Content
November 2021, Volume 28, Issue 19
- 1703-1706 What does ‘Big Three’ tell us about retirement planning skills?
by Radosław Kurach & Marek Kośny & Paweł Kuśmierczyk & Walid Merouani - 1707-1711 A new combination of Fourier unit root tests: a PPP application for fragile economies
by Fatma Zeren & Fatma Kızılkaya - 1712-1716 Hedonic approach to the determinants of the price of cider
by Eric Le Fur & Jean-François Outreville - 1717-1721 Inclusion of older annual data into time series models for recent quarterly data
by Philip Hans Franses
October 2021, Volume 28, Issue 18
- 1537-1541 ESG risks in times of Covid-19
by Fabrizio Ferriani & Filippo Natoli - 1542-1547 Stadium attendance demand during the COVID-19 crisis: early empirical evidence from Belarus
by J. James Reade & Dominik Schreyer & Carl Singleton - 1548-1551 Employer learning during apprenticeship
by Simona Lorena Comi & Mara Grasseni - 1552-1557 The role of credit and housing shocks in emerging economies
by Fábio Augusto Reis Gomes & Gian Paulo Soave - 1558-1561 The cost of losing a National Football League franchise: evidence from hotel occupancy data
by E. Frank Stephenson - 1562-1565 The impact of the COVID public policies on the Chilean households
by Carlos Madeira - 1566-1570 Transmission of funding liquidity shocks in the options market: evidence from India
by Prasenjit Chakrabarti & Sudipta Sen - 1571-1577 Do remittances condition the relationship between trade and government consumption?
by Kevin Williams - 1578-1581 The robustness of trust, institutions and entrepreneurship regressions, revisited
by Tomi Ovaska & Ryo Takashima - 1582-1588 Lottery preference and stock market return: Chinese evidence using daily and provincial data
by Tingting Zhang & Mengyao Song & Kaixin Li & Zhifeng Liu - 1589-1593 Constructing a banking fragility index for Islamic banks: definition impact on the predictive power of an early warning system
by Ayşegül Aytaç Emin & Başak Dalgıç & Tawfik Azrak - 1594-1599 Dynamic effects of monetary policy shocks on macroeconomic volatility in the United Kingdom
by Afees A. Salisu & Rangan Gupta - 1600-1609 Systemic risk of China’s commercial banks during financial turmoils in 2010-2020: A MIDAS-QR based CoVaR approach
by Shuting Liu & Qifa Xu & Cuixia Jiang - 1610-1619 A new analytical framework for urban size and policies
by Zhongqi Deng & Shunfeng Song & Hongru Tan - 1620-1625 Non-classical measurement error with false positives and negatives
by Julio Acuna - 1626-1633 Terrorism and capital flows: the missed impact of terrorism in big cities
by Charfeddine Lanouar & Umer Shahzad
October 2021, Volume 28, Issue 17
- 1437-1440 Gender employment discrimination and product market competition: evidence for Brazil
by Débora Meireles & Ricardo Da Silva Freguglia & Carlos Henrique Corseuil - 1441-1445 ESG impact of Michigan and Indiana right-to-work laws
by Vijay Gondhalekar & Joerg Picard & Morgan Vannette - 1446-1457 The impacts of liquidity measures and credit rating on corporate bond yield spreads: evidence from China’s green bond market
by Kai Chang & Yan Ling Feng & Wang Liu & Ning Lu & Sheng Ze Li - 1458-1461 Investors’ regulatory concerns and the SEC’s regulation SHO pilot program on the NYSE
by Kevin (Min) Zhao & Bichaka Fayissa & Ghassem Homaifar - 1462-1467 Analysing location choices of small and large enterprises of electronics-manufacturing industry in Korea
by Youngjin Woo & Euijune Kim - 1468-1473 Justifiably unpopular? The Italian property tax and inequality
by Emile Cammeraat & Ernesto Crivelli - 1474-1477 Non-profit overhead and efficiency from IRS administrative data
by Yujie Feng & Baran Han & Benjamin Ho - 1478-1483 Job profiles: labour-law risks and grouping into wage categories
by Tobias Hiller - 1484-1490 Price competition and private labels in the U.S. packaged salad market
by Xiao Meng & Edward C. Jaenicke - 1491-1498 Do confident CEOs increase firm value under competitive pressure?
