Content
April 2023, Volume 30, Issue 7
- 991-999 Forecasting exchange rate markets' volatility of G7 countries: will stock market volatility help?
by Feipeng Zhang & Zhao Zhang
March 2023, Volume 30, Issue 6
- 701-705 The relationship between foreign and domestic employment of multinationals: evidence on the role of factor substitution
by Seungrae Lee & Seongman Moon - 706-709 Ethnic diversity and natural disaster mortality: evidence from the 2011 Tohoku tsunami
by Takeshi Miyazaki - 710-718 The effects of dialect distance on the migrant population’s settlement intentions: evidence from the china migrants dynamic survey
by Ping Zhang & Cuicui Hong & Jia Yan & Qiong Li & Hongyu Guan - 719-723 Has consumption inequality mirrored income inequality: new evidence from a Korean household panel
by Sanguk Kwon & Shawn Ni - 724-734 The effect of investor protection on firm riskiness and performance during the COVID-19 economic crisis
by Thi Thuy Anh Vo & Mieszko Mazur - 735-739 Set-level strategic and psychological momentum in best-of-five matches in professional tennis
by Craig A. Depken & John M. Gandar & Dmitry A. Shapiro - 740-750 Income allocation of ‘insurance + futures’ with risk modified Shapley value method
by Haiping Wang & Sining Xu - 751-756 Stock liquidity and activist blockholders: friend or foe?
by Yee-Ee Chia & Ricky Chee-Jiun Chia & Jude W. Taunson - 757-760 Do right-to-work laws reduce financial constraints of firms? Evidence from Michigan and Indiana companies
by Vijay Gondhalekar & Landon Klausing & Christopher Harper - 761-765 Bitcoin, gold, and the VIX: short- and long-term effects of economic policy uncertainty
by Jose Arreola Hernandez & Mohammad Zahid Hasan & Ron P. McIver - 766-771 The effects of the job retention programme during the Covid pandemic on the Chilean firms and households
by José Cristi & Carlos Madeira - 772-779 Wage share and economic growth: evidence from Eastern Europe
by Dan Lupu & Dumitru-Nicușor Cărăusu & Mihaela Ifrim - 780-785 Relationship between protecting innovation and R&D partners: focusing on moderation effect
by Jikyoung Kim - 786-789 Restructuring U.S. meatpacking as a resilience strategy against capacity disruptions: will it work?
by Azzeddine Azzam - 790-795 COVID-19 wage subsidies and SME performance: evidence from Russia
by Ruslan Kuchakov & Dmitriy Skougarevskiy - 796-802 Your assessment is welcome here: the trade impacts of mutual recognition agreements
by Juan S. Blyde - 803-810 How do retail investors react to a market crash? The role of investment literacy
by Hohyun Kim & Kyoung Tae Kim - 811-815 Is Google Trends a quality data source?
by Eduardo Cebrián & Josep Domenech - 816-821 AI technologies and employment: micro evidence from the supply side
by Giacomo Damioli & Vincent Van Roy & Daniel Vertesy & Marco Vivarelli - 822-826 The role of venture capital in merger and acquisition performance
by He Song & Shan Wan - 827-833 Measurement Methods for Relative Index of Financial Inclusion
by Dan-Dan Li & Zheng-Xin Wang - 834-837 Can reducing inequality reduce the disutility of the poor?
by Ed Wilson & Reetu Verma & Kankesu Jayanthakumaran - 838-842 Financial leverage interactions: evidence from US households and government sectors
by Cheng Li - 843-849 Do funds prefer longitudinal persistence for high and low earnings?
by Qianhua Lei & Yue Yang & Saisai Li & Huili Chen - 850-853 Does the country’s institutional quality enhance the role of risk governance in preventing bank risk?
by Quang Khai Nguyen & Van Cuong Dang
March 2023, Volume 30, Issue 5
- 553-561 Can working hard make one rich? Evidence from online content contributors
by Xuejing Ma - 562-565 Are socially responsible investment funds seasonal?
