Content
August 2017, Volume 49, Issue 37
- 3770-3781 Corporate valuation and social capital: a cross-country analysis
by Iñigo Fernández & Víctor M. González
August 2017, Volume 49, Issue 36
- 3579-3598 Ricardian equivalence and the public and private saving nexus in India
by Tarlok Singh - 3599-3610 Key study of bank accounts for young people with using multi-criteria optimization and fuzzy analysis
by Martina Hedvicakova - 3611-3622 Financial development, institutions, and poverty alleviation: an empirical analysis
by Alessandra Cepparulo & Juan Carlos Cuestas & Maurizio Intartaglia - 3623-3633 How strongly can industrial structural transformation affect GDP?
by Masahiro Kodama - 3634-3644 An economic evaluation of SPREAD on Rwanda’s rural population
by Charles B. Moss & Alexandre Lyambabaje & James F. Oehmke - 3645-3668 Revisiting the exchange rate disconnect puzzle
by George B. Tawadros - 3669-3683 Confucius Institute’s effects on international travel to China: do cultural difference or institutional quality matter?
by Donald Lien & Feng Yao & Fan Zhang
July 2017, Volume 49, Issue 35
- 3481-3494 Credit ratings and corporate disclosure behaviour: evidence from regulation fair disclosure in Korea
by Frederick Dongchuhl Oh & Junghum Park - 3495-3508 An empirical characterization of the effects of public debt on economic growth
by María del Carmen Ramos-Herrera & Simón Sosvilla-Rivero - 3509-3522 Impact of first birth career interruption on earnings: evidence from administrative data
by Julie L. Hotchkiss & M. Melinda Pitts & Mary Beth Walker - 3523-3537 Cost-efficiency and financial and geographical characteristics of banking sectors in the MENA countries
by Idries M. Al-Jarrah & Khalid S. Al-Abdulqader & Shawkat Hammoudeh - 3538-3545 Evaluating borrower’s default risk in peer-to-peer lending: evidence from a lending platform in China
by Xuchen Lin & Xiaolong Li & Zhong Zheng - 3546-3559 Is Roger Federer more loss averse than Serena Williams?
by Nejat Anbarci & K. Peren Arin & Cagla Okten & Christina Zenker - 3560-3578 Individual values and household finances
by Fabian Gogolin & Michael Dowling & Mark Cummins
July 2017, Volume 49, Issue 34
- 3351-3358 Immigration and domestic wage: an empirical study on competition among immigrants
by Chong-Uk Kim & Gieyoung Lim - 3359-3371 Extracurricular participation and risky behaviours during high school
by Laura M. Crispin & Dimitrios Nikolaou & Zheng (Muriel) Fang - 3372-3394 The short- and long-run impacts of financial crises on youth unemployment in OECD countries
by Giovanni S. F. Bruno & Misbah Choudhry Tanveer & Enrico Marelli & Marcello Signorelli - 3395-3421 The importance of fear: investor sentiment and stock market returns
by L.A. Smales - 3422-3434 The influence of CSR on firm value: an application of panel smooth transition regression on Taiwan
by Roger C. Y. Chen & Chen-Hsun Lee - 3435-3452 Dynamics of volatility transmission between the U.S. and the Chinese agricultural futures markets
by Huayun Jiang & Neda Todorova & Eduardo Roca & Jen-Je Su - 3453-3479 Unemployment and output dynamics in CIS countries: Okun’s law revisited
by Marat Ibragimov & Rustam Ibragimov
July 2017, Volume 49, Issue 33
- 3231-3245 Are exchange rates interdependent? Evidence using wavelet analysis
by Satish Kumar & Rajesh Pathak & Aviral Kumar Tiwari & Seong-Min Yoon - 3246-3262 Volatility spillover and multivariate volatility impulse response analysis of GFC news events
by David E. Allen & Michael McAleer & Robert Powell & Abhay K. Singh - 3263-3279 Out of Africa? Locational determinants of South African cross-border mergers and acquisitions
by Amar I. Anwar & Mazhar Y. Mughal - 3280-3312 An evaluation of the equilibrium value of the euro, its predecessors and their constituent currencies based on economic fundamentals
by Axel Grossmann & Chris Paul & Marc W. Simpson - 3313-3327 Economic liberalization and sources of productivity growth in Indonesian Banks: is it efficiency improvement or technological progress?
