Content
1996, Volume 3, Issue 12
- 809-814 Inflation in developing countries
by Olugbenga Onafowora
1996, Volume 3, Issue 11
- 687-691 Non-convex cost and the behaviour of inventories: some disaggregate results
by Erkin Bairam - 693-695 Some questions concerning dynamic almost ideal demand systems
by David Edgerton & Ghazi Shukur - 697-700 Velocity and the variability of anticipated and unanticipated money growth in Malaysia
by Azali Mohamed - 701-706 Long-term stochastic dependence in financial prices: evidence from the German stock market
by Thomas Lux - 707-710 Sources of structural change: an input-output decomposition analysis for Greece
by George Korres - 711-714 The human capital augmented Solow model revisited
by Harold Brumm - 715-718 Claims' estimation in multiproduct life insurance firms: preliminary United Kingdom results
by Philip Hardwick & Michael Adams - 719-720 Another note on Oswald's 'The Economic Theory of Trade Unions'
by Stein Ostbye - 721-724 On the effects of money on the terms of trade: an empirical investigation
by Mohsen Bahmani-Oskooee & Ghiath Shabsigh - 725-728 A factor analysis of equity market relationships in Asia
by Tony Naughton - 729-731 Kaldor's technical progress function: a comment
by Paul Hansen - 733-735 The applicability of industrial organization theory to the services sector: initial tests from the UK hotel industry
by B. Davies & P. Downward - 737-738 Suicide and business cycles: Finnish evidence
by Matti Viren - 739-741 Continuous Degrees of Residual Claimancy: Some Contractual Evidence
by Darlene Chisholm - 743-747 How close to their offensive potential do national football league teams play?
by Richard Hofler & James Payne
1996, Volume 3, Issue 10
- 625-627 A turning-point diagnostics analysis on the accuracy of the OECD forecasts for Turkey
by Dikaios Tserkezos - 629-635 Testing for a unit root in a time series with mean shifts
by Param Silvapulle - 637-640 Mergers and acquisitions in the UK: a disaggregated analysis
by Marcelo Resende - 641-644 Public expenditure and Private investment: a study of the UK and the USA
by Mehdi Monadjemi - 645-648 Call-put signal predicts Finnish stock returns
by Teppo Martikainen & Vesa Puttonen - 649-651 Wage discrimination: a statistical test
by Keshab Shrestha & Chris Sakellariou - 653-657 Estimating the cost of capital of the UK's newly privatized utilities
by Andrew Clare & Richard Priestley - 659-661 The gloomy mists of the 1960s: pricing of investment trust shares without data on net asset value
by M. J. Prior - 663-667 The weak-form efficiency of the Taiwan share market
by Chris Fawson & Terry Glover & Wenshwo Fang & Tsangyao Chang - 669-672 Consumer demand for poultry at home and away from home: a discrete choice analysis
by Rodolfo Nayga - 673-676 Time series analysis of settlement prices for individual currency futures in Singapore
by John Sequira - 677-682 A modified human development index and international comparison
by Satya Paul - 683-685 A note on fractional cointegration
by Peter Sephton
1996, Volume 3, Issue 9
- 557-561 Multi-product cost functions and the funding of tuition in UK universities
by Geraint Johnes - 563-566 Sources of fluctuations in Australian imports
by Lance Fisher & Hyeon-Seung Huh - 567-570 Foreign trade and economic growth evidence from Sri Lanka, 1960-1992
by Anoma Abhayaratne - 571-572 Some problems with modelling asset returns using the elliptical class
by Babak Eftekhari & Stephen Satchell - 573-576 Child Labour in American Imports
by Baban Hasnat - 577-579 Labour mobility in Australian industry
by Sue Kilpatrick & Bruce Felmingham - 581-585 Velocity instability in the USA: a monetary or real phenomenon?
by Parantap Basu & Pami Dua - 587-590 A test of a modern version of the Solow model
by George Tzanidakis & Theo Kirizidis - 591-593 Teacher-associated expenditures and student achievement
by Melvin Borland & Roy Howsen - 595-597 Economic freedom, per capita income and economic growth
by Sadequl Islam - 599-602 The new Keynesian economics and the output-inflation trade-off
by George Katsimbris & Stephen Miller - 603-605 Australian government sector initial public offerings
by Stephen Easton & Sean Pinder - 607-609 Functional form in regression models of Okun's law
by Christian Weber & James West - 611-614 Industry concentration-profitability relationship and competition policy: is there a critical concentration level?