by Mercedes Alda & Ruth Vicente - 566-571 Insurer capital, technology choices, and performance during a trade war
by Jyh-Horng Lin & Shi Chen & Chuen-Ping Chang - 572-576 The causal relationship between economic policy uncertainty and stock indices in OECD and non-OECD countries: evidence from time-varying Granger causality tests on a lag-augmented VAR model
by Hiroshi Ono - 577-581 COVID-19, social distancing, and economic growth
by Pu Liao & Fei Li & Bingqing Li & Xun Zhang - 582-595 Endogenous consumption driving and sustainability of macroeconomic development in post-coronavirus China
by Xiaohui Shu & Yangkuo Li & Guang Tian - 596-601 A social interaction model with both in-group and out-group effects
by Wenyu Zhou - 602-607 The time-varying dynamics of systematic fiscal policy
by Jia Ji - 608-614 Mobility and economic activity around the world during the Covid-19 crisis
by Tea Gamtkitsulashvili & Alexander Plekhanov - 615-619 Geographic difference-in-discontinuities
by Kyle Butts - 620-625 Networks and family firm performance: some evidence from Italy
by Francesco Aiello & Paola Cardamone & Lidia Mannarino & Valeria Pupo - 626-634 An environmentally related policy impact analysis considering wind effect: evidence from suspending old coal-fired generators in South Korea
by Donggyu Yi & Jae-Hoon Sung - 635-639 Covid-19 and life satisfaction across Europe
by Ronald Bachmann & Myrielle Gonschor & Thorben Korfhage & Ansgar Wübker - 640-644 Business cycle synchronization within the Euro area: disentangling the effects of FDI
by Lubica Stiblarova - 645-648 Offering makeup exams: do teachers care ‘what happened’?
by Joshua J. Lewer & Colin Corbett & Tanya M. Marcum & Jannett Highfill - 649-656 A water stress perspective on the UK’s water footprint
by Grant Allan & Rhona Lochhead & Scott McGrane - 657-662 Is it better to support tourism after pandemic regionally or globally? Case of European Union from the socio-economic perspective
by Milan Dźogan & Roman Lacko & Zuzana Hajduová - 663-668 Remittances, unemployment, growth and development: a panel cointegration approach
by Ayse Sevencan - 669-673 Impacts of COVID-19 on financial markets: from the perspective of financial stress
by Xiaoyang Yao & Jianfeng Li & Zezhong Shang & Wei Le & Jianping Li - 674-677 Does On-stage Performance of Esports Teams Impact Stock Prices: Evidence From the Astralis Group
by Shuxin Li & Nobuya Takezawa & Jiaxi Zhou - 678-682 Racial segregation in urban consumption
by Hayoung Kim - 683-688 Inquiry letter supervision and stock price informativeness-research based on the stock price non-synchronicity
by Hui Zhou - 689-694 Research on the policy effect of Free Trade Zone on regional innovation capability: evidence from China
by Xi Lin & Langping Leng & Ying Qiu - 695-699 The effects of temporary workers on firms’ financial performance: evidence from China
by Xiaoye Qian & Haiqian Wang
February 2023, Volume 30, Issue 4
- 405-409 Culture of Social Integration: How Extractive Colonialism Promotes Contemporary Individual Income
by Tong Fu & Yuanyuan Li & Dawei Feng - 410-415 An optimal weighted machine learning model for detecting financial fraud
by Minghuan Shou & Xueqi Bao & Jie Yu - 416-422 COVID-19 impact on the Spanish stock exchange with mean-variance and diversification-based portfolios
by Luisa Martínez-Nieto & Francisco Fernández-Navarro & Teresa Montero-Romero & Mariano Carbonero-Ruz - 423-428 Dynamics of capital account and current account in India: Evidence from threshold cointegration with asymmetric error correction
by Lingaraj Mallick & Smruti Ranjan Behera & RV Ramana Murthy - 429-434 On the social discount rate for South American Countries
by Marcelo J. Villena & Hugo Osorio - 435-440 Effect of private capital in rival projects on public-private partnership adoption in China
by Jingbing Feng & Tao Zhang - 441-444 Peer gender composition and non-cognitive factors
by Cody Orr - 445-449 Institutional quality, insurance markets, and economic growth: evidence from pooled mean group estimation
by Rudra P. Pradhan & Sahar Bahmani & Rebecca Abraham - 450-455 Firm-specific investor sentiment, stock price synchronicity, and crash risk
by Zhida Zhang & Runqiu Chen & Qi Luo - 456-461 Zombie firms and corporate innovation: a double distortion effect—empirical evidence from China
by Xiaolin Yu & Fan Wu & Kai Wan & Tsangyao Chang - 462-465 Money, financial depth and economic growth in orthodox communist nations: the case of Cuba
by Reynaldo Senra Hodelin - 466-471 Financial assets and happiness: evidence from the China Household Finance Survey
by Yajie Qiao & Yunchao Cai - 472-477 Forecasting Spanish economic activity in times of COVID-19 by means of the RT-LEI and machine learning techniques
by Carlos Poza & Manuel Monge - 478-483 The asymmetric impacts of international portfolio flows on Australian dollar returns
by Jui-Chuan Della Chang & Kuang-Liang Chang - 484-487 Is ESG-ness the vaccine?