by Felisitas Defung & Ruhul Salim & Harry Bloch - 3328-3340 The true effect of students’ employment on the duration of studies
by Aviad Tur-Sinai & Dmitri Romanov & Noam Zussman - 3341-3350 Does early bird catch the worm or a lower GPA? Evidence from a liberal arts college
by Timothy M. Diette & Manu Raghav
July 2017, Volume 49, Issue 32
- 3129-3140 The determinants of price in 3G spectrum auctions
by Gary Madden & Hiroaki Suenaga - 3141-3155 Foreign investors’ influence on the real estate market capitalization rate – evidence from a small open economy
by Elias Oikarinen & Heidi Falkenbach - 3156-3162 Dynamic quality policies with reference quality effects
by Régis Chenavaz - 3163-3180 Does clarity of central bank communication affect credibility? Evidences considering governor-specific effects
by G. C. Montes & R. T. F. Nicolay - 3181-3194 Which factors improve the performance of the internationalization process? Focus on family firms
by Q. Marin & A. B. Hernández-Lara & F. Campa-Planas & M. V. Sánchez-Rebull - 3195-3213 Ownership structure and access to finance in developing countries
by Charilaos Mertzanis - 3214-3230 Does aggregate uncertainty explain size and value anomalies?
by Sofiane Aboura & Y. Eser Arisoy
July 2017, Volume 49, Issue 31
- 3017-3031 Do central bank foreign exchange interventions affect market expectations?
by Jaqueline Terra Moura Marins & Gustavo Silva Araujo & José Valentim Machado Vicente - 3032-3044 The nexus of white collar crimes: shadow economy, corruption and uninsured motorists
by Rajeev K. Goel & James W. Saunoris - 3045-3066 Does racial prejudice affect black entrepreneurship?: evidence exploiting spatial differences in prejudicial attitudes
by Nolan Kopkin - 3067-3085 IPOs’ signalling effects for speculative stock detection: evidence from the Stock Exchange of Thailand
by Kulabutr Komenkul & Mohamed Sherif & Bing Xu - 3086-3099 Winning the Olympic host city election: key success factors
by Wolfgang Maennig & Christopher Vierhaus - 3100-3113 Effects of foreign equity participation on recipient firm exports
by Prabal K. De & Priya Nagaraj - 3114-3128 Poverty among ethnic minorities: the transition process, inequality and economic growth
by Anh Tuan Bui & Cuong Viet Nguyen & Thu Phuong Pham
June 2017, Volume 49, Issue 30
- 2910-2921 Yield spreads, currency movements, and recession predictability for southern border economies in the United States
by Thomas M. Fullerton & Elías D. Saenz-Rojo & Adam G. Walke - 2922-2938 Religiosity and income: a panel cointegration and causality analysis
by Dierk Herzer & Holger Strulik - 2939-2955 Cointegration and spatial price transmission among wheat and wheat-flour markets in Afghanistan
by Najibullah Hassanzoy & Shoichi Ito & Hiroshi Isoda & Yuichiro Amekawa - 2956-2973 Marriage equality and interstate migration
by Laura Beaudin - 2974-2988 Banks’ efficiency and credit risk analysis using by-production approach: the case of Iranian banks
by Ruhul Salim & Amir Arjomandi & K. Hervé Dakpo - 2989-3004 In love with the debit card but still married to cash
by Carin van der Cruijsen & Lola Hernandez & Nicole Jonker - 3005-3015 Health insurer market power and employer size: an empirical evaluation of insurer concentration and wages through compensating differentials
by Christopher S. Brunt & John R. Bowblis
June 2017, Volume 49, Issue 29
- 2797-2816 Globalization and household saving: is there a link?
