Content
2011, Volume 18, Issue 4
- 371-375 Should the government stimulate enrolment in science and engineering studies?
by Joëlle Noailly & Dinand Webbink & Bas Jacobs - 377-381 Indirect access to mobile networks: economic effects and policy implications
by B. -W. Kim & S. -H. Seol & D. -H. Lee - 383-388 Is there an adverse effect of uncertainty on Venture Capital? The European evidence
by George Geronikolaou & George Papachristou - 389-394 Assessing parametric misspecification and heterogeneity in growth regression
by Harry Haupt & Verena Petring - 395-398 Debt-maturity, corporate diversification and relatedness
by Tiziana La Rocca
2011, Volume 18, Issue 3
- 199-205 Banking services, transaction costs and international remittance flows
by Rajen Mookerjee & Jellina Roberts - 207-212 Are recessions good for everyone's health? The association between mortality and the business cycle by race/ethnicity in the US
by Matias Fontenla & Fidel Gonzalez & Troy Quast - 213-216 Employer health benefit costs and demand for part-time labour
by Jennifer Feenstra Schultz & David John Doorn - 217-221 Time-varying X-efficiency: evidence from US property casualty insurers
by Peng Shi & Wei Zhang - 223-227 A missing spatial link in institutional quality
by Peter Claeys & Fabio Manca - 229-233 Price formation on the EuroMTS platform
by Guglielmo Maria Caporale & Alessandro Girardi - 235-237 Filter rules: follow the trend or take the contrarian approach?
by James Kozyra & Camillo Lento - 239-244 To what extent is resampling useful in portfolio management?
by Francois Delcourt & Mikael Petitjean - 245-249 The impact of Asian crisis on market integration: evidence from East Asian real interest rates
by Philip Inyeob Ji - 251-255 Revisiting purchasing power parity for 16 Latin American countries: panel SURADF tests
by Yang-Cheng Ralph Lu & Tsangyao Chang & Chi-Chen Chiu & Han-Wen Tzeng - 257-261 The behaviour of individual traders and the persistence of arbitrage trading
by Sang Buhm Hahn & Seungyeon Won - 263-266 The role of politics and economics in the allocation of federal stimulus spending
by Roy Howsen & Stephen Lile - 267-272 What do prediction markets predict?
by John Fountain & Glenn Harrison - 273-277 Econophysics: finance, economics and physics
by Russ Ray - 279-283 The current international financial crisis in 10 questions: some lessons
by Fredj Jawadi & Mohamed Hedi Arouri - 285-294 The large country effect, contagion and spillover effects in the GCC
by Osman Suliman - 295-300 Do macroeconomic fundamentals affect exchange market pressure? Evidence from bounds testing approach for Turkey
by Salih Turan Katircioglu & Mete Feridun
2011, Volume 18, Issue 2
- 103-106 So you want to quit smoking: have you tried a mobile phone?
by Julien Labonne & Robert Chase - 107-113 Recurring patterns in the run-up to house price busts
by Prakash Kannan & Pau Rabanal & Alasdair Scott - 115-120 Managers and students playing Cournot - evidence from duopoly and triopoly experiments
by Israel Waichman & Till Requate & Ch'ng Kean Siang - 121-125 The stance of US monetary policy: an alternative measure
by David Beckworth - 127-132 The impact of export promotion institutions on trade: is it the intensive or the extensive margin?
by Christian Volpe Martincus & Jeronimo Carballo & Andres Gallo - 133-136 Time-varying term premia and the expectations hypothesis in Australia
by Richard Finlay & Callum Jones - 137-141 A finite mixture model of heterogeneous anchoring with distinct anchoring patterns
by Michael Farmer & Eric Belasco - 143-147 Assessing the redistributive impact of higher education tuition fees reforms: the case of Quebec
by Paul Makdissi & Myra Yazbeck - 149-152 Foreign direct investment and labour rights: a panel analysis of bilateral FDI flows
by Matthias Busse & Peter Nunnenkamp & Mariana Spatareanu - 153-160 Are revenue forecasts rational? Evidence surrounding Reg FD
by Pieter de Jong - 161-162 All-pay auctions with discrete action spaces
by James Boudreau - 163-166 FDI and human capital in the USA: is FDI in different industries created equal?