by Fabio Pizzutilo - 488-495 Child penalties across industries: why job characteristics matter
by Sébastien Fontenay & Thomas Murphy & Ilan Tojerow - 496-500 A note on Schumpeter’s innovation hypothesis
by Dennis L. Weisman - 501-509 Does cash conversion cycle affect cost of equity capital?
by Jaywon Lee & Hyung Tae Kim & Sangshin Pae - 510-515 The impacts of COVID-19 on the dependence structure of the stock market
by Jong-Min Kim & Hojin Jung - 516-523 The impacts of ESG performance and digital finance on corporate financing efficiency in China
by Kai Chang & Xiaochang Cheng & Yiran Wang & Qiming Liu & Jie Hu - 524-530 International environmental agreements with the formation of multiple coalitions
by Nobuyuki Takashima - 531-535 On the political determinants of wide-body aircraft sales, 1974–89
by Tobias Alexander Jopp & Mark Spoerer - 536-542 Unemployment and obesity during the great recession: evidence from US county panel data
by Elwin Tobing - 543-547 Quality of public governance and voluntary tax payment: experimental evidence from Indonesia
by Dwi Krisnanto & Endra Iraman & Yoshikuni Ono & Makoto Kakinaka - 548-552 Does high investment lead to high efficiency in Chinese Super League clubs?
by Mu Fan & Fei Liu & Qing Yi & Bo Gong
February 2023, Volume 30, Issue 3
- 249-254 Credit cards and the floating rate channel of monetary policy
by Daniel Grodzicki - 255-258 Baby-cut carrots as convenience incentives – quality-based price discrimination on retail fresh-cut produce
by Xiao Dong - 259-263 Will high-speed rail bring cleaning effect to the cities? Evidence from China
by Chao Zhong & Hongbo Cai & Qiaoling Shi - 264-268 Integration of financial markets during COVID-19: a dynamic correlation analysis on Euronext
by Christian Espinosa-Méndez - 269-274 The effect of oil uncertainty shock on real GDP of 33 countries: a global VAR approach
by Afees A. Salisu & Rangan Gupta & Abeeb Olaniran - 275-279 Investment tax incentives and firm productivity: evidence from Thailand
by Athiphat Muthitacharoen - 280-284 Do Government R&D Subsidies Stimulate Corporate R&D Investment? Evidence from a Quasi-natural Experiment
by Ying Wu & Yi Zhang & Lihui Tian - 285-291 How do global audiences of TV shows take shape?: Evidence from Netflix
by Moonkyoung Jang & Dokyung Kim & Hyunmi Baek - 292-296 Testing for dummy-variable effects in semi-logarithmic regressions
by McKinley L. Blackburn - 297-301 COVID-19 and the forward-looking stock-bond return relationship
by Xiaojing Cai & Yingnan Cong & Ryuta Sakemoto - 302-318 Climate derivatives strategies as an alternative to set up guaranteed prices for agricultural producers in México
by Salvador Cruz-Aké & Reyna Susana García-Ruiz & Francisco Venegas-Martínez - 319-323 Gender gap in reservation wages and the choice of education field
by Ewa Cukrowska-Torzewska - 324-330 How sensitive are sports fans to unemployment?