by Kyumin Cho & Hyeong Joon Kim & Seongjae Mun & Seung Hun Han - 1499-1504 Do labour unions help or hurt firms to invest in the long run? Evidence from Korea
by Ilhang Shin & Sanghyun Hwang - 1505-1511 A simple dynamic panel data approach for macro policy assessment
by Jun Cai & Yahong Zhou - 1512-1520 Death and the stock market: international evidence from the Spanish Flu
by Richard C. K. Burdekin - 1521-1525 The equivalent share of a dominant firm: an approach based on distances
by Antonio Avila-Cano & Francisco Triguero Ruiz - 1526-1530 The response of small firms to VAT thresholds: evidence from China
by Enhui Kou & Yukun Sun & Linfeng Yue - 1531-1535 Do working papers increase journal citations? Evidence from the top 5 journals in economics
by Klaus Wohlrabe & Constantin Bürgi
September 2021, Volume 28, Issue 16
- 1339-1343 Financialization, digital technology and income inequality
by Siti Nurazira Mohd Daud & Abd Halim Ahmad & Wan Azman Saini Wan Ngah - 1344-1350 Stock market reaction to corporate philanthropic response and silence: does charity style matter?
by Chuanmin Zhao & Juncong Guo & Xi Qu - 1351-1356 A Markov chain measure of systemic banking crisis frequency
by Demosthenes Tambakis - 1357-1362 Trump tariffs and firm relief: winners and losers from the steel tariff exclusion request
by Wongi Kim & Yeo Joon Yoon - 1363-1370 Forecasting macroeconomy using Granger-causality network connectedness
by Dan Wang & Wei-Qiang Huang - 1371-1376 Dynamic correlations in bond markets between US and emerging countries
by Chun-Chieh Yeh & Chien-Liang Chiu & Tsangyao Chang - 1377-1381 A plausible explanation for the negative correlation between environmental degradation and healthcare expenditure
by Nisreen Moosa & Vikash Ramiah & Vijay Pereira - 1382-1385 Is political risk a driver of listed SMEs leverage?
by Theofanis Papageorgiou & Georgios Savvakis & Dimitris Kenourgios - 1386-1390 The regional and substantial differentiation of social media
by Evgeny V. Popov & Viktoria L. Simonova & Oxana V. Komarova - 1391-1399 Why do regional economies behave differently? A modelling approach to analyse region-specific dynamics along the business cycle
by Jesús Miguel Lasarte-López & Mariano Carbonero-Ruz & Olexandr Nekhay & María Luisa Rodero-Cosano - 1400-1406 Financing Decision of High-tech SMEs in Korea: A Revisitation to Pecking Order Theory
by Gihyun Kwak - 1407-1412 Oil price forecasts and security analysts: evidence from the oil industry
by Huabing Wang & Anne Macy - 1413-1418 The predictive power of ECB’s interval forecasts over point forecasts
by Yoichi Tsuchiya - 1419-1425 Improving econometric prediction by machine learning
by Giovanni Cerulli - 1426-1431 Infant malnutrition, clean-water access and government interventions in India: a machine learning approach towards causal inference
by Dweepobotee Brahma & Debasri Mukherjee - 1432-1435 Fiscal and individual rates of return to university education with and without graduation
by Friedhelm Pfeiffer & Holger Stichnoth
September 2021, Volume 28, Issue 15
- 1249-1258 Spillovers of the US real and financial uncertainty on the Euro area
by Yassine Bakkar & Rachatar Nilavongse & Anup Kumar Saha - 1259-1263 Impact of industry association on the innovation of small and micro enterprises
by Huwei Wen & Yinghao Xu & Kuashi Zou - 1264-1270 Coronavirus economics: the impact of shutting down meatpacking plants
by Dennis W. Jansen & Liqun Liu & Andrew J. Rettenmaier - 1271-1276 The default and liquidity premia of corporate bonds: evidence from the trade reporting and compliance engine
by Yongkil Ahn - 1277-1282 Millennials and the alcohol industry: expenditure variations among generations
by Anthony Murray - 1283-1287 The role of fiscal policy in the link between income inequality and banking crises
by Nicholas Apergis - 1288-1292 Unpaid internships and equality of opportunity: a pseudo-panel analysis of UN data
by Andrew Silva - 1293-1300 Impacts on the U.S. macroeconomy of mandatory business closures in response to the COVID-19 Pandemic
by Terrie Louise Walmsley & Adam Rose & Dan Wei - 1301-1305 Central bank reserves and bank lending spreads
by Lucas Marc Fuhrer & Thomas Nitschka & Dan Wunderli - 1306-1309 Buying the hype? Assessing the impact of top-drafted rookies on spectator attendance in the NBA
by Edward Joseph Kelley - 1310-1316 An analysis of the mission drift in microfinance
by Shakil Quayes - 1317-1320 Has recent economic growth/recession in Brazil been pro-poor?
