Content
December 2016, Volume 48, Issue 58
- 5676-5698 The effects of foreign strategic investors on business models in China’s commercial banks: does ownership structure matter?
by Maoyong Cheng & Hong Zhao & Mingming Zhou - 5699-5716 To defer or not defer? UK state pension and work decisions in a lifecycle model
by Ricky Kanabar & Peter Simmons - 5717-5730 What’s powering wind? The effect of the U.S. state renewable energy policies on wind capacity (1994–2012)
by Karen Maguire - 5731-5747 Did large institutional investors flock into the technology herd? An empirical investigation using a vector Markov-switching model
by Aram Balagyozyan & Esin Cakan
December 2016, Volume 48, Issue 57
- 5525-5545 The asymmetric relationship between executive earnings management and compensation: a panel threshold regression approach
by Leon Li & Mark J. Holmes & Bong Soo Lee - 5546-5562 Exchange rate and foreign GDP elasticities of Swiss exports across sectors and destination countries
by Sandra Hanslin Grossmann & Sarah M. Lein & Caroline Schmidt - 5563-5580 Credit rationing or overlending? An exploration into financing imperfection
by Jean Bonnet & Sylvie Cieply & Marcus Dejardin - 5581-5592 Is firm-sponsored training a palliative? A common agency approach
by H. Lasram & Didier G. Laussel - 5593-5604 Do women borrowers augment financial performance of MFIs?
by Shahnaz Abdullah & Shakil Quayes - 5605-5624 Relative scarcity and convenience yield: evidence from non-ferrous metals
by Akihiro Omura & Richard Chung & Neda Todorova & Bin Li - 5625-5638 Transparency and trust: the case of the European Central Bank
by Roman Horvath & Dominika Katuscakova
December 2016, Volume 48, Issue 56
- 5421-5436 Financial development and poverty: evidence from the CFA Franc Zone
by Youssouf Kiendrebeogo & Alexandru Minea - 5437-5447 Growth opportunities and trade credit: evidence from Chinese listed firms
by Sekyung Oh & Woo Sung Kim - 5448-5461 An empirical study of third-party purchase: New Zealand users’ perspective
by Yangyan Shi & Tiru Arthanari & Lincoln C. Wood - 5462-5484 Short-selling constraints and stock-valuation pattern: a regime–event analysis
by Min Bai & Xiao-Ming Li & Yafeng Qin - 5485-5496 The triggers and clustering properties of merger waves
by Florian Szücs - 5497-5512 Valuing externalities from energy infrastructures through stated preferences: a geographically stratified sampling approach
by Sergio Giaccaria & Vito Frontuto & Silvana Dalmazzone - 5513-5524 Soccer transfers, team efficiency and the sports cycle in the most valued European soccer leagues – have European soccer teams been efficient in trading players?
by Paulo Reis Mourao
November 2016, Volume 48, Issue 55
- 1-1 Corrigendum
by The Editors - 5329-5339 Asset price momentum and monetary policy: time-varying parameter estimation of Taylor Rules
by Ramaprasad Bhar & A. G. Malliaris - 5340-5347 Social benefit expenditures and stagflation: evidence from the United States
by J. F. Li & Z. X. Lin - 5348-5363 The relationship between the markets for health insurance and medical malpractice insurance
by J. Bradley Karl & Patricia H. Born & W. Kip Viscusi - 5364-5378 Allocative and scale efficiency among maize farmers in Zambia: a zero efficiency stochastic frontier approach
by Abdul Nafeo Abdulai & Awudu Abdulai - 5379-5395 Why firm size matters: investigating the drivers of innovation and economic performance in New Zealand using the
by Shangqin Hong & Les Oxley & Philip McCann & Trinh Le - 5396-5404 The information content of implied volatility in developed versus developing FX markets
by Nicoleta Iliescu & Satyaki Dutta - 5405-5420 The expectations hypothesis of the term structure of interest rates and monetary policy: some evidence from Asian countries