by J. James Reade & Jan C. Van Ours - 331-335 The nonlinear relationship between banks competition and financial stability in China
by Shehong Hou - 336-342 Nonlinear impacts of information and communications technology investment on industrial structure upgrading: the role of marketization
by Meng Yan & Chaoxian Wang & Weidong Zhang - 343-348 Labour demand in the time of post-COVID-19
by Thomas Patten Krumel & Corey Goodrich & Nathan Fiala - 349-354 Junk Stocks vs Quality Stocks, A Perspective from Mood Seasonality
by Rui Li & Ruozhou Liu & Zili Zhang & Xuejun Zhao - 355-359 The impact of the public pension system on wealth inequality. The distribution of augmented wealth in Poland
by Marcin Wroński - 360-366 Baltic dry index and global economic policy uncertainty: evidence from the linear and nonlinear Granger causality tests
by Ruzhao Gao & Yueqiang Zhao & Bing Zhang - 367-370 Household factors affecting confidence in financial institutions
by James P. Dow - 371-378 Time-varying Granger causality between the stock market and unemployment in the United States
by Vincent Fromentin - 379-383 Sticky cost theory and firm’s evolution
by Vasileios Zisis & Vasilios-Christos Naoum - 384-390 The foreign investors’ behaviours during the COVID-19 pandemic in emerging market
by Huan Huu Nguyen & Vu Minh Ngo & Uyen Dinh Hoang Nguyen - 391-396 Financial hardship and depression experienced by pre-retirees during the COVID-19 pandemic: the mitigating role of stimulus payments
by Yingyi Liu & Yu Zhang & Swarn Chatterjee - 397-403 Multiple large shareholders and controlling shareholders’ related-party M&As
by Yanyan Shen & Xiaotong Yang & Bing Zhu
January 2023, Volume 30, Issue 2
- 103-107 Evolution of China’s inter-industry radiation: an application of multi-spatial convergent cross-mapping approach
by Xue Gao & Yixin Ren - 108-113 The effects of government debt on banks’ risk-taking: international evidence
by Xiaowei Huang & Li Yu - 114-119 Transparency and stock price informativeness: evidence from a natural experiment in China
by Huili Zhang & Rong Li & Zhengfei Lu - 120-125 Forecasting oil futures price volatility with economic policy uncertainty: a CARR-MIDAS model
by Xinyu Wu & Hao Cui & Lu Wang - 126-130 Life expectancy at retirement and income in Chile
by Gonzalo Edwards & Raimundo Soto & Felipe Zurita - 131-135 Detecting regime shifts: the role of construal levels on system neglect
by Samuel N. Kirshner - 136-140 Adopting industrial designs: further IP protection for US start-ups?
by Bernadette Power & Gavin C. Reid - 141-148 Corporate reputation and market reaction: evidence from FinTech industry
by Omer Unsal & Jennifer Brodmann - 149-152 Do more educated people work for the government?
by Jeongmin Ha & Elizabeth Kayoon Hur & Hee-Seung Yang - 153-156 Suicide and divorce in South Korea: focusing on types of divorce
by Jaewook Byeon - 157-161 Bank size and liquidity creation
by Jijun Niu - 162-166 The discouragement rate: an index of discouragement-induced hardship
by Tristan Potter - 167-177 Nowcasting inflation in India with daily crowd-sourced prices using dynamic factors and mixed frequency models
by Varun Yadav & Abhiman Das - 178-184 Covid-19 crisis and corporate cash dividend policies: evidence from Chinese listed companies
by Xixiong Xu & Cuiliang Lin & Youliang Yan - 185-189 Regional scope of practice and hospital readmission
by Alicia Plemmons & Agnitra Roy Choudhury - 190-194 Current unemployment variance decomposition and consequences of using proxies
by Carlos Henrique Corseuil & Miguel N. Foguel & Ajax R. B. Moreira - 195-199 How do banks manage their capital during uncertainty?