by Xiaofen Chen - 2817-2828 Quantile serial dependence in crude oil markets: evidence from improved quantilogram analysis with quantile wild bootstrapping
by Jen-Je Su & Adrian (Wai-Kong) Cheung & Eduardo Roca - 2829-2850 Perceived trade-off between education and sports career: evidence from professional football
by Sascha L. Schmidt & Benno Torgler & Verena Jung - 2851-2860 Sovereign risk and deposit dynamics: evidence from Europe
by David Grigorian & Vlad Manole - 2861-2874 Training and employee mobility in the British private and public sectors
by Genevieve Knight & Michael White - 2875-2892 Private or public school advantage? Evidence from 40 countries using PISA 2012-Mathematics
by Chris Sakellariou - 2893-2909 Confidence and the transmission of macroeconomic uncertainty in U.S. recessions
by Fang Zhang
June 2017, Volume 49, Issue 28
- 2697-2710 The human capital and economic growth nexus: in East and South Asia
by Anjum Siddiqui & Atiq ur Rehman - 2711-2718 Effects of short sale ban on financial liquidity in crisis and non-crisis periods: a propensity score-matching approach
by Yan Zhang & Shin S. Ikeda - 2719-2735 Using semantic fingerprinting in finance
by Feriha Ibriyamova & Samuel Kogan & Galla Salganik-Shoshan & David Stolin - 2736-2748 Why do firms choose zero-leverage policy? Evidence from China
by Zhen Huang & Wanli Li & Weiwei Gao - 2749-2765 Revisiting the Okun relationship
by Robert Dixon & G. C. Lim & Jan C. van Ours - 2766-2778 Price clustering on the Shanghai Stock Exchange
by Bill Hu & Christine Jiang & Thomas McInish & Haigang Zhou - 2779-2796 Who participates in tax avoidance? Evidence from Swedish microdata
by Annette Alstadsæter & Martin Jacob
June 2017, Volume 49, Issue 27
- 1-1 Erratum
by The Editors - 2606-2617 Shipping the good fish out? An empirical study on the EU seafood imports under the EU’s Generalized System of Preferences
by Jinghua Xie & Dengjun Zhang - 2618-2629 Effects of attending preschool on adolescents’ outcomes: evidence from China
by Shiying Zhang - 2630-2641 The effects of environmental provisions in RTAs on PM2.5 air pollution
by Li Zhou & Xi Tian & Zhengyi Zhou - 2642-2654 Kosovo – EU trade relations: a dynamic panel poisson approach
by Petrit Gashi & Mehtap Hisarciklilar & Geoffrey Pugh - 2655-2668 Corporate governance, human capital, and productivity: evidence from Chinese non-listed firms
by Gaowen Kong & Dongmin Kong - 2669-2678 The choice between civil service and entrepreneurship in the presence of credit rationing
by Yao-Tung Chen & Ker-Tah Hsu & Ming-Sung Kao & Yuh-Yao Lin - 2679-2696 The countercyclical role of Italian local banks during the financial crisis
by Dorel N. Manitiu & Giulio Pedrini
June 2017, Volume 49, Issue 26
- 2508-2514 The sectoral effects of Brexit on the British economy: early evidence from the reaction of the stock market
by Vikash Ramiah & Huy N. A. Pham & Imad Moosa - 2515-2531 Financial markets and firm size: The role of employment protection laws and barriers to entrepreneurship
by Raquel Fonseca & Natalia Utrero - 2532-2544 How is the worker’s weekly hour related to wage over the life cycle? The U.S. evidence
by Madhu S. Mohanty & Aria Golestani - 2545-2562 The employment dynamics of different population groups over the business cycle
by Christian Bredemeier & Roland Winkler - 2563-2578 Overeducation, job mobility and earnings mobility among holders of first degrees
by Dmitri Romanov & Aviad Tur-Sinai & Galit Eizman - 2579-2589 Modelling exchange rate volatility with random level shifts
by Ye Li & Pierre Perron & Jiawen Xu - 2590-2605 Forecasting REIT volatility with high-frequency data: a comparison of alternative methods
by Jian Zhou
May 2017, Volume 49, Issue 25