by Ravi Ratnayake - 615-619 On the identification of the Barten-Gorman model: an example within the AIDS framework
by Federico Perali & Thomas Cox - 621-624 Using panel data to estimate Engel functions: food consumption in China
by Guang Wan
1996, Volume 3, Issue 8
- 495-499 On the single and multiple time trends representation of technical change
by Almas Heshmati - 501-503 An alternative estimation method for the OCE model
by Yoshiko Kuwahara & Yasushi Ohkusa - 505-509 Deficits, inflation and central banks' independence: evidence from developing nations
by K. H. Brown & M. Yousefi - 511-515 Overeducation and the formal education/experience and training trade-off
by P. J. Sloane & H. Battu & P. T. Seaman - 517-520 Does Europe have an integrated capital market? Evidence from real interest parity tests
by Imad Moosa & Razzaque Bhatti - 521-524 How small firms forecast short-term employment: some survey evidence
by John Ashworth & Peter Johnson & Cheryl Conway - 525-528 Ricardian equivalence, budget deficits, and saving in the United States, 1955:1-1991:4
by Richard Cebula & Chao-Shun Hung & Neela Manage - 529-532 Consumption growth and the intertemporal elasticity of substitution: some evidence from income quintile groups in Japan
by Shigeyuki Hamori - 533-536 Annualized versus non-annualized lifetime income redistribution
by Jan Nelissen - 537-540 Information noise and stock return volatility: evidence from Germany
by G. Geoffrey Booth & Mustafa Chowdhury - 541-544 On the determinants of households' consumption inequality: an empirical analysis for Japanese workers' households
by Mototsugu Fukushige - 545-548 Strikes and profits: considering an asymmetric information model
by Karen Mumford - 549-552 On the relationship between money and inflation in the United States: additional evidence
by Benjamin Cheng - 553-555 The Fisher effect and the gold standard: evidence from the USA
by Taufiq Choudhry
1996, Volume 3, Issue 7
- 423-426 Common trends and common cycles under alternative exchange rate regimes
by Maria Simona Andreano & Giovanni Savio - 427-429 The dynamics of OECD forecasts for Greece
by Dikaios Tserkezos - 431-434 A new method for investigating the relationship between strikes and absenteeism
by David Sapsford & Peter Turnbull - 435-440 Hedonic prices for environmental and safety characteristics and the Akerlof effect in the French car market
by C. Couton & F. Gardes & Y. Thepaut - 441-444 Impacts of government policies, economic conditions, and past migration on net migration in the USA: 1992-93
by Yu Hsing - 445-449 An analysis of bid-ask spreads on American-and European-style index options
by Owain Ap Gwilym & Mike Buckle - 451-454 The effects of a North American free trade agreement on the US glassware market
by Kenneth Reinert & Gina Scorza - 455-458 The role of reputation capital in the investment banking industry
by Paul Brockman - 459-462 An additive tax and subsidy for controlling automobile pollution
by Robert Kohn - 463-466 A non-parametric approach to identifying the sources of cost savings arising from competitive tendering
by Robert McMaster - 467-469 About the stability of the inventory-sales ratio: an empirical study with US sectoral data
by Melika Ben Salem & Jean-Francois Jacques - 471-474 Hospital costs in Catalonia: a stochastic frontier analysis
by Adam Wagstaff & Guillem Lopez - 475-482 Ownership and efficiency differentials in chinese industry: further evidence from data envelopment analysis
by Michael Ka-Yiu Fung & Ken Kai-Hong Wan - 483-485 What opportunity cost of holding real balances? The case of Greece 1978-1993
by Nicholas Apergis - 487-490 Are the Greek budget deficits too large?
by Stilianos Fountas & Jyh-Lin Wu - 491-494 Technical efficiency of the Ugandan matoke farms
by Almas Heshmati & Yilma Mulugeta
1996, Volume 3, Issue 6
- 365-368 US budget deficits, inflation and exchange rate: a cointegration approach
by Matiur Rahman & Muhammed Mustafa & Eldon Bailey - 369-373 Exports and economic growth: evidence from cross-country analysis
by Nadeem Burney - 375-378 Do fiscal variables affect private consumption? Evidence from Australia and the United States
by Mehdi Monadjemi - 379-383 Do prices move counter-cyclically?