by Zuobao Wang & Jing Sun - 1321-1326 Industrial structure upgrading, urbanization and urban-rural income disparity: evidence from China
by Mingyong Hong & Wenjie Zhang - 1327-1331 Inflation expectations, volatility and Covid-19: evidence from the US inflation swap rates
by Emmanuel Apergis & Nicholas Apergis - 1332-1335 Testing the relationship between real effective exchange rate and absolute cost advantage. A dynamic panel GMM analysis from NAFTA
by Fahd Boundi Chraki - 1336-1338 Testing for bias in forecasts for independent binary outcomes
by Philip Hans Franses
August 2021, Volume 28, Issue 14
- 1145-1151 Decomposing the gender pay gap in the formal sector in Venezuela: a microdata analysis 1985–2015
by Leonardo J. Maldonado - 1152-1156 Robin Hood or not: IPO overfunding and trade credit
by Lu Zhang & Jincai Li & Huijuan Wang - 1157-1161 Covid-19’s adverse effects on a stock market index
by Kang Hua Cao & Qiqi Li & Yun Liu & Chi-Keung Woo - 1162-1168 Does the pilot free trade zone policy attract the entering of foreign-invested enterprises? The evidence from China
by Hao Chen & Bo Yuan & Qi Cui - 1169-1173 Implications of participation in global value chains for international trade network
by Halit Yanikkaya & Hasan Karaboga & Abdullah Altun - 1174-1180 How well the log periodic power law works in an emerging stock market?
by Bikramaditya Ghosh & Dimitris Kenourgios & Antony Francis & Suman Bhattacharyya - 1181-1186 Co-movement of volatility risk premium: evidence from single stock options market in India
by Prasenjit Chakrabarti - 1187-1194 Does the Feldstein–Horioka relationship vary with economic policy uncertainty?
by Yi-Chen Lin & Wen-Shuenn Deng - 1195-1201 The impacts of internal capital allocation efficiency on R&D investments: evidence from China
by Hai-Yun Ren & Ching-Chi Hsu & Gen-Fu Feng & Jing Jia & Wei-Che Tsai - 1202-1207 Relative efficiency of equity ETFs: an adaptive market hypothesis perspective
by Kunal Saha & Vinodh Madhavan & G. R. Chandrashekhar - 1208-1221 Liquidity commonality on National Stock Exchange: size and sector effect
by Suraj Kumar & Krishna Prasanna - 1222-1225 Impacts of COVID-related capacity constraints on theme park attendance: evidence from Magic Kingdom wait times
by Todd Gabe - 1226-1233 Exporting and electricity consumption: new microeconomic evidence from manufacturing firms in China
by Dong Cheng & Jian Yu & Hanyuan Zhang - 1234-1238 America’s regressive wealth tax: state and local property taxes
by Arik Levinson - 1239-1244 Evidence-based analysis: the success factors of a new competitor entering the negotiation in B2B e-procurement
by Radoslav Delina & Renata Olejarova - 1245-1248 An unexpected external shock and enterprises’ innovation performance
by Jarle Aarstad & Olav Andreas Kvitastein
July 2021, Volume 28, Issue 13
- 1059-1065 Movements in real estate uncertainty in the United States: the role of oil shocks
by Rangan Gupta & Xin Sheng & Qiang Ji - 1066-1070 The Siphon effects of transportation infrastructure on internal migration: evidence from China’s HSR network
by Zhicheng Xu & Tianshi Sun - 1071-1075 Population ageing and FDI inflows in OECD countries: a dynamic panel cointegration analysis
by Rajarshi Mitra & Md. Thasinul Abedin - 1076-1081 Unemployment insurance generosity and crime
by Hamid NoghaniBehambari & Bitran Maden - 1082-1086 Self-serving bias across strategic and non-strategic dictator games with production
by David C. Kingsley & Michael Ciuchta - 1087-1091 Migration and business cycles: testing the OCA theory predictions in the European union
by Krzysztof Beck - 1092-1097 Brexit referendum and the UK securitization market
by Alper Kara & Nodirbek Karimov & Anh Phuong Nguyen - 1098-1103 Analysing the coupling coordination degree of socio-economic-infrastructural development and its obstacles: the case study of Polish rural municipalities
by Mateusz Tomal - 1104-1109 Revisiting purchasing power parity in the ASEAN-5 countries: evidence from the Fourier quantile unit root test
by Pejman Bahramian & Andisheh Saliminezhad - 1110-1113 The impact of labour market institutions on income inequality: evidence from OECD countries
by Natércia Fortuna & António Neto - 1114-1120 Low rates, zero lower bound and monetary policy black hole
by Lei Lv & Zhi-Xin Liu - 1121-1124 Housing prices and urban land use efficiency
by Shuangjin Wang & Richard J. Cebula & Xiaowei Liu & Maggie Foley - 1125-1129 Following behaviour and predatory trading
by Shichao Yang & Shancun Liu & Qingduo Zeng & Zhigang Zhang - 1130-1136 Export bias related to its long-run equilibrium in China
by Yaping He & Kangning Xu - 1137-1140 Selling and buying rural lands after land titling? ——What factors lead to Chinese farmers’ wrong cognition
by Weicheng Yang & Wenjing Zhu & Xiao Yu - 1141-1144 The effect of dispatch methods on a recruiting campaign for a business survey: evidence from Germany
by Przemyslaw Brandt & Katrin Demmelhuber & Klaus Wohlrabe
July 2021, Volume 28, Issue 12
- 973-977 Did wage inequality increase in Portugal? Yes, and for good reasons
by João Manuel Pereira - 978-984 Revisiting the relationship between energy consumption and economic growth nexus in Vietnam: new evidence by asymmetric ARDL cointegration
by Nguyen Minh Ha & Bui Hoang Ngoc - 985-989 Physical activity guidelines for Americans and their employment decisions
by Marlon Ricardo Tracey & Chanita C. Holmes - 990-994 Does the market accept the perpetual bonds issued by commercial banks? Evidence from China
by Xue Ni Liu & Guo Cheng Liu - 995-999 Algorithms comparison on intraday index return prediction:evidence from China
by Xiang Li & Xianghui Yuan & Jin Yuan & Hailun Xu - 1000-1005 The gender-job satisfaction paradox through time and countries
by Cristina Pita & Ramón José Torregrosa - 1006-1009 Next game reaction to mispriced betting lines in college football
by Randall W. Bennett - 1010-1016 A new insight into the methodology of cultural economics
by Iuliana Mihai & Isabel Novo-Corti - 1017-1020 Informality, Inequality and Profit Rate
by Ceyhun Elgin & Adem Yavuz Elveren & Joseph Bourgeois - 1021-1025 Dollar debt and equity returns
by Charles Braymen & Tirimba Obonyo & Nicholas E. Woessner - 1026-1030 Multivariate asymmetric loss functions of the European Central Bank
by Yoichi Tsuchiya - 1031-1035 A rank-based measure of educational assortative mating
by Christopher Handy - 1036-1040 Cryptocurrencies in portfolios: return–liquidity trade-off around China forbidding initial coin offerings
by Sijia Zhang & Andros Gregoriou - 1041-1045 Peer gender and STEM specialization
by Greta Morando - 1046-1052 Potential spillovers from the banking sector to sovereign credit ratings
by Pedro Jesús Cuadros-Solas & Carlos Salvador Muñoz - 1053-1058 COVID-19: how much unemployment was caused by the shutdown in Germany?
by Anja Bauer & Enzo Weber
June 2021, Volume 28, Issue 11
- 887-893 Cryptocurrency return reversals
by Steven E. Kozlowski & Michael R. Puleo & Jizhou Zhou - 894-901 Minimum wages and the health of immigrants’ children
by Susan L. Averett & Julie K. Smith & Yang Wang - 902-905 Fund sentiment beta and delegated investment
by Jian Wang & Shangkun Yi & Xiaoting Wang & Jun Yang - 906-909 Factors affecting employment quality in China: evidence based on spatial panel data model
by Yueming Zheng & Cheng Zhang & YingDong Wang - 910-914 Assortative matching group formations and group representatives in a repeated public goods game
by Zuohui Zuo & Yan Zhou & Songsong li - 915-920 Forecasting stock market volatility using implied volatility: evidence from extended realized EGARCH-MIDAS model
by Xinyu Wu & Xiaona Wang & Haiyun Wang - 921-925 International trade and the beliefs in hard work
by Yoko Asuyama - 926-931 Benefits of knowing own health status: effects of health check-ups on health behaviours and labour participation
by Cheolmin Kang & Akira Kawamura & Haruko Noguchi - 932-940 (A)Symmetric effects of changes in the saving rate on the investment rate in Norway: 1830–2017
by Yannick Bineau - 941-944 The effect of Cram School attendance on study-alone time
by Yugyung Jung & Sun Go - 945-948 Market-oriented land rentals in the less-developed regions of China
by Tongwei Qiu & Biliang Luo & Pengpeng Geng & Mande Zhu - 949-953 The effect of the spatial misallocation of land supply on entrepreneurial activity
by Jinhua Zhang & Zhenhuai Shi & Xiaoping Chu & Yao Shen - 954-957 The effect of employer enrolment in E-Verify on low-skilled U.S. workers
by Pia M. Orrenius & Madeline Zavodny - 958-963 Financial derivatives and default dependence: a time-varying copula approach
by Xuan Zhang & Ding Liu & Yang Zhao & Zhekai Zhang - 964-967 Cross-border M&A outflows and government size
by Ayesha Ashraf - 968-971 Is intertemporal price discrimination the cause of price dispersion in markets with low search costs?
by Charlie Lindgren & Sven-Olov Daunfeldt & Niklas Rudholm & Siril Yella
June 2021, Volume 28, Issue 10
- 795-801 COVID-19: stock market reactions to the shock and the stimulus
by Maretno Agus Harjoto & Fabrizio Rossi & John K. Paglia - 802-806 Universal pension scheme and job searching
by Yao-Tung Chen & Ai-Ju Shao & Shih-Chung Chang & Hsin-Fu Huang & Fang-Kuo Wang - 807-810 Do home sellers know their market? Evidence from neighbourhood sober-living houses
by Velma Zahirovic-Herbert & Geoffrey K. Turnbull & Bennie D. Waller - 811-816 Does sentiment determine investor trading behaviour?
by Karam Kim & Doojin Ryu - 817-828 Decomposition of the gender wage gap using the LASSO estimator
by René Böheim & Philipp Stöllinger - 829-834 Price discrimination with consumer misperception
by Oren Bar-Gill - 835-839 National distance and China’s OFDI : Research based on the ‘Belt and Road’ countries
by Tian Zhao - 840-843 Do economic freedom matters for finance in developing economies: a panel threshold analysis
by Muhammad Asif Khan & Mollah Aminul Islam & Usman Akbar - 844-849 Financial ratios and non-payment risk factor with panel probit model: a case of Turkey
by Tugba Dayıoğlu - 850-855 Is risk aversion related to occupational choice: evidence from 1996 PSID
by Zhiqi Zhao & Guangyou Zhou - 856-859 Two-way traders: searching for complementarities between exports and imports in a developing country
by Segundo Camino-Mogro & Alberto López - 860-865 When Bitcoin has the flu: on Bitcoin’s performance to hedge equity risk in the early wake of the COVID-19 outbreak
by Klaus Grobys - 866-871 Does the institutional framework affect the relationship between debt financing and firm performance in emerging countries?
by Pinar Sener & Elif Akben-Selcuk & Fatma Didin-Sonmez - 872-875 Volatility of relative prices and transportation costs: evidence for Brazilian cities
by Felipe de Sousa Bastos & Roberto Tatiwa Ferreira - 876-880 On welfare or in work: perspective from single motherhood and early childhood outcomes
by Xiaoyun Zhang & Yiyang Luo - 881-885 Does persistence pay off? Accessing social activities with a foreign-sounding name
by Helmut M. Dietl & Carlos Gomez-Gonzalez & Paolo Moretti & Cornel Nesseler
May 2021, Volume 28, Issue 9
- 713-716 The U.S.-Sino different links between income and consumption inequality
by Qingbin Zhao & Chun Kwok Lei & Lei Peng & Xinhua Gu - 717-720 The political economy of solar initiatives in the Sunshine state
by Ritika Khurana & Levan Elbakidze & Joshua Hall - 721-726 Macroeconomic impacts of non-resource revenue mobilization in CEMAC
by Giovanni Melina & Marcos Poplawski-Ribeiro - 727-730 RMB currency risk management after China’s ‘8.11’ exchange rate reform
by Yuliu Peng & Wenru Kang - 731-736 Is average correlation related to expected returns: evidence from global markets
by Stanley Peterburgsky & Seungho Baek - 737-741 Monitoring ’lemons’: why lower productivity workers are sometimes monitored more closely
by Marcus Dittrich & Silvio Städter - 742-747 Socio-economic inequality in early childhood health 2010-2016: evidence from China
by Xiaoou Man & Haijun Cao - 748-754 Alternative non-profit funding methods: crowdfunding in the Czech Republic and Slovakia
by Mária Murray Svidroňová & Gabriela Vaceková & Michal Plaček & Markéta Matulová & Lucia Hrůzová & Lenka Harringová - 755-759 Corona, crisis and conditional heteroscedasticity
by Tamás Kiss & Pär Österholm - 760-764 Fear, overconfidence, and fundamental uncertainty shocks
by Gene Ambrocio - 765-768 The effect of the School-to-Work Programme on the employment of vocational high school graduates
by Heejin Jung & Sun Go - 769-773 The productivity effects of infrastructure: A cross-country comparison using manufacturing industry panels
by Rupika Khanna & Chandan Sharma - 774-778 How to disappear completely: nonlinearity and endogeneity in the New Keynesian Wage Phillips Curve
by Daniel Sebastião Abreu & Artur Silva Lopes - 779-783 A cannabis pricing mistake from California to Canada: government can’t tax cannabis optimally
by Jason Childs & Jason Stevens - 784-787 Relative deprivation: a new derivation and application
by Jaesang Sung & Qihua Qiu & James Marton - 788-793 Internet use and willingness to participate in garbage classification: an investigation of Chinese residents
by Wanglin Ma & Zhongkun Zhu
May 2021, Volume 28, Issue 8
- 625-629 Survey response bias and the ‘privacy paradox’: evidence from a discrete choice experiment
by Garrett Glasgow & Sarah Butler & Samantha Iyengar - 630-634 ECB’s communication and the yield curve: core versus periphery effects
by Ralf Fendel & Frederik Neugebauer & Mustafa Kilinc - 635-639 WWII contract spending and inequality
by Andrew Bossie & Daniel Kuehn - 640-645 Compensation committee characteristics and voluntary executive compensation disclosure
by Yu Ling Tsai & Hua-Wei Huang - 646-649 Who gains from economic freedom? A panel analysis on decile income shares
by Donatella Saccone - 650-654 Can Stock Exchange inquiry letters reduce stock price crash risk?
by Sihao Li & Yong Shi & Wenjun Zou - 655-662 Why CEOs invest in Corporate Social Responsibility initiatives: evidence on Shariah compliant firms
by Zaheer Anwer & Wajahat Azmi & Shamsher Mohamad & Andrea Paltrinieri - 663-667 Are sales and taxes ‘sticky’? Empirical evidence of the impact of tax enforcement on tax revenue growth in China
by Furong Guo & Shengdao Gan & Wei Yang & Peiying Kuang - 668-674 Spatial linkage of volatility spillovers and its explanation across China’s interregional stock markets: a network approach
by Yanshuang Li & Xintian Zhuang & Jian Wang & Zibing Dong - 675-680 Youthful dependents and economic growth: the effect of tax composition
by Weijie Luo & Jingci Zhu - 681-685 Multivariate unobserved component model for an oil-exporting economy: the case of Russia
by Andrey Polbin - 686-690 A study on default prediction of Chinese online lending: based on the analysis of mobile phone usage data
by Hongbing Ouyang & Yong Zhi & Boyuan Wu - 691-695 Cryptocurrencies: formation of returns from the CRIX index
by Ricardo de Souza Tavares & João Frois Caldeira & Gerson de Souza Raimundo Júnior - 696-700 Attainment of multidimensional poverty target of sustainable development goals: a preliminary study
by Rati Ram - 701-706 The non-banking financial institutions in perspective of economic growth of Pakistan
by Imdad Ali Khowaja & Urooj Talpur & Sikander Hussain Soomro & Muhammad Shoaib Khan - 707-711 The channels of consumption risk-sharing in Korea
by Sangyeon Hwang
April 2021, Volume 28, Issue 7
- 523-530 Appraising praise: experimental evidence on positive framing and demand for health services
by Aderaw Anteneh & Kelly Bidwell & Woldemariam Girma & Kristen Little & Nicholas Wilson & Endale Workalemahu - 531-534 Borrower capital, shadow insurance, and life insurer performance
by Jyh-Horng Lin & Fu-Wei Huang & Chuen-Ping Chang - 535-540 Inbound portfolio bond investments and domestic monetary policy effect in emerging countries
by Kei-Ichiro Inaba - 541-545 Precision and stability of schools’ value-added estimates: evidence for Italian primary schools
by Tommaso Agasisti & Veronica Minaya - 546-550 The role of panel data in organization of global value chain: evidence from a developing country
by Hanming Jiang - 551-558 Does severe air pollution affect firm innovation: evidence from China
by Li Wang & Fei Xing & Yishan Yu & Yunhao Dai - 559-564 Independent director network and corporate innovation: evidence from a natural experiment in China
by Yihan Wu & Bin Dong - 565-578 Corruption in economics: a bibliometric analysis and research agenda
by Salman Bahoo & Ilan Alon & Josanco Floreani - 579-583 The impact of US–China trade war on Chinese firms: Evidence from stock market reactions
by Xiaoquan Wang & Xinyue Wang & Zheng Zhong & Junnan Yao - 584-589 Leaders among the leaders in Economics: a network analysis of the Nobel Prize laureates
by José Alberto Molina & David Iñiguez & Gonzalo Ruiz & Alfonso Tarancón - 590-593 Cross-section and GMM/SDF tests of linear factor models
by Mohammad Q.M. Momani - 594-598 Convergence clubs in different regions of Serbia
by Maria Candelaria Barrios & Maja Jandrić & Dejan Molnar & Svetozar Tanasković - 599-607 Multi-scale interactions between Turkish lira exchange rates and sovereign CDS in Europe and Asia
by Chang Liu & Jianping Li & Xiaolei Sun & Jianming Chen - 608-611 Preliminary attitudinal trends in alternative postsecondary learning
by John Vandivier - 612-616 Economic structure and environmental Kuznets curve hypothesis: new evidence from economic complexity
by Lan Khanh Chu - 617-623 Intellectual capital and firm innovation: incentive effect and selection effect
by Shuming Ren & Ziyu Song
March 2021, Volume 28, Issue 6
- 427-432 Competitive impact of family background: the effects of cadre parents on the labour market outcomes of their offspring
by Liwen Chen - 433-439 On the evolution of cryptocurrency market efficiency
by Akihiko Noda