- 2395-2408 The two ways of FDI R&D spillovers: evidence from the French manufacturing industry
by H. Ben Hassine & F. Boudier & C. Mathieu - 2409-2427 Global financial crisis and dependence risk analysis of sector portfolios: a vine copula approach
by Jose Arreola Hernandez & Shawkat Hammoudeh & Duc Khuong Nguyen & Mazin A. M. Al Janabi & Juan Carlos Reboredo - 2428-2442 Predicting the competitive relationships of industrial production between Taiwan and China using Lotka–Volterra model
by Bi-Huei Tsai - 2443-2455 Decentralized and concentrated investments in China and the performance of Taiwanese listed electronic companies
by Wei-Kang Wang & Wen-Min Lu & Qian Long Kweh & Yu-Li Liu - 2456-2479 Analysing dynamic linkages and hedging strategies between Islamic and conventional sector equity indexes
by Walid Mensi & Shawkat Hammoudeh & Ahmet Sensoy & Seong-Min Yoon - 2480-2490 The negative consequences of school bullying on academic performance and mitigation through female teacher participation: evidence from Ghana
by Shahriar Kibriya & Zhicheng Phil Xu & Yu Zhang - 2491-2507 Asymmetric effects of oil price shocks on stock returns: evidence from a two-stage Markov regime-switching approach
by Huiming Zhu & Xianfang Su & Wanhai You & Yinghua Ren
May 2017, Volume 49, Issue 24
- 2298-2315 Identifying terms of trade shocks in a developing country using a sign restrictions approach
by Kagiso Mangadi & Jeffrey Sheen - 2316-2321 Forecasting inflation in an inflation targeting economy: structural versus nonstructural models
by Rangan Gupta - 2322-2338 The bullwhip effect on inventory: a perspective on information quality
by Jizhou Lu & Gengzhong Feng & Kin Keung Lai & Nengmin Wang - 2339-2351 Local government type and municipal bond ratings: what’s the relationship?
by John Dove - 2352-2364 International spillovers of ECB’s unconventional monetary policy: the effect on Central Europe
by Roman Horvath & Klara Voslarova - 2365-2378 The role of financial systems for cross-country differences in the link between income and consumption inequality
by Xinhua Gu & Yang Zhang & Xiao Chang - 2379-2393 Generation and distribution of the total factor productivity gains in US industries
by Jean-Philippe Boussemart & Hervé Leleu & Edward Mensah
May 2017, Volume 49, Issue 23
- 2216-2225 Differential effects of mother’s and child’s postnatal WIC participation on breastfeeding
by Iryna Topolyan & Xu Xu - 2226-2237 The effects of haze pollution on stock performances: evidence from China
by Yihao Zhang & Yu Jiang & Yongji Guo - 2238-2252 Who provides the capital for Chinese growth: the public or the private sector?
by Xiaodong Chen & Patrick Minford & Kun Tian & Peng Zhou - 2253-2258 The relationship between export market orientation and export performance: an empirical study
by Majed Barjas G. Alotaibi & Yabin Zhang - 2259-2268 A new generalized volatility proxy via the stochastic volatility model
by Jong-Min Kim & Hojin Jung & Li Qin - 2269-2285 Unbundling institutional determinants of multinational investments
by Xinpeng Xu & Jan P. Voon & Yan Shang - 2286-2297 Corporate leverage and the terms of employment: evidence from French small businesses before and during the global crisis
by Ramzi Benkraiem & Mondher Bouattour & Anthony Miloudi & Ludovic Vigneron
May 2017, Volume 49, Issue 22
- 2125-2140 Dynamic relationships between crude oil prices and socially responsible investing in Brazil: evidence for linear and non-linear causality
by E. M. de Oliveira & F. A. F. S. Cunha & F. L. Cyrino Oliveira & C. P. Samanez - 2141-2152 Non-parametric analysis of poverty duration using repeated cross section: an application for Peru
by Gustavo Canavire-Bacarreza & Marcos Robles - 2153-2165 The prodigal son: does the younger brother always care for his parentsin old age?