by Torben Andersen & Niels Lynggard Hansen - 385-389 Consumer expenditure in South Africa: a time-series model
by David Fielding - 391-394 Attendance demand: an investigation of repeat fixtures
by David Peel & Dennis Thomas - 395-399 Mexico's futile attempt to defy purchasing power parity
by Atrayee Ghoshroy-Saha & Hendrik Vann De Berg - 401-403 On the characteristics of tariff rates: permanent or temporary shocks?
by Jai Mah - 405-407 Charts as signals in Markov switching world
by Hans Dewachter - 409-411 The impact of exchange rate adjustment on output: Jamaica 1960-90
by Derick Boyd - 413-416 Misspecification and cross-country growth regressions
by Scott McDonald & Jennifer Roberts - 417-422 The effects of welfare guarantee levels and tax rates on male labour supply
by Howard Gensler
1996, Volume 3, Issue 5
- 285-288 On the high correlation between unemployment and the dispersion of industrial unemployment
by Jing Lu - 289-292 A model of state-level prescription drug expenditures in the USA
by Chutima Suraratdecha - 293-297 The effect of charter status on savings and loan resolution costs
by Steven Caudill & Daniel Gropper & Tracy Stephens - 299-301 Causality between advertising and sales: new evidence from cointegration
by Junsoo Lee & B. S. Shin & In Chung - 303-305 The distribution of futures prices: diffusion-jump versus generalized beta-2
by Kyle Stiegert & B. Wade Brorsen - 307-309 Can factor proportions explain vertical intra-industry trade?
by Johan Torstensson - 311-315 Assortative mating and ethnicity in the low wage population: an examination of spouses' earnings
by Michael Zimmer - 317-323 IGARCH effect on autoregressive lag length selection and causality tests
by Alain Hecq - 325-328 Bank credit in the ERM: an investigation of the role of Germany
by Mark Holmes - 329-332 Can an increase in national saving reduce the level of unemployment in Australia?
by Abdul Latif - 333-340 Transfer pricing by the Canadian oil industry: a company analysis
by Jean-Thomas Bernard & Eric Genest-Laplante - 341-344 Export-led growth and the US economy: another look
by Jang Jin & Eden Yu - 345-348 Dividends with no taxes: evidence from Hong Kong
by Kok Chew Lim - 349-354 Comparative stability analysis of demand-side and supply-side input-output models: the case of Japan, 1960-90
by Ranko Bon & Tomonari Yashiro - 355-358 The form of the production function for the Chinese regional economy
by Erkin Bairam - 359-364 Instability in trade flows as a cause of economic stagnation in Africa: an error-correction test
by Muhammed Islam
1996, Volume 3, Issue 4
- 205-207 Married female labour force participation: an analysis of probit model with a natural non-participation rate
by Weiren Wang - 209-211 Estimating the degree of dominance in a bilateral oligopoly
by Azzeddine Azzam - 213-215 Black market trade: an example from a rural hospital in Kenya
by Germano Mwabu & Joseph Wang'ombe - 217-219 Duration of first marriage: does pre-marital cohabition matter?
by Yannis Georgellis - 221-223 Mergers and market power in the US steel industry
by Craig Gallet - 225-231 Does simultaneity exaggerate empirical tests of the trade-growth relationship?
by Hendrik Van den Berg - 233-235 The risk premium on the Australian dollar in the 30-day forward market
by Bruce Felmingham - 237-241 Is Spanish consumer behaviour consistent with the utility maximization? A non-parametric response
by Jose Alberto Molina - 243-246 Financial deepening and economic growth in developing economics
by John Thornton - 247-249 Unanticipated income and consumption in ASEAN countries
by J. Thornton & P. Molyneux - 251-254 Sources of fluctuations in exchange rates: a structural VAR analysis
by Nicos Apergis & Costas Karfakis - 255-257 The adjustment of nominal interest rates in Mexico: a study of the Fisher effect
by John Thornton - 259-265 Convergence to steady state growth: a model for Japan (1965-90)
by Jati Sengupta & Kumiko Okamura - 267-269 Testing for deterministic nonlinear dependence in the australian dollar-US dollar exchange rate series
by Apostolos Serletis & Paul Dormaar - 271-273 Merger failure and merger profitability: an alternative to the Hviid and Prendergast model
by Xeni Dassiou & Peter Holl - 275-279 Export-import endogeneity in the context of the Thirlwall- Hussain model: an application of the Durbin-Wu-Hausman test incorporating a Monte Carlo experiment
by Robert Mulligan - 281-283 The determinants of technological protectionism
by Vasanthakumar Bhat
1996, Volume 3, Issue 3
- 135-137 Share price movements: a study of four OECD countries
by Mehdi Monadjemi & Len Perry - 139-143 Conceptualizing suicide in economic models
by Bijou Yang & David Lester - 145-148 Merger and the returns to labour and investment
by George Bittlingmayer - 149-153 Unemployment as a constraint on labour supply and goods demand in Spain
by Inmaculada Garcia & Jose Alberto Molina - 155-157 Extended critical values for a simple test of cointegration
by Peter Sephton - 159-161 Is equality really growth-promoting?