by Dung Tran & Cuong Nguyen & Huy Viet Hoang - 200-204 Distance still matters: digital communication technologies and innovation performance of innovative enterprises
by Yu Li & Qiuling Chen & Zhenhuai Shi - 205-209 Potential impacts of foreign divestment on China’s high-tech manufacturing industry: a general equilibrium model-based analysis
by Jihui Shi & Xiaolu Zhu - 210-213 Effects of reducing food-away-from-home consumption on sodium intake
by Kwanghun Yeon & Doo Bong Han - 214-220 A Deadly Triple Threat: Three Layers of U.S. Racial Inequity in COVID Infections and Deaths
by Daniel K.N. Johnson & Claire Altieri & Siena Blelloch - 221-228 Health perception biases and risky health behaviours in China
by Peng Nie & Lu Wang & Alfonso Sousa-Poza - 229-238 The effect of 31st year pension enhancement on mid- and late-career retirement decisions
by Dongwoo Kim - 239-243 Drinking, texting, ageing, or youth: which attribute is the riskiest for driving?
by Toru Fujiwara & Kazutaka Takechi - 244-248 Cyclical and structural determinants of involuntary part-time employment in Turkey
by Burcu Duzgun Oncel & Bilge Eris Dereli
January 2023, Volume 30, Issue 1
- 1-6 Financial stress and oil market volatility: new evidence
by Dan Pang & Feng Ma & M. I. M. Wahab & Bo Zhu - 7-13 COVID-19 effects on the S&P 500 index
by Hakan Yilmazkuday - 14-18 Are government bonds still safe havens in the context of COVID-19?
by Shaofu Zhou & Xueke Meng - 19-26 Relationship among capital reserves cash dividends, dividend maintenance, and earnings management
by Yen-Yu Liu & Chih-Hao Yang & Min Hua Lee - 27-32 Does economic power or leadership matter? The difference between male and female world leaders in managing pandemics
by Carl R. Chen & Lenis Chen-Edinboro & Chenxin Xu - 33-36 Firms’ subjective uncertainty and forecast errors: survey evidence from Japan
by Masayuki Morikawa - 37-42 A note on financial vulnerability and volatility in emerging stock markets: evidence from GARCH-MIDAS models
by Riza Demirer & Rangan Gupta & He Li & Yu You - 43-50 Peer effects in R&D investments: evidence from China’s science and technology parks programs
by Chujiang Xue & Yi Zhao - 51-55 Condemned in childhood: bully victimization and labour market outcomes
by Isbat Ibn Hasnat & Adnan M. S. Fakir - 56-60 Long-term debt in water utilities: does ownership matter? Evidence from West Virginia’s utilities
by Elham Erfanian & Jing Chen & Collin Hodges - 61-65 Macroprudential policy and interest rate spillovers
by Aaron Mehrotra & Richhild Moessner - 66-79 Grey Divorce and labour Supply
by Sita Nataraj Slavov & Chao Wei - 80-83 Does foreign direct investment affect wage inequality in Chinese manufacturing sector?
by Jifeng Zhang & Guanru Wang & Bing He - 84-91 Finding refuge underground: effects of refugee inflows on the shadow economy
by Aziz N. Berdiev - 92-96 Clusters in foreign-born vs. native self-employment in Europe: do we look alike?
by Ana Cuadros & Juan Carlos Cuestas & Estefanía Mourelle - 97-102 A dynamic leverage stochastic volatility model
by Hoang Nguyen & Trong-Nghia Nguyen & Minh-Ngoc Tran
December 2022, Volume 29, Issue 21
- 1955-1959 Cohort effects within the firm: new evidences from China
by Hong Zhang & Xiaoquan Wang & James Liang - 1960-1964 Government intervention and firm innovation outputs: a heterogeneity of corporate governance of Chinese listed firms
by Yiling Chen - 1965-1969 CEO power and corporate social responsibility decoupling
by Yasir Shahab & Ammar Ali Gull & Tanveer Ahsan & Rizwan Mushtaq - 1970-1974 A credit rationing model of the medium risk borrowers with low valued collateral
by Sehoon Kwon - 1975-1979 The effect of maternity on employment and wages in Mexico
by Raymundo M. Campos-Vazquez & Carolina Rivas-Herrera & Eduardo Alcaraz & Luis A. Martinez - 1980-1990 Cross-ownership and excess capacity in a differentiated duopoly
by Junlong Chen & Zhiruo Zhang & Jiali Liu - 1991-1995 Employment stability and corporate cash holdings
by Syungjin Han & Changhyun Kim - 1996-2001 A probabilistic model of the LCOE for Korean offshore windfarms
by Deokoh Lim & Kihwan Kim & Gil-Lim Yoon - 2002-2006 Revisiting real exchange rate misalignment and economic growth nexus: a Markov-switching approach
by Hsiu-Hsin Ko - 2007-2014 Asymmetric Fisher effect in inflation targeting emerging markets: evidence from quantile co-integration
by Saban Nazlioglu & SinemPinar Gurel & Sevcan Gunes & Emre Kilic - 2015-2019 Is the transposition of EU directives homogeneous? An AI counterfactual example
by María Teresa Ballestar & Jorge Sainz & Ismael Sanz - 2020-2031 Monetary policy shocks identified using the entire yield curve: an alternative approach
by Woon Wook Jang - 2032-2039 Analysis of Investors’ Prediction Potential Using Holt Winters Model and Artificial Neural Networks
by Parizad Dungore - 2040-2043 Unemployment and workplace injuries: evidence from California
by Xiuming Dong & Ross Jestrab - 2044-2046 Effects of temporary earnings on dividends in Korea
by Jeongsun Yun & Myung-Ho Park & Dae Keun Park - 2047-2052 Investigating survivorship bias: the case of the 1918 flu pandemic
by Joël Floris & Laurent Kaiser & Harald Mayr & Kaspar Staub & Ulrich Woitek
November 2022, Volume 29, Issue 20
- 1859-1863 Did the bank of Japan’s purchases of exchange-traded funds affect stock prices? A synthetic control approach
by Kohei Aono & Hiroshi Gunji & Hayato Nakata - 1864-1867 Delta-hedged gains of SSE 50 ETF options
by Xiaoping Li & Chunyang Zhou & Wei Huang - 1868-1875 Should (Co)jump variation be included in asset allocation?
by Zirong Chen & Haonan Lin & Xu Zheng - 1876-1879 The connectedness between Twitter uncertainty index and stock return volatility in the G7 countries
by Chinmaya Behera & Badri Narayan Rath - 1880-1884 An evaluation of the effectiveness of three early-warning models on financial indexes
by Yumei He & Xinyi Xu & Yuewen Cai & Mengya Cheng - 1885-1890 Urbanization and financial literacy: the knowledge spillover effect
by Zhu Yan & Aoran Wang & Weiwei Shao & Yanni Zeng - 1891-1896 The effects of a wife’s retirement on her husband’s mental health among older adults in China
by Simiao Chen & Zhuang Hao & Till Bärnighausen - 1897-1900 Why poverty is higher in Spain: a comparison with the Czech Republic
by Zuobao Wang & Yonggao Zhang & Yujie Rao - 1901-1905 Long-term effects of female teachers on pupils’ smoking behaviour later in life
by Eiji Yamamura - 1906-1920 Effects of tariff reduction by regional comprehensive economic partnership (RCEP) on global value chains based on simulation
by Hui Wen & Yu You & Yue Zhang - 1921-1926 Price level convergence in Turkey
by Mustafa Çakır & Lokman Gunduz - 1927-1930 Extraction of proxy relative sovereign bond yield curve factors
by Hokuto Ishii - 1931-1938 Education and social preferences: quasi-experimental evidence from compulsory schooling reforms
by Songtao Yang - 1939-1943 Innovation performance convergence: evidence from Chinese listed OFDI companies
by Tian Zhao - 1944-1948 Does FDI increase labour market volatility at home?
by Ayesha Ashraf & Muhammad Umar Chaudhry - 1949-1953 An examination of higher-moment contagion during the South Sea Bubble
by Mohammad S. Hasan & Robert Gausden & Ortenca Kume
November 2022, Volume 29, Issue 19
- 1757-1764 Understanding firm-level intangible investment: a resource-based view on Korean firms
by Hyuk Chung - 1765-1770 Measuring cross-country heterogeneity in the value of patents based on the patent-trade relationship
by Junyoung Hong & Wonjoon Kim - 1771-1775 Determinants of self-employment by new PhDs
by Robert M. Feinberg - 1776-1783 Model selection for panel data models with fixed effects: a simulation study
by Minchul Yum - 1784-1790 Public Financial Management and Fiscal Performance: Evidence from Panel Data Analyses
by Steve Loris Gui-Diby - 1791-1798 Deportation of criminals and immigration back to the United States: evidence from Central America and Mexico
by Priti Kalsi & Edward Kosack - 1799-1803 The behaviour of forex market during the first and second wave of COVID-19: a wavelet analysis
by Ahmed Arif & Asif Saeed & Umer Farooq - 1804-1809 Does digital financial inclusion moderate or exacerbate output volatility?
by Sasidaran Gopalan & Ramkishen S. Rajan - 1810-1814 Media bias with asymmetric media quality
by Sangwoo Yang - 1815-1823 Income thresholds in the remittances-growth association? a case study of Fiji
by Nikeel Nishkar Kumar & Arvind Patel - 1824-1828 Mind the gap: forecasting euro-area output gaps with machine learning
by Emmanouil Sofianos & Periklis Gogas & Theophilos Papadimitriou - 1829-1832 Does digital finance promote entrepreneurship of migrant? Evidence from China
by Yuanyuan Li & Jing Tan & Binyang Wu & Jingwen Yu - 1833-1839 Systemically important financial institutions in China: from view of tail risk spillover network
by Xin Yang & Shan Chen & Zhifeng Liu & Xiaoguang Yang & Chuangxia Huang - 1840-1846 More education, less prejudice against sexual minorities? Evidence from compulsory schooling reforms
by Songtao Yang - 1847-1854 Performance-based regulation of train service delays: Hong Kong
by Chi-Keung Woo & Kang Hua Cao & Tsz Leung Yip & Sin Yin Chow & Cho-Leung Chu & Jay Zarnikau & Chloe Mow - 1855-1858 The existence and historical development of the holiday effect on the Swedish stock market
by Shahin Eidinejad & Elena Dahlem
October 2022, Volume 29, Issue 18
- 1665-1669 Will infrastructure construction drive Chinese rural families to develop their own enterprises?
by Yong Tian & Wei Du & Yiwen Hua & Lijun Fan - 1670-1674 Supply-demand of financial asset and China’s economic development: from the perspective of financial assets shortage
by Yulei Chen & Maosheng Ran - 1675-1679 Period value at risk and its estimation by Monte Carlo simulation
by Yanli Huo & Chunhui Xu & Takayuki Shiina - 1680-1685 Sports viewing behaviour with loss aversion and competition balance
by Hirofumi Fukuyama - 1686-1689 Economic policy uncertainty, social capital, and corporate cash holdings
by Dongwook Seo & Seongjae Mun - 1690-1695 Sources of variation in growth rate distribution: evidence from Korean, Japanese, and Chinese manufacturing firms
by Taewon Kang - 1696-1701 Factors of carbon emissions from Chinese urban and rural residents: a time-varying study
by Yutai Cheng & Yao Xiao - 1702-1708 Sequential Monte Carlo estimation for Present-Value model
by Yong Li & Zhusheng Lou & Qiaosen Zhang & Mingzhi Zhang - 1709-1714 Does carbon emission trading policy affect bank loans of firms? Evidence from China
by Zhi Yu & Yali Cao & Mo Liu