by Mizuki Komura & Hikaru Ogawa - 2166-2178 Main banks’ influence on financial reporting quality in Japan
by Kazuhiko Kobori & Robert Hutchinson & Ping-Chang Lee & Yao-Chuan Tsai & Tsing-Zai C. Wu - 2179-2187 A contribution on the nature and treatment of missing data in large market surveys
by Gary Madden & María Rosalía Vicente & Paul Rappoport & Andy Banerjee - 2188-2202 Trade-creation and trade-diversion effects of regional trade arrangements: low-income countries
by Mamit Deme & Estrella R. Ndrianasy - 2203-2215 A common factor of stochastic volatilities between oil and commodity prices
by Eunhee Lee & Doo Bong Han & Rodolfo M. Nayga
May 2017, Volume 49, Issue 21
- 2027-2040 Estimating tuition elasticities of resident and non-resident enrolments at south-eastern public universities
by Meghan Millea & Sandra Orozco-Aleman - 2041-2059 Is there an ‘interest rate – speculation’ relationship? Evidence from G7 in the pre- and post-2008 crisis
by Kui-Wai Li - 2060-2082 Do sovereign rating announcements affect emerging market exchange rate correlations? A multivariate DCC-GARCH approach
by Veysel Eraslan - 2083-2095 The effect of individual uncertainty on the specificity of human capital: empirical evidence from career developments in professional soccer
by Steffen Merkel & Sascha L. Schmidt & Benno Torgler - 2096-2105 A wavelet-based panel unit-root test in the presence of an unknown structural break and cross-sectional dependency, with an application of purchasing power parity theory in developing countries
by A. Almasri & K. Månsson & P. Sjölander & G. Shukur - 2106-2116 On the profitability of commercial banks: the Sri Lankan case
by Chatura Ariyadasa & E. A. Selvanathan & M. A. B. Siddique & Saroja Selvanathan - 2117-2124 Estimation of relative risk aversion across time
by Thomas E. Conine & Michael B. McDonald & Maurry Tamarkin
April 2017, Volume 49, Issue 20
- 1923-1936 An empirical analysis on the determinants of overweight and obesity in China
by Ping Gao & Junyi Shen - 1937-1949 Factors influencing commercial buildings to obtain green certificates
by Yueming (Lucy) Qiu & Xin Su & Yi David Wang - 1950-1962 Understanding resource investments
by Kenneth Clements & Liang Li - 1963-1980 Performance assessment for electronic manufacturing service providers using two-stage super-efficiency SBM model
by Chia-Nan Wang & Hsien-Pin Hsu & Yen-Hui Wang & Thi-Thu-Huyen Pham - 1981-1993 Modelling the relationship between future energy intraday volatility and trading volume with wavelet
by Zied Ftiti & Fredj Jawadi & Waël Louhichi - 1994-2010 Wage, foreign-owned firms, and productivity spillovers via labour turnover: a non-linear analysis based on Chinese firm-level data
by Youxing Huang & Yan Zhang - 2011-2026 Cross-border commuting and consuming: an empirical investigation
by Thomas Y. Mathä & Alessandro Porpiglia & Michael Ziegelmeyer
April 2017, Volume 49, Issue 19
- 1833-1846 Socially responsible products: what motivates consumers to pay a premium?
by Leslie J. Verteramo Chiu & Jura Liaukonyte & Miguel I. Gómez & Harry M. Kaiser - 1847-1854 Refitting the Kuznets curve using a gender-specific threshold model
by Tom Kennedy & Russell Smyth & Abbas Valadkhani & George Chen - 1855-1874 Australian financial firms’ exposures to the level, slope, and curvature of the interest rate term structure
by Md. Akhtaruzzaman & Abul Shamsuddin - 1875-1885 Index arbitrage and dynamics between REIT index futures and spot prices
by Jian Zhou - 1886-1900 Operating lease decision and the impact of capitalization in a bank-oriented country
by Begoña Giner & Francisca Pardo - 1901-1912 Financial components of FDI and choice of capital structure: an analysis for 30 OECD countries
by Burcak Polat - 1913-1921 Quantile unit root test and the PPP in Africa
by Mohsen Bahmani-Oskooee & Tsangyao Chang & Tsung-Hsien Chen & Han-Wen Tzeng
April 2017, Volume 49, Issue 18
- 1737-1750 Revisiting the finance–growth nexus: the Turkish case, 1980–2010
by Mustafa Ismihan & Burcu Dinçergök & Seyit Mümin Cilasun - 1751-1762 Financial inclusion: measurement, spatial effects and influencing factors
by Xiuhua Wang & Jian Guan - 1763-1773 Estimating the impact of incidents on urban controlled-access highways: an empirical analysis
by Louis de Grange & Rodrigo Troncoso & Nicolás Odeh & Felipe González - 1774-1793 Oil currencies in the face of oil shocks: what can be learned from time-varying specifications?
by Jean-Pierre Allegret & Cécile Couharde & Valérie Mignon & Tovonony Razafindrabe - 1794-1807 Stock prices, inflation and inflation uncertainty in the U.S.: testing the long-run relationship considering Dow Jones sector indexes
by Claudiu Tiberiu Albulescu & Christian Aubin & Daniel Goyeau - 1808-1820 An experimental evaluation of a proactive pastoral care initiative within an introductory university course
by M. P. Cameron & S. Siameja - 1821-1832 Trend shifts in the forward premium and the predictability of excess returns in currency markets
by Dooyeon Cho & Sungju Chun
April 2017, Volume 49, Issue 17
- 1655-1667 Modelling the volatility of the tanker freight market based on improved empirical mode decomposition
by Jiao Zhang & Qingcheng Zeng - 1668-1678 The self-reinforcing dynamics of economic insecurity and obesity
by Nicholas Rohde & KK Tang & Lars Osberg - 1679-1688 Do movie contents influence box-office revenues?
by Pedro Garcia-del-Barrio & Hugo Zarco - 1689-1705 Relationships between corruption, political orientation, and income inequality: evidence from Latin America
by Luis Enrique Pedauga & Lucien David Pedauga & Blanca L. Delgado-Márquez - 1706-1714 Use of quadratic terms in Type 2 Tobit models
by Thomas W. Zuehlke - 1715-1731 A comparison of risk aggregation estimates using copulas and Fleishman distributions
by Gary van Vuuren & Riaan de Jongh - 1732-1736 Native-immigrant wage differentials in Greece: discrimination and assimilation
by Michael Chletsos & Stelios Roupakias
April 2017, Volume 49, Issue 16
- 1557-1570 What determines the value of recommendation change? A preliminary analysis
by Omar Farooq - 1571-1583 Impact of improved water services in informal neighbourhoods in Ouagadougou
by Anne Briand & Amandine Loyal Laré-Dondarini - 1584-1592 The effect of oil prices on stock prices: fresh evidence from asymmetric causality tests
by Abdulnasser Hatemi-J & Abdulrahman Al Shayeb & Eduardo Roca - 1593-1605 Valuing cultural world heritage sites: an application of the travel cost method to Mont-Saint-Michel
by Louinord Voltaire & Loic Lévi & Frédérique Alban & Jean Boncoeur - 1606-1626 Accruals quality, managers’ incentives and stock market reaction: evidence from Europe
by Antonio Cerqueira & Claudia Pereira - 1627-1636 Economic efficiency adjusted for risk preferences
by Elizabeth A. Yeager & Michael R. Langemeier - 1637-1654 Oil prices and economic downturns: the case of Spain
by Isidro Frías-Pinedo & Rosario Díaz-Vázquez & Ana Iglesias-Casal
March 2017, Volume 49, Issue 15
- 1459-1472 Executive shareholding, compensation, and analyst forecast of Chinese firms
by Wei Huang & Agyenim Boateng - 1473-1482 How the heterogeneity in investment horizons affects market trends
by Daye Li & Rongrong Li & Qiankun Sun - 1483-1490 Blaming suicide on NASA and divorce on margarine: the hazard of using cointegration to derive inference on spurious correlation
by Imad A. Moosa - 1491-1512 Commodity currencies and commodity prices: modelling static and time-varying dependence
by Katja Ignatieva & Natalia Ponomareva - 1513-1526 How do great shocks influence the correlation between oil and international stock markets?