by Chiara Guerello & Marco Tronzano
November 2016, Volume 48, Issue 54
- 5233-5245 Price transmission in the international skim milk powder markets
by Panos Fousekis & Emmanouil Trachanas - 5246-5256 Population and lifestyle trend changes in China: implications for environmental quality
by Nicholas Apergis & Jun Li - 5257-5275 Tacit collusion in housing markets: the case of Santiago, Chile
by Miguel Vargas - 5276-5291 Competition and efficiency in the MENA banking region: a non-structural DEA approach
by Nicholas Apergis & Michael L. Polemis - 5292-5299 Optimal penalty and accounting policy
by Masatomo Akita & Yusuke Osaki - 5300-5313 Light fuel demand and public policies in Brazil, 2003–2013
by Luciano Rodrigues & Mirian Rumenos Piedade Bacchi - 5314-5328 The effects of the high school curriculum on school dropout
by Katja Görlitz & Christina Gravert
November 2016, Volume 48, Issue 53
- 5129-5137 The effect of sample size on European Union’s renewable energy investment drivers
by Gyanendra Singh Sisodia & Isabel Soares & Paula Ferreira - 5138-5151 Measuring the degree of competition in Pakistan’s banking industry: an empirical analysis
by Faisal Mehmood Mirza & Olvar Bergland & Isma Khatoon - 5152-5167 Measuring capital services by energy use: an empirical comparative study
by Jürgen Bitzer & Erkan Gören - 5168-5185 Are U.S. growth and value stocks similarly integrated with the world markets? A test across business cycles
by Shailesh Rana & G. Michael Phillips - 5186-5200 The interactive effects of human capital and quality of life on economic growth
by Qin Fan & Stephan J. Goetz & Jiaochen Liang - 5201-5220 Nature of transfers, income tax function and empirical estimation of elasticity of taxable income for Brazil
by Enlinson Mattos & Rafael Terra - 5221-5232 Pollution, energy use, GDP and trade: estimating the long-run relationship for Vietnam
by Sajid Anwar & W. Robert J. Alexander
November 2016, Volume 48, Issue 52
- 5023-5044 What drives the choice of the type of partner in R&D cooperation? Evidence for Spanish manufactures and services
by Erika Raquel Badillo & Rosina Moreno - 5045-5059 Promoting entry of high-quality workers through US immigration policy
by Lawrence Brunner & Joseph Pate - 5060-5074 Has regulatory reform had any impact on bank efficiency in Indonesia? A two-stage analysis
by Felisitas Defung & Ruhul Salim & Harry Bloch - 5075-5092 Liquidity and equity returns in Borsa Istanbul
by Yigit Atilgan & K. Ozgur Demirtas & A. Doruk Gunaydin - 5093-5105 Board independence and operating performance: analysis on (French) company and individual data
by Sandra Cavaco & Edouard Challe & Patricia Crifo & Antoine Rebérioux & Gwenaël Roudaut - 5106-5116 Productivity comparison of European airlines: bootstrapping Malmquist indices
by Chyan Yang & Tung-Pao Wang - 5117-5127 Sustainable competitive advantage and stock performance: the case for wide moat stocks
by Srinidhi Kanuri & Robert W. McLeod
November 2016, Volume 48, Issue 51
- 4907-4921 Macroeconomic policy uncertainty shocks on the Chinese economy: a GVAR analysis
by Liyan Han & Mengchao Qi & Libo Yin - 4922-4941 Convergence and spillover of house prices in Chinese cities
by William W. Chow & Michael K. Fung & Arnold C. S. Cheng - 4942-4960 Time-varying relationship of news sentiment, implied volatility and stock returns
by Lee A. Smales - 4961-4976 Exchange rate and Chinese outward FDI
by Hai Yue Liu & Ivan Deseatnicov - 4977-4991 High-low range in GARCH models of stock return volatility
by Peter Molnár - 4992-5007 How to explain carbon price using market micro-behaviour?
by Ying Fan & Yin-Peng Liu & Jian-Feng Guo - 5008-5021 U.S. foreign direct investment in Latin America and the Caribbean: a case of remittances and market size
by Pablo A. Garcia-Fuentes & P. Lynn Kennedy & Gustavo F. C. Ferreira
October 2016, Volume 48, Issue 50
- 4799-4812 Rating the credit rating agencies
by Dror Parnes & Sagi Akron - 4813-4822 Childhood obesity and the income gradient: evidence from Australia
by Son Nghiem & Rasheda Khanam - 4823-4845 Age dependency and labour productivity divergence
by Misbah Tanveer Choudhry & Enrico Marelli & Marcello Signorelli - 4846-4860 Forecasting Brazilian inflation by its aggregate and disaggregated data: a test of predictive power by forecast horizon
by Thiago Carlomagno Carlo & Emerson Fernandes Marçal - 4861-4877 Does remittance fuel labour productivity in Bangladesh? The application of an asymmetric non-linear ARDL approach
by Md. Al Mamun & Kazi Sohag & Nahla Samargandi & Farida Yasmeen - 4878-4893 Cost of debt and federal home loan bank funding at U.S. bank and thrift holding companies
by Scott Deacle & Elyas Elyasiani - 4894-4905 Portfolio optimization through Kriging methods
by Marcelo Rosário da Barrosa & Arthur Valle Salles & Celma de Oliveira Ribeiro
October 2016, Volume 48, Issue 49
- 1-1 Erratum
by The Editors - 4699-4718 Measuring bank competition under binding interest rate regulation: the case of China
by Bing Xu & Adrian van Rixtel & Michiel van Leuvensteijn - 4719-4731 Non-elective C-sections in public hospitals: capacity constraints and doctor incentives
by Alejandro Arrieta & Ariadna García Prado - 4732-4746 Guns, laws and public shootings in the United States
by Benjamin M. Blau & Devon H. Gorry & Chip Wade - 4747-4757 Derivatives holdings and market values of U.S. bank holding companies
by Wonho Wilson Choi & Jinyong Kim & Mingook Kim - 4758-4772 Asymmetric monetary policy rules in Australia
by George B. Tawadros - 4773-4782 The dominant borrower syndrome
by M. Ali Choudhary & Sajawal Khan & Farooq Pasha & Muhammad Rehman - 4783-4798 Estimating fundamental and affordable housing price trends: a study based on Singapore
by Tilak Abeysinghe & Jiaying Gu
October 2016, Volume 48, Issue 48
- 4585-4605 Validity of sustainability framework for China’s mining cities – a structural equation modelling approach
by Zhongjun Zhang & Shunming Zhang & Fangfang Zhang & Jing Yu & Yanyang Zhu - 4606-4621 Maternal employment trajectories and caring for an infant or toddler with a disability
by Anna Zhu - 4622-4634 Cyclicality of taxes and external debt
by Noa Srebrnik & Michel Strawczynski - 4635-4654 Strength of co-movement between sector CDS indexes and relationship with major economic and financial variables over time and during investment horizons
by Besma Hkiri & Shawkat Hammoudeh & Chaker Aloui - 4655-4665 Predictability of sustainable investments and the role of uncertainty: evidence from a non-parametric causality-in-quantiles test
by Nikolaos Antonakakis & Vassilios Babalos & Clement Kyei - 4666-4689 The transmission from equity markets to commodity markets in crises periods
by Kae-Yih Tzeng & Joseph Chang Pying Shieh - 4690-4697 Ready to run: price determinants of thoroughbreds from 2 year olds in training sales
by Marion Robert & C. Jill Stowe
October 2016, Volume 48, Issue 47
- 4477-4501 The effect of ECB monetary policies on interest rates and volumes
by Jérôme Creel & Paul Hubert & Mathilde Viennot - 4502-4509 Smart, connected products change a company’s business strategy orientation
by Hana Mohelska & Marcela Sokolova - 4510-4525 The price of the euro: evidence from sovereign debt markets
by Erik Mäkelä - 4526-4537 Food environment and weight outcomes: a stochastic frontier approach
by Xun Li & Rigoberto A. Lopez - 4538-4557 Analyst coverage and stock return synchronicity: evidence from regulation changes in China’s IPO market
by Xuelian Bai & Fangjun Wang & Junrui Zhang - 4558-4572 Presidential approval and macroeconomic conditions: evidence from a nonlinear model
by Seung-Whan Choi & Patrick James & Yitan Li & Eric Olson - 4573-4583 Comparative evaluation of the cost of water in northern Malawi: from rural water wells to science education
by Rochelle Holm & Wales Singini & Simeon Gwayi
October 2016, Volume 48, Issue 46
- 4379-4392 Extreme dependence in price transmission analysis
by Feng Qiu & James Rude - 4393-4409 Crises and exchange rate regimes: time to break down the bipolar view?
by Jean-Louis Combes & Alexandru Minea & Moussé Sow - 4410-4418 The profitability of financial analysts’ recommendations: evidence from an emerging market
by R. Bellando & Z. Ben Braham & S. Galanti - 4419-4425 Asymmetric correlations in gold and other financial markets
by T. Miyazaki & S. Hamori - 4426-4446 Structural shifts in aid dependency and fiscal policy in developing countries
by Jean-Louis Combes & Rasmane Ouedraogo & Sampawende J.-A. Tapsoba - 4447-4461 Structural fiscal balances of the UK: a state-space DSGE approach
by Kai Liu - 4462-4475 Forecasting US consumer price index: does nonlinearity matter?
by Marcos Álvarez-Díaz & Rangan Gupta
September 2016, Volume 48, Issue 45
- 4271-4290 Are mortgage lenders guilty of the housing bubble? A UK perspective
by Qin Xiao & Steven Devaney - 4291-4298 Decomposing the bias in time-series estimates of CAPM betas
by H. Malloch & R. Philip & S. Satchell - 4299-4311 The effect of price targets on the composition of CEO pay
by Giuliano Bianchi - 4312-4336 Volatility–volume co-movements: evidence from China metal markets
by Ren Zhang & Arnold Polanski - 4337-4349 International aid from the recipient perspective: public or private good input assistance?
by Tatsuyoshi Miyakoshi - 4350-4365 A structural event study for M&As: an application in corporate governance
by Tarcisio da Graça & Robert Masson - 4366-4378 Optimizing time-series forecasts for inflation and interest rates using simulation and model averaging
by Adusei Jumah & Robert M. Kunst
September 2016, Volume 48, Issue 44
- 4183-4200 The influence of entrepreneur’s personal characteristics on MSEs growth through innovation
by Issam Laguir & Matthijs Den Besten - 4201-4209 Cointegration as an explanation for the Meese–Rogoff puzzle
by Imad A. Moosa & John J. Vaz - 4210-4226 Economic integration and stock market dynamic linkages: evidence in the context of Australia and Asia
by Sudharshan Reddy Paramati & Eduardo Roca & Rakesh Gupta - 4227-4237 Credibility of propensity score matching estimates. An example from Fair Trade certification of coffee producers
by Nicolas Lampach & Ulrich B. Morawetz - 4238-4250 News sentiment and overshooting of exchange rates
by Stefan Feuerriegel & Georg Wolff & Dirk Neumann - 4251-4256 Business cycle turning points based on DEA-discriminant analysis
by Tomoyuki Yagi & Masako Takahashi - 4257-4269 An analysis of wine and food consumption dynamics in Japan using a vector error correction model
by Makiko Omura
September 2016, Volume 48, Issue 43
- 4083-4097 Differences in the determinants and targeting of antidumping: China and India compared
by Ning Meng & Chris Milner & Huasheng Song - 4098-4111 Gender wage gap across the wage distribution in different segments of the Indian labour market, 1983–2012: exploring the glass ceiling or sticky floor phenomenon
by Malathy Duraisamy & P. Duraisamy - 4112-4130 The spillover effects of United States foreign trade zones
by Sucharita Ghosh & C. Lockwood Reynolds & Shawn M. Rohlin - 4131-4142 The random walk as a forecasting benchmark: drift or no drift?
by Imad Moosa & Kelly Burns - 4143-4155 Gender segregation and earnings differences in the Spanish labour market
by Juan Antonio Campos-Soria & Miguel Angel Ropero-García - 4156-4166 The determinants and profitability of switching costs in Chinese banking
by Wei Yin & Kent Matthews - 4167-4182 Weight discrimination in the German labour market
by Marina-Selini Katsaiti & Mrittika Shamsuddin
September 2016, Volume 48, Issue 42
- 3995-3998 The valuation of patents using third-party data: the Ocean Tomo 300 Patent Index
by Nathan Mauck & Stephen W. Pruitt - 3999-4018 The effectiveness of index futures hedging in emerging markets during the crisis period of 2008-2010: Evidence from South Africa
by Lumengo Bonga-Bonga & Ekerete Umoetok - 4019-4032 Forecasting development outcomes under alternative surplus labour assumptions
by Marc Jim M. Mariano & James A. Giesecke - 4033-4041 An extension of the asymmetric causality tests for dealing with deterministic trend components
by Abdulnasser Hatemi-J & Youssef El-Khatib - 4042-4050 Consumption tax revenue and personal income tax: analytical elasticities under non-standard tax structures
by José Félix Sanz-Sanz & Juan Manuel Castañer-Carrasco & Desiderio Romero-Jordán - 4051-4065 Reverse takeover: the moderating role of family ownership
by Isabel Feito-Ruiz & Clara Cardone-Riportella & Susana Menéndez-Requejo - 4066-4081 The relationship between risk-neutral and actual default probabilities: the credit risk premium
by W. Heynderickx & J. Cariboni & W. Schoutens & B. Smits
September 2016, Volume 48, Issue 41
- 3887-3898 Financial innovation, systematic risk and commercial banks’ stability in China: theory and evidence
by Qi-an Chen & Fangzhou Du - 3899-3911 Financing constraints on the size distribution of industrial firms: the Chinese experience
by Qigang Yuan & Yanping Zhao & Hui Shang & Wei Zhang & Zaghum Umar - 3912-3934 On the relationship among efficiency, capitalization and risk: does management matter in local banking market?
by Cristian Barra & Giovanna Bimonte & Roberto Zotti - 3935-3943 Inflation and inflation uncertainty in China
by Dou Jiang - 3944-3960 The role of price risk in China’s agricultural and fisheries exports to the US
by Dengjun Zhang & Yuqing Zheng - 3961-3975 Measuring the financial sustainability and its influential factors in local governments
by Andrés Navarro-Galera & Manuel Pedro Rodríguez-Bolívar & Laura Alcaide-Muñoz & María Deseada López-Subires - 3976-3994 The impact of a ‘soda tax’ on prices: evidence from French micro data
by Nicoletta Berardi & Patrick Sevestre & Marine Tépaut & Alexandre Vigneron
August 2016, Volume 48, Issue 40
- 3789-3803 Dynamic correlation and equicorrelation analysis of global financial turmoil: evidence from emerging East Asian stock markets
by Xiao Jing Cai & Shuairu Tian & Shigeyuki Hamori - 3804-3811 Cost of capital: spot rate or forward rate?
by H. Qi & Y. A. Xie - 3812-3825 Adoption of digital repositories for CO 2 emissions reduction: the case of Korea
by Wankeun Oh & Eun G. Park - 3826-3847 Portfolios in the Ibex 35 before and after the Global Financial Crisis
by Víctor M. Adame & Fernando Fernández-Rodríguez & Simon Sosvilla-Rivero - 3848-3860 Substitution between leisure activities: a quasi-natural experiment using sports viewing and cinema attendance
by Sofia Izquierdo Sanchez & Caroline Elliott & Robert Simmons - 3861-3876 Tuition fees and social segregation: lessons from a natural experiment at the University of Paris 9-Dauphine
by Léonard Moulin & David Flacher & Hugo Harari-Kermadec - 3877-3886 On the co-movement between coffee and cocoa prices in international markets
by F. Traoré & F. Badolo
August 2016, Volume 48, Issue 39
- 3695-3713 Is hedging successful at reducing financial risk exposure?
by Maria João Jorge & Mário Gomes Augusto - 3714-3722 Bivariate risk attitudes, informal care and saving
by Desu Liu - 3723-3733 Forecasts of the managed futures market -- an empirical analysis
by Ewelina Sokołowska - 3734-3751 Do financial distress and liquidity crises affect value and size premiums?
by Mohammed M. Elgammal & Tugba Bas & Orla Gough & Neeta Shah & Stefan van Dellen - 3752-3762 The effect of copayments on primary care utilization: results from a quasi-experiment
by Niklas Jakobsson & Mikael Svensson - 3763-3773 Energy consumption and economic growth in the United States
by Vipin Arora & Shuping Shi - 3774-3788 Do economic, institutional or political variables explain regulated wholesale unbundled local loop rate setting?
by Gary Madden & Christian M. Dippon & Hiroaki Suenaga
August 2016, Volume 48, Issue 38
- 3577-3604 Cost and learning efficiency drivers in Australian schools: a two-stage network DEA approach
by Peter Wanke & Vincent Blackburn & Carlos Pestana Barros - 3605-3625 Investment scaling up and the role of government
by Matteo F. Ghilardi & Sergio Sola - 3626-3643 Loan guarantees and the cost of debt: evidence from China
by Bin Liu & Charles Cullinan & Junrui Zhang & Fangjun Wang - 3644-3664 Productivity growth and stock returns: firm- and aggregate-level analyses
by Hyunbae Chun & Jung-Wook Kim & Randall Morck - 3665-3678 Can you do the wrong thing and still be right? Hypothesis testing in I(2) and near-I(2) cointegrated VARs
by Francesca Di Iorio & Stefano Fachin & Riccardo Lucchetti - 3679-3684 Investors’ heterogeneity and tranching
by Frank Yong Wang & Xu Wei & Li Li - 3685-3694 Impact of microcredit on borrowers’ expenditures: a fuzzy regression discontinuity design approach
by Khondker Aktaruzzaman & Omar Farooq
August 2016, Volume 48, Issue 37
- 3497-3507 Measuring the efficiency of health systems of OECD countries by data envelopment analysis
by Volkan Recai Cetin & Serdal Bahce - 3508-3525 Equities of scope as merger incentives under capital regulation: narrow versus synergy banking valuation
by Shi Chen & Jeng-Yan Tsai & Rosemary Jou - 3526-3537 Are contributions of time and money substitutes or complements?
by Wei Yang - 3538-3549 Profit persistence and stock returns
by Adelina Gschwandtner & Michael Hauser - 3550-3557 Combining value averaging and Bollinger Band for an ETF trading strategy
by Hung-Cheng Lai & Tseng-Chan Tseng & Sz-Chi Huang - 3558-3568 Detecting multiple factors in panel data: an application on the growth of local regions in China
by W.D. Chen - 3569-3575 Margin rate and the cycle: the role of trade openness
by Gilbert Cette & Rémy Lecat & Ahmed Ould Ahmed Jiddou
August 2016, Volume 48, Issue 36
- 3373-3398 Value of hedge and expected returns
by Jinpeng Ma & Max Tang & Yuming Wang - 3399-3415 Migrant remittances and fertility
by Amar I. Anwar & Mazhar Y. Mughal - 3416-3431 The impact of public and semi-public information on cotton futures market
by R. Xie & O. Isengildina-Massa & G. P. Dwyer & J. L. Sharp - 3432-3441 The franc shock and Swiss GDP: how long does it take to start feeling the pain?
by Boriss Siliverstovs - 3442-3461 The stock market effect of air pollution: evidence from China
by Q. Li & C.H. Peng - 3462-3484 How important is the credit channel in the transmission of monetary policy in Mexico?
by Raul Ibarra - 3485-3496 Dynamic Model for Market Competition and Price Rigidity
by G. R. Chen
July 2016, Volume 48, Issue 35
- 3277-3292 Risk aversion, fanning preference and volatility smirk on S&P 500 index options
by Jian Chen & Chenghu Ma - 3293-3306 Assessing equitable health financing for universal health coverage: a case study of South Africa
by John E. Ataguba - 3307-3321 Local employer competition and training of workers
by Sylvi Rzepka & Marcus Tamm - 3322-3328 Lottery pricing and price elasticity dispersion in the UK and Canada
by G. Geronikolaou & G. Papachristou - 3329-3344 What determines stock liquidity in Australia?
by Searat Ali & Benjamin Liu & Jen Je Su - 3345-3354 Can 1-day candlestick patterns be profitable on the 30 component stocks of the DJIA?
by Tsung-Hsun Lu & Yung-Ming Shiu - 3355-3372 The determinants of cognitive and non-cognitive educational outcomes: empirical evidence in Spain using a Bayesian approach
by José Manuel Cordero & Manuel Muñiz & