin in Tunisia: a panel data model
by K. Ben Khediri & H. Ben-Khedhiri - 1273-1278 A target zone model with the terminal condition of joining a currency area
by Viktors Ajevskis - 1279-1283 Competition and dealership agglomeration in new car markets
by Ellen Sewell - 1285-1288 Predicting recessions with the term spread - recent evidence from seven countries
by Mathias Moersch & Armin Pohl - 1289-1294 Weekend business school degrees: Levelling the playing field?
by Rupert Rhodd & Sandra Schrouder & Marcus Allen - 1295-1301 Testing for stationarity using covariates: an application to purchasing power parity
by Jomana Amara - 1303-1305 Financial wealth effect: evidence from threshold estimation
by Sherif Khalifa & Ousmane Seck & Elwin Tobing
2011, Volume 18, Issue 12
- 1099-1101 Women are not always less competitive than men: evidence from Come Dine with Me
by Ali Ahmed - 1103-1109 Shift contagion with endogenously detected volatility breaks: the case of CEE stock markets
by E. Baumohl & S. Lyocsa & T. Vyrost - 1111-1120 Financial liberalization and banking performance: an analysis of Taiwan's former 'Top 10 Banks'
by Chen-Jui Huang & Jwu-Rong Lin - 1121-1124 Management innovation, corporation core competence and corporate culture: the impact of relatedness
by Chich-Jen Shieh - 1125-1132 The effect of habitual smoking on labour productivity
by Michio Yuda - 1133-1137 Role of foreign direct investment in estimating capital mobility: a reappraisal of Feldstein-Horioka puzzle
by Javed Younas - 1139-1143 What are the odds? A measure of the small sample problems
by Kurt Rotthoff & Danielle Zanzalari & John Jasina - 1145-1148 The relationships between rent multiplier and user cost - a case study of Taipei
by Sun-Tien Wu & Chieh-Hsuan Wang - 1149-1153 Firm-level inefficiency and its determinants in the Swedish water and wastewater sector
by Magnus Soderberg - 1155-1158 Liberalization and efficiency in the European postal sector
by Cipriano Quiros - 1159-1162 The determinants of out-of-pocket payments: evidence from selected hospitals in Ankara, Turkey
by Julide Yildirim & Erdogan Yilmaz & Nebile Korucu - 1163-1166 Social time preference and the optimal carbon price
by Ross Guest