by Bing Zhang - 1527-1542 Oil price–inflation pass-through in Romania during the inflation targeting regime
by Claudiu Tiberiu Albulescu & Cornel Oros & Aviral Kumar Tiwari - 1543-1556 Impact of input substitution and output transformation on data envelopment analysis decisions
by Darold Barnum & Jason Coupet & John Gleason & Abagail McWilliams & Annaleena Parhankangas
March 2017, Volume 49, Issue 14
- 1345-1350 Social comparisons of wage increases and job satisfaction
by Christian Grund & Maike Rubin - 1351-1378 Extreme bounds of subjective well-being: economic development and micro determinants of life satisfaction
by Muhammad F. Bhuiyan & Radek S. Szulga - 1379-1394 Is there a wage premium for volunteer OSS engagement? – signalling, learning and noise
by Jürgen Bitzer & Ingo Geishecker & Philipp J. H. Schröder - 1395-1413 Who was affected by new welfare reform strategies? Microdata estimates from Canada
by Nathan Berg & Todd Gabel - 1414-1425 How have global financial institutions responded to the challenges of the post-crisis era?
by Michael S. Pagano - 1426-1439 What drives compliance? An application of the theory of planned behaviour to urban water restrictions using structural equation modelling
by Bethany Cooper - 1440-1457 Natural disasters and university enrolment: evidence from L’Aquila earthquake
by Augusto Cerqua & Giorgio Di Pietro
March 2017, Volume 49, Issue 13
- 1241-1254 The determinants of FDI location choice in China: a discrete-choice analysis
by Omar Belkhodja & Muhammad Mohiuddin & Egide Karuranga - 1255-1272 Impact of macroeconomic factors and country risk ratings on GCC stock markets: evidence from a dynamic panel threshold model with regime switching
by Walid Mensi & Shawkat Hammoudeh & Seong-Min Yoon & Mehmet Balcilar - 1273-1286 CO emissions in Australia: economic and non-economic drivers in the long-run
by Muhammad Shahbaz & Mita Bhattacharya & Khalid Ahmed - 1287-1297 Modelling and analysing voting behaviour: the case of the Spanish general elections
by E. De La Poza & L. Jódar & A. Pricop - 1298-1310 The caregiving responsibilities of retirees: what are they and how do they affect retirees’ well-being?
by Charlene M. Kalenkoski & Eakamon Oumtrakool - 1311-1325 The subjective well-being of workfare participants: insights from a day reconstruction survey
by Andreas Knabe & Ronnie Schöb & Joachim Weimann - 1326-1343 Short-term forecasting with mixed-frequency data: a MIDASSO approach
by Boriss Siliverstovs
March 2017, Volume 49, Issue 12
- 1147-1163 Long term trends in fair and unfair inequality in the United States
by Andrew Hussey & Michael Jetter - 1164-1184 The three s of public schools: irrelevant inputs, insufficient resources and inefficiency
by Daniel J. Henderson & Léopold Simar & Le Wang - 1185-1193 Non-public competition and public school performance: evidence from West Virginia
by Richard J. Cebula & Joshua C. Hall & Maria Y. Tackett - 1194-1203 LM cointegration tests allowing for an unknown number of breaks: implications for the forward rate unbiasedness hypothesis
by Dong-Yop Oh & Hyejin Lee - 1204-1212 Preseason bias in the NFL and NBA betting markets
by Justin L. Davis & Kevin Krieger - 1213-1225 Permanent shocks and forecasting with moving averages
by Yoonsuk Lee & B. Wade Brorsen - 1226-1240 Educational mismatch and promotions to managerial positions: a test of the career mobility theory
by Philipp Grunau & Marco Pecoraro
March 2017, Volume 49, Issue 11
- 1047-1054 Long memory, economic policy uncertainty and forecasting US inflation: a Bayesian VARFIMA approach
by Mehmet Balcilar & Rangan Gupta & Charl Jooste - 1055-1070 Macroeconomic impacts of China’s foreign exchange reserve accumulation: a vector autoregression analysis using pure-sign-restriction approach
by Li Nie - 1071-1082 The determinants of tendering periods for PPP procurement in the UK: an empirical analysis
by Eoin Reeves & Dónal Palcic & Darragh Flannery & R. Richard Geddes - 1083-1097 Carbon efficiency of US colleges and universities: a nonparametric assessment
by Michael E. O’Hara & Philip Sirianni - 1098-1113 Does self-fulfilment of the inflation expectation exist?
by Yingying Xu & Zhi-Xin Liu & Hsu-Ling Chang & Adelina Dumitrescu Peculea & Chi-Wei Su - 1114-1131 The (home) bias of European central bankers: new evidence based on speeches
by Hamza Bennani & Matthias Neuenkirch - 1132-1146 The lower bound and the causes of monetary policy inertia: evidence from Sweden
by Henry W. Chappell & Rob Roy McGregor
February 2017, Volume 49, Issue 10
- 941-953 Does personal background influence a finance minister to cook the books? An investigation of creative accounting in Swiss cantons
by Maxime Clémenceau & Nils Soguel - 954-971 The impact of international information disclosure requirements on market discipline
by Pedro de Araujo & Kirby I. Leyshon - 972-986 Synchronization and diversity in business cycles: a network analysis of the European Union
by David Matesanz Gomez & Hernan J. Ferrari & Benno Torgler & Guillermo J. Ortega - 987-1000 Does new health information affect health behaviour? The effect of health events on smoking cessation
by Christian Bünnings - 1001-1015 Duration of disability, job mismatch and employment outcomes
by Chung Choe & Marjorie L. Baldwin - 1016-1031 Modelling upstream and downstream market power in bilateral oligopoly
by Seongjin Park & Chanjin Chung & Kellie Curry Raper - 1032-1045 Financial development and relationship evolvement among money supply, economic growth and inflation: a comparative study from the U.S. and China
by Xiaolin Lu & Kun Guo & Zhi Dong & Xuan Wang
February 2017, Volume 49, Issue 9
- 845-859 On the role of governance and health aid on child mortality: a cross-country analysis
by Yashar Tarverdi & Anu Rammohan - 860-871 Evaluating the risk premium in the U.S.A. natural gas market: evidence from low-price regime
by Fernando Antonio Lucena Aiube & Carlos Patricio Samanez & Tara Keshar Nanda Baidya & Larissa de Oliveira Resende - 872-885 Behavioral heterogeneity in the Australian housing market
by Wai-Mun Chia & Mengling Li & Huanhuan Zheng - 886-902 Asymmetric spillover effects between the Shanghai and Hong Kong stock markets: evidence from quantile lagged regression
by Huiming Zhu & Yueli Tang & Peng Guo - 903-914 Relative demand for highly skilled workers and use of different ICT technologies
by Martin Falk & Federico Biagi - 915-928 A stylized model of home buyers’ and bankers’ behaviours during the 2007-2009 US subprime mortgage crisis: a predatory perspective
by Olivier Mesly & François-Éric Racicot - 929-939 Risk assessment of oil price from static and dynamic modelling approaches
by Zhi-Fu Mi & Yi-Ming Wei & Bao-Jun Tang & Rong-Gang Cong & Hao Yu & Hong Cao & Dabo Guan