by Rasha Torstensson - 163-165 The allocative efficiency of the formal versus the informal financial sector
by Robert Lensink - 167-169 Disaggregate inventory-sales ratios over time: the case of US companies and corporations, 1976-92
by Erkin Bairam - 171-173 Non-linearities in the returns to education: sheepskin effects or threshold levels of human capital?
by Harry Anthony Patrinos - 175-178 Derived demands for 'General Cargo' shipping in Spain, 1975-1992, an economic approach
by Pablo Coto Millan & Jose Banos Pino - 179-182 Consumer attitudes toward trade liberalization
by David Denslow - 183-184 Logit regressions with continuous dependent variables measured with error
by Richard Manning - 185-186 The slowdown in US economic growth: a comment
by Alan King & Robert Alexander - 187-188 Performance of structural change indices: analysis using real and simulated data
by Ciaran Driver & Chit-Wei Saw - 189-191 Impact of cholesterol information on US egg consumption: evidence from consumer survey data
by Qingbin Wang & Helen Jensen & Steven Yen - 193-195 Testing the (S,s) model of inventory investment with Canadian wholesale trade data
by Athanasios Episcopos - 197-200 On improvements of Phillips-Perron unit root tests using optimal bandwidth estimates
by Junsoo Lee & Dante Mossi - 201-204 Motivations that underlie the subscription prices in common stocks rights offerings: public utilities
by Majed Muhtaseb
1996, Volume 3, Issue 2
- 67-70 Used car markets: reliability does matter, but do Consumer Reports?
by David Yerger - 71-72 The spatial correlation of the per capita income of Florida's counties, 1970-1990
by Henri Theil & Dongling Chen & Janet Galvez - 73-75 Surprises in the consumption function: a comparative study
by Sadequl Islam - 77-80 Time series evidence on the saving-investment relationship
by John Barkoulas & Alpay Filizetkin & Robert Murphy - 81-83 Stock price and expected dividends: evidence from Singapore
by Gan Wee-Beng & Soone Le Ying - 85-88 Does welfare cause increases in female-headed households?
by John Rogers & Michael Greene & Emily Hoffnar - 89-90 The determinants of Greek manufacturing investment: a comment
by Athanassia Xenaki - 91-94 Systematic measures of dynamic Farrell efficiency
by Jati Sengupta - 95-99 A market share model for vegetable and tropical oils
by A. D. Owen & K. Chowdhury & J. R. R. Garrido - 101-105 Money, output, price and causality in mainland China
by Mohammad Hasan & Majid Taghavi - 107-108 Resale price maintenance and antitrust policy
by Antony Dnes - 109-113 Global macroeconomic shocks, time-varying covariances and tests of the international CAPM
by Andrew Clare & Raymond O'Brien & Peter Smith & Stephen Thomas - 115-119 Decomposition of Gini coefficients by class: a new approach
by Shujie Yao & Jirui Liu - 121-123 Testing the efficient market hypothesis using panel data, with application to the Athens stock market
by E. Dockery & M. G. Kavussanos - 125-126 The irrelevance of adjustment costs for investment determination
by Michael Sumner - 127-130 Cyclical unemployment: sectoral shifts or aggregate disturbances? A vector autoregression approach
by Tony Caporale & K. Doroodian & M. R. M. Abeyratne - 131-134 State economic growth and international export orientation
by Frank Hack & Ashish Vaidya
1996, Volume 3, Issue 1
- 1-4 Corporate growth and the equity-debt choice
by B. M. Burton & A. A. Lonie & D. M. Power - 5-7 Purchasing power parities and consumer theory
by Adam Szulc - 9-13 The degree of capital mobility in Thailand: some estimates using a cointegration approach
by Rungsun Hataiseree & Anthony Phipps - 15-19 The impact of political shocks on cointegrated exchange rate series
by Rita Biswas & Hany Shawky - 21-23 Speed of adjustment and estimation of the partial adjustment model
by Marcus Chambers - 25-27 The determinants of student loan take-up in the United Kingdom: another gaze
by Vernon Gayle - 29-32 An investigation of cointegration and causality between fertility and female labour force participation
by Benjamin Cheng - 33-36 Effectiveness of simple technical trading rules in the Hong Kong futures markets
by Mahendra Raj & David Thurston - 37-39 Aggregate health care expenditure in the United States: evidence from cointegration tests: a comment
by Alan King & Paul Hansen - 41-44 Is the Fisher effect robust? Further evidence
by Ky-Hyang Yuhn - 45-48 Maximum likelihood estimation of market share models with large numbers of shares
by P. M. C. de Boer & R. Harkema & A. J. Soede - 49-51 A note on unemployment rates and the paper-bill spread
by Christian Weber - 53-54 Persistence of economic growth and its determinants: some evidence for South Korea and India
by Sadequl Islam - 55-57 Finite sample behaviour of GNR tests for serial correlation
by Erkin Bairam - 59-61 An experimental investigation of direct subjective discount rates
by Uri Benzion & Alon Granot & Joseph Yagil - 63-66 Spot price volatility, information and futures trading: evidence from a thinly traded market
by Phil Holmes
1995, Volume 2, Issue 12
- 463-466 Assessing health care infrastructure at the regional level: a statistical approach
by Jaume Puig Junoy & Angel Lopez Nicoĺs - 467-468 The ex-dividend day behaviour of Finnish restricted and unrestricted shares
by Pekka Hietala & Matti Keloharju - 469-472 Academic staff salaries: equity and exploitation
by Mark Baimbridge - 473-477 A note on tobacco product prices in the Australian CPI
by Terry Maxwell Alchin - 478-481 An alternative approach to testing uncovered interest parity
by Razzaque Bhatti & Imad Moosa - 482-483 The supply side effects of inflation in the United States: evidence from multifactor productivity
by David Smyth - 484-486 On the relationship between the debt ratio and debt maturity
by Jakob De Haan & Bernd Jan Sikken & Andrew Hilder - 487-490 Quasi-real bonds: inflation-indexing that retains the government's hedge against aggregate-supply shocks
by David Eagle & Dale Domian - 491-494 History versus expectations: test of new growth theory
by Jati Sengupta & Kumiko Okamura
1995, Volume 2, Issue 11
- 415-418 Asymmetry in the variance of economic activity: evidence for long-run UK GDP
by David Peel & Alan Speight - 419-421 Aggregate health care expenditure in the United States: new results
by N. R. Vasudeva Murthy & Victor Ukpolo - 422-427 Nonlinearities in business cycle: SETAR models and G7 industrial production data
by Mauro Gallegati & Domenico Mignacca - 428-431 A measure of persistence in daily pound exchange rates
by Christopher Brooks - 432-436 The relationship between real long-short interest spread differentials and real exchange rates
by Kofi Amoateng - 437-439 Are devaluations effective in inducing real depreciations in sub-Saharan Africa?
by W. A. Razzak - 440-443 Equilibrium models of asset pricing with progressive taxation and tax evasion
by Xuejun Wang - 444-448 Velocity and the variability of anticipated and unanticipated money growth: a cross-country comparison
by Gerald Lynch & Bradley Ewing - 449-456 Market reactions to several popular trend-chasing technical signals
by Michael Wong - 457-459 Relative price dispersion and inflation: evidence from Taiwan's hyperinflation
by Jin-Tan Liu - 460-462 Inflation uncertainty and real economic activities
by Kiseok Lee & Shawn Ni
1995, Volume 2, Issue 10
- 321-322 Optimal time-phasing of investment: a consolidated spurious model
by Joan Pasqual & Jose Antonio Tarrio - 323-326 Autocorrelations, returns and Australian financial futures
by Robert Brooks & Paul Michaelides - 327-330 A note on forecasting the CAC 40 and DAX stock index futures
by Andrew Clare & Joelle Miffre - 331-334 Returns and firm size: A note on the UK experience 1970-1991
by Patricia Fraser - 335-338 Information shares in Canadian agricultural cash and futures markets
by Paul Brockman & Yiuman Tse - 339-342 A time-varying parameter consumption model for the UK
by Haiyan Song - 343-346 Satellite broadcasting and match attendance: the case of rugby league
by Mark Baimbridge & Samuel Cameron & Peter Dawson