by Miao Wang - 167-172 Does purchasing power parity hold following the launch of the euro? Evidence from the panel unit root test
by Yi-Hua Wu & Eric Lin - 173-178 Simpler proofs in finance and shout options
by L. Ramprasath - 179-182 The impact of economic fluctuations on crime: a multiscale analysis
by Niclas Kruger - 183-187 Hypertension and life satisfaction: an analysis using data from the Survey of Health, Ageing and Retirement in Europe
by Stefania Mojon-Azzi & Alfonso Sousa-Poza - 189-192 Change in the persistence of the real exchange rates
by Sergio Gabas & Maria-Dolores Gadea & Antonio Montanes - 193-197 NFL bettor biases and price setting: further tests of the Levitt hypothesis of sportsbook behaviour
by Rodney Paul & Andrew Weinbach
2011, Volume 18, Issue 1
- 1-5 Assessing long-term fiscal developments: evidence from Portugal
by Antonio Afonso & Ricardo Sousa - 7-10 Who cut the cheese?
by P. S. Sephton - 11-15 The ECB's survey of professional forecasters and financial market volatility in the euro area
by Ivo Arnold & Michiel Glasbeek - 17-20 Female labour supply and parental leave benefits - the causal effect of paying higher transfers for a shorter period of time
by Annette Bergemann & Regina Riphahn - 21-28 Measuring performance in the Portuguese banking industry with a Fourier regression model
by Carlos Pestana Barros & Maria Rosa Borges - 29-37 Performance of European airports: regulation, ownership and managerial efficiency
by Rui Cunha Marques & Carlos Pestana Barros - 39-42 Conservative dichotomous choice responses in the active policy setting: the case of University Parking
by Clifford Lipscomb & Brandon Koford - 43-48 Diffusion of irrigation technologies: the role of mimicking behaviour and public incentives
by Marie-Estelle Binet & Lionel Richefort - 49-53 Analysis of determinants of airline choice: profiling the LCC passenger
by Jose Castillo-Manzano & Manuel Marchena-Gomez - 55-58 An optimizing framework for the glide paths of life cycle asset allocation funds
by Wade Pfau - 59-62 The level and growth effects of human capital in India
by B. Bhaskara Rao & Krishna Chaitanya Vadlamannati - 63-67 Revisiting purchasing power parity for major oil-exporting countries using panel SURADF tests
by Tsangyao Chang & Yang-Cheng Lu & Wen-Chi Liu & Shu-Chen Kang - 69-74 Changing volatility of long-term UK interest rates during Pax Britannica
by Gawon Yoon - 75-79 Cycle and performance of mutual funds - an application of spectral analysis
by Pao-Peng Hsu & Chen-Hui Yen & Ya-Hui Chang & Li-Ling Chou - 81-85 How stable is the seasonal pattern in cinema admissions? Evidence from the UK
by Chris Hand & Guy Judge - 87-93 Price level convergence across cities? Evidence from panel unit root tests
by Ho-Chuan Huang & Pei-Chien Lin & Chih-Chuan Yeh - 95-100 Firm, industry and corporation effects revisited: a mixed multilevel analysis for Chilean companies
by J. Tarzijan & C. Ramirez - 101-102 Transaction costs and iceberg costs
by Kjell Hausken & Galina Schwartz
2010, Volume 17, Issue 18
- 1747-1751 Oil demand and technical progress
by Hillard Huntington - 1753-1757 Global economic crisis and trade: the role of trade facilitation
by Allen Dennis - 1759-1765 Predicting the presidential election cycle in US stock prices: guinea pigs versus the pros
by Manfred Gartner - 1767-1768 The most simple methodology to create a valid correlation matrix for risk management and option pricing purposes
by Joseph Simonian - 1769-1781 Declining cost efficiency as a signal of increasing bank vulnerability: an entropy-based approach
by Lakshmi Balasubramanyan & Spiro Stefanou & Jeffrey Stokes - 1783-1788 Did the turmoil affect money-market segmentation in the Euro area?
by Paolo Zagaglia - 1789-1795 Seigniorage revenue or consumer revenue? Theoretical and empirical evidences
by Tatsuyoshi Miyakoshi - 1797-1803 The impact of a diagnosis-related group-based prospective payment experiment: the experience of Shanghai
by Jiale Zhang - 1805-1810 Thin trading and its impact upon herding: the case of Israel
by Aikaterini Andronikidi & Vasileios Kallinterakis - 1811-1817 Customer satisfaction and competencies: an econometric study of an Italian bank
by Paola Gritti & Nicolai Foss - 1819-1822 An efficient test of fiscal sustainability
by Vasco Gabriel & Pataaree Sangduan - 1823-1828 Modelling and forecasting mobile telecommunication services: the case of Greece
by Theologos Dergiades & Apostolos Dasilas - 1829-1833 The model-free measures and the volatility spread
by Jian Chen & Xiaoquan Liu - 1835-1839 A test of the present value model of stock prices under rational and adaptive expectations using Bursa Malaysia data from 1983 to 2003
by Nicky Yeong & Chong Mun Ho & Brian Dollery & Mori Kogid - 1841-1844 Regional determinants of manufacturing start-ups in Greece: evidence on the effect of agglomeration economies
by Irene Daskalopoulou & Panagiotis Liargovas
2010, Volume 17, Issue 17
- 1641-1646 Demand estimation when some prices are unobserved: an application to fresh lettuce
by Carlos Arnade & Daniel Pick & Munisamy Gopinath - 1647-1652 Who receives statins? Variations in physician prescribing patterns for patients with coronary heart disease
by Simon Condliffe & Charles Link & Bryan Townsend - 1653-1655 Currency, credit, confidence and bubbles
by Brian Jacobsen - 1657-1661 Movie producers and the statistical distribution of achievement
by Jordi McKenzie - 1663-1667 Can fighting grade inflation help the bottom line?
by Arthur Caplan & John Gilbert - 1669-1672 Bond portfolio duration, cash flow dispersion and convexity
by Donald Smith - 1673-1679 Race and gender differences in the cognitive effects of childhood overweight
by Susan Averett & David Stifel - 1681-1685 Strategic interactions and belief formation: an experiment
by Kyle Hyndman & Antoine Terracol & Jonathan Vaksmann - 1687-1690 Impact of trade freedom on per capita real GDP growth among OECD nations: recent panel data evidence
by Richard Cebula - 1691-1695 Impact of disaggregated ICT capital on electricity intensity in European manufacturing
by Ronald Bernstein & Reinhard Madlener - 1697-1701 Author and article characteristics, journal quality and citation in economic research
by Shi Young Lee & Sanghack Lee & Sung Hee Jun - 1703-1708 The determinants of default risk in Brazil
by Alex Luiz Ferreira - 1709-1713 Conditional entropy distribution of Istanbul stock market value
by Senay Asma - 1715-1719 How do children affect parents' allocation of time?
by Jose Ignacio Gimenez-Nadal & Miriam Marcen & Raquel Ortega - 1721-1727 Purchasing power parity for 15 COMESA and SADC countries: evidence based on panel SURADF tests
by Tsangyao Chang & De-Piao Tang & Wen-Chi Liu & Chia-Hao Lee - 1729-1733 The effectiveness of incentives to firms' outward internationalization
by Mariasole Banno & Lucia Piscitello - 1735-1738 Self-employment and time stress: the effect of leisure quality
by Jose Ignacio Gimenez-Nadal & Raquel Ortega-Lapiedra - 1739-1746 Bankruptcy prediction in Norway: a comparison study
by Rada Dakovic & Claudia Czado & Daniel Berg
2010, Volume 17, Issue 16
- 1543-1546 The urban-rural divide in the perception of the poverty line: the case of Russia
by Eugene Nivorozhkin & Anton Nivorozhkin & Ludmila Nivorozhkina & Lilia Ovcharova - 1547-1550 Firm growth and firm size
by Mark Rogers & Christian Helmers & Christoffer Koch - 1551-1553 Robust value-at-risk: an information-theoretic approach
by Joseph Simonian & Josh Davis - 1555-1558 More on the energy/nonenergy price link
by John Baffes - 1559-1564 Do 'African American' films perform better or worse at the box office? An empirical analysis of motion picture revenues and profits
by Jordi McKenzie - 1565-1569 Poverty and government transfers in the United States
by Dierk Herzer & Rainer Klump - 1571-1574 Managerial entrenchment and corporate bond financing: evidence from Japan
by Takanori Tanaka - 1575-1580 Purchasing power parity for 10 Latin American integration association countries: panel SURKSS tests
by Tsangyao Chang & Wen-Chi Liu & Chin-Ping Yu & Shuchen Kang - 1581-1585 The inflation protection from indexed bonds
by Andreas Reschreiter - 1587-1599 Volatility forecasting for crude oil futures
by Massimiliano Marzo & Paolo Zagaglia - 1601-1609 Nonlinearity in US macroeconomic time series
by Gawon Yoon - 1611-1613 The risk-adjusted costs of financial distress: a comment
by Martin Lally - 1615-1624 Exchange-traded funds in bullish and bearish markets
by Karen Wong & Wai Cheong Shum - 1625-1631 The decline in volatility of US GDP growth
by Daniel Burren & Klaus Neusser - 1633-1640 Time-varying real estate sensitivities of mortgage REITs
by Banghan Chiu & Ming-Te Lee & Ming-Long Lee & Kevin Chiang
2010, Volume 17, Issue 15
- 1437-1441 Long-term government bond yields and economic forecasts: evidence for the EU
by Antonio Afonso - 1443-1451 Trade policies, institutions and the natural resource curse
by Rabah Arezki & Frederick van der Ploeg - 1453-1459 Black and official market exchange rates and purchasing power parity: evidence from Latin America
by Mohsen Bahmani-Oskooee & Ali Kutan & Su Zhou - 1461-1464 The effects of rumours on financial market efficiency
by Uriel Spiegel & Tchai Tavor & Joseph Templeman - 1465-1468 The gender wage gap across the wage distribution in the private and public sectors in Sweden
by Roger Wahlberg - 1469-1474 A note on the subprime mortgage crisis: dynamic modelling of bank leverage profit under loan securitization
by Mark Adam Petersen & Mmboniseni Phanuel Mulaudzi & Janine Mukuddem-Petersen & Ilse Schoeman - 1475-1478 Should the US Congress appropriate funds for the repurchase of older vehicles?
by David Bernstein - 1479-1484 Recent peacekeeping burden sharing
by Hirofumi Shimizu & Todd Sandler - 1485-1491 Foreign exchange intervention and exchange rate volatility in Peru
by Alberto Humala & Gabriel Rodriguez - 1493-1496 Examining the CRB index as a leading indicator for US inflation
by Ram Acharya & Paul Gentle & Krishna Paudel - 1497-1501 SBTC versus trade: testing skill-premia evidence across 25 OECD countries
by Alexandre Almeida & Oscar Afonso - 1503-1507 Stock market integration in Mexico and Argentina: are short- and long-term considerations different?
by Fredj Jawadi & Mohamed El Hedi Arouri & Duc Khuong Nguyen - 1509-1511 Subsidies and awards in movie production
by Betty Agnani & Henry Aray - 1513-1516 Duration analysis of corporate bankruptcy in the presence of competing risks
by Sehoon Kwon & Sang Buhm Hahn - 1517-1523 Purchasing power parity for ASEAN-8 countries: panel SURKSS tests
by Tsangyao Chang & YiChun Zhang & Wen-Chi Liu - 1525-1530 Can intervention indices detect central bank's actual intervention behaviour?
by Yu-Ming Hsiao & Sheng-Chieh Pan & Po-Chin Wu - 1531-1535 Does fund manager herding vary over the business cycle?
by Hung-Hsi Huang & Rern-Jay Hung & Ching-Ping Wang & Yuan-Pei Hsieh - 1537-1541 Oil-induced stagflation: a comparison across major G7 economies and shock episodes
by Rebeca Jimenez-Rodriguez & Marcelo Sanchez
2010, Volume 17, Issue 14
- 1335-1340 Bounds testing cointegration methods and PPP: evidence from 123 Countries
by Mohsen Bahmani-Oskooee & Scott Hegerty - 1341-1345 Adverse selection, seller reputation and buyer insurance in online auctions for 1960s-era collectible baseball cards
by M. Ryan Haley & Lee Van Scyoc - 1347-1349 Is per capita real GDP stationary in China? More powerful nonlinear (logistic) unit root tests
by Tsangyao Chang & Yuan-Hong Ho & Steven Caudill - 1351-1354 Short-term wealth effects from debt buyback announcements
by Mark Schaub - 1355-1359 Spanish inter-regional migration: an enigma resolved
by Alan Mulhern & John Watson - 1361-1366 Using contingent valuation with undergraduate students to elicit a community's preferences for wind farm development
by Catherine Boulatoff & Carol Boyer - 1367-1371 Bankruptcy reform: evidence from a survey among judges and receivers
by Nico Dewaelheyns & Cynthia Van Hulle - 1373-1377 Fat-tails and house prices in OECD countries
by Victor Pontines - 1379-1382 Additional evidence of long-run purchasing power parity with black and official exchange rates
by Alper Aslan & Ferit Kula & Huseyin Kalyoncu - 1383-1387 Revisiting purchasing power parity for G7 countries: further evidence based on panel SURKSS tests
by Tsangyao Chang & Wen-Chi Liu & Chin-Ping Yu - 1389-1396 On the performance of a nonparametric measure of convergence towards purchasing power parity in the presence of linearity
by Gawon Yoon - 1397-1403 An analysis of the risk-return relationship in the Spanish capital market using a structural equation model
by Susana Iglesias Antelo & Jean-Pierre Levy Mangin - 1405-1415 Government size and economic growth: an application of the smooth transition regression model
by Song-Zan Chiou-Wei & Zhen Zhu & Yung-Hsing Kuo - 1417-1421 Electricity consumption and economic growth in Spain
by Aitor Ciarreta & Ainhoa Zarraga - 1423-1428 Modelling the dividend policy of banks in Gulf Cooperation Council countries
by Jasim Al-Ajmi - 1429-1435 On the valuation of American exchange options: an analytical approximation
by Andreas Andrikopoulos
2010, Volume 17, Issue 13
- 1229-1236 Asymmetries in the Thai lending-deposit rate spread: an econometric analysis
by Chu Nguyen & Anisul Islam - 1237-1239 Nonlinearity as an explanation of the forward exchange rate anomaly
by Derek Bond & Michael Harrison & Niall Hession & Edward O'Brien - 1241-1245 Order imbalances explain 90% of returns of Nikkei 225 futures
by Meng Li & Misao Endo & Shiwei Zuo & Kazuo Kishimoto - 1247-1253 Momentum in Taiwan: seasonality matters!
by Hsiao-Peng Fu & Andrew Wood - 1255-1263 Long run determinants and short run dynamics of inflation in Tunisia
by Thouraya Boujelbene & Younes Boujelbene - 1265-1271 An analysis of quasi-qualification, modified auditor opinions and special treatment status on China's Shenzhen market
by Donglin Pei & Philip Anthony Hamill & Kwaku Kyekyeku Opong - 1273-1277 The effects of zero interest rate commitment in Japan
by Kunihiro Hanabusa - 1279-1283 The relationship between the Vietnam stock market and its major trading partners - TECM with bivariate asymmetric GARCH model
by Hsu-Ling Chang & Chi-Wei Su - 1285-1292 Price clustering of IPOs in the secondary market
by Qiming Wang - 1293-1298 What factors discriminate developed and emerging capital markets?
by Guoma Alrgibi & Mohamed Ariff & Louis Murray - 1299-1304 Payout and asymmetric information
by Michel Rakotomavo - 1305-1308 Optimal gradual liquidation of equity from a risky asset
by Nikolai Dokuchaev - 1309-1312 The impact of subprime mortgage on correlation between stock and FX markets
by Hsiu-Yun Chang & Yen-Ching Kuo - 1313-1317 Determinants of bank failures in the US revisited
by Richard Cebula - 1319-1322 Do short sellers outperformthe market?
by Gil Cohen - 1323-1328 The comovements in international stock markets: new evidence from Latin American emerging countries
by Mohamed El Hedi Arouri & Mondher Bellalah & Duc Khuong Nguyen - 1329-1334 Revisiting purchasing power parity for East Asian countries: panel SURADF tests
by Tsangyao Chang & Chia-Hao Lee
2010, Volume 17, Issue 12
- 1133-1137 'Extended black' sovereign credit default swap pricing model
by Marco Realdon & Cheng Qin Shi - 1139-1144 Monetary policy and corporate bond yield spreads
by David Beckworth & Kenneth Moon & J. Holland Toles - 1145-1151 Testing for random walk in euro exchange rates using the subsampling approach
by Jorge Belaire-Franch & Kwaku Opong - 1153-1156 HAC standard errors and the event study methodology: a cautionary note
by George Ford & John Jackson & Sarah Skinner - 1157-1160 A note on model selection in (time series) regression models - general-to-specific or specific-to-general?
by Helmut Herwartz - 1161-1166 Betting on weight loss … and losing: personal gambles as commitment mechanisms
by Nicholas Burger & John Lynham - 1167-1171 Central bank independence and ageing
by Etienne Farvaque & Jerome Hericourt & Gaël Lagadec - 1173-1175 Does the 'Dogs of the Dow' strategy work better in blue chips?
by Terence Tai-Leung Chong & Kin Keung Luk - 1177-1182 'Marginal employment' and the demand for heterogeneous labour - elasticity estimates from a multi-factor labour demand model for Germany
by Ronny Freier & Viktor Steiner - 1183-1187 Correcting the Merton and Henriksson timing model
by Luis Ferruz & Fernando Munoz & Maria Vargas - 1189-1192 The weight of bad governance in foreign mutual funds
by Linus Wilson - 1193-1196 A corrected Value-at-Risk predictor
by Carl Lonnbark - 1197-1199 Asymmetric reimbursement system in an environmental conflict
by Sung-Hoon Park - 1201-1204 Ownership herding and informational herding
by Enrica Carbone - 1205-1208 What is the long run growth rate of the East Asian Tigers?
by B. Bhaskara Rao & Artur Tamazian & Rup Singh - 1209-1212 A reassessment of the twin deficits relationship
by Mark Holmes - 1213-1218 Between Mao and markets: new evidence on segmentation of the bank loan market in China
by Masanori Ohkuma - 1219-1222 Effect of price quoting on financial asset prices: an experimental analysis
by Tal Shavit & Shosh Shahrabani & Uri Benzion - 1223-1228 Purchasing power parity for G-7 countries: panel SURADF tests
by Tsangyao Chang & Wen-Chi Liu & Han-Wen Tzeng & Chin-Ping Yu
2010, Volume 17, Issue 11
- 1027-1031 Firm value and the diversification choice: international evidence from global and industrial diversification
by Stephen Ferris & Nilanjan Sen & Nguyen Thi Anh Thu - 1033-1036 On the look-out for a white knight: options-based calculation of probability and expected value of increased bids in hostile takeover battles
by Stefan Eichler & Dominik Maltritz - 1037-1041 Does the star power matter?
by Sang-Chul Jung & Myeong Hwan Kim - 1043-1047 Fiscal decentralization and fiscal consolidations in emerging market economies
by John Thornton & Olumuyiwa Adedeji - 1049-1053 Power properties of the CUSUM and CUSUMSQ tests for parameter instability
by Paul Turner - 1055-1062 Discriminating factors of women's employment
by Angela Cipollone & Carlo D'Ippoliti - 1063-1065 Defense planning and fiscal strategy
by Peter Berck & Jonathan Lipow & Yakir Plessner - 1067-1072 The micro-firm health insurance hypothesis
by Richard Cebula - 1073-1077 Long-run validity of purchasing power parity and rank tests for cointegration for Central Asian countries
by Venus Khim-Sen Liew & Ricky Chee-Jiun Chia & Tai-Hu Ling - 1079-1081 Multiple cyclical fractional structures in financial time series
by Guglielmo Maria Caporale & Luis Gil-Alana - 1083-1087 Long-run purchasing power parity and asymmetric adjustment in BRICs
by Hsu-Ling Chang & Chi-Wei Su & Meng-Nan Zhu & Pei Liu - 1089-1093 A survival analysis approach to the duration of union membership in Italy
by Andrea Vaona - 1095-1103 Willingness to pay for a clear night sky: use of the contingent valuation method
by Stephanie Simpson & Brid Gleeson Hanna - 1105-1109 Implicit amenity prices and the location of retirees in England and Wales
by J. Lee & G. Stewart - 1111-1114 Teacher moonlighting: evidence from the US Current Population Survey
by John Winters - 1115-1118 On the accuracy of Federal Reserve forecasts of the budget deficit-output ratio
by Hamid Baghestani - 1119-1123 Revisiting purchasing power parity for major OPEC countries: evidence based on nonlinear panel unit-root tests
by Hsu-Ling Chang & Chi-Wei Su - 1125-1132 Nonlinearity in real exchange rates: an approach with disaggregated data and a new linearity test
by Gawon Yoon
2010, Volume 17, Issue 10
- 925-931 A decomposition analysis of CO2 emissions in the United States
by Ferdinand Vinuya & Ferdinand DiFurio & Erica Sandoval - 933-937 More jobs for university graduates: some policy options for Tunisia
by Mohamed Ali Marouani - 939-944 Serial correlation, drift and range unit root testing
by Steven Cook - 945-949 Knightian uncertainty: evidence of uncertainty premium in the capital market
by James Ang & Carol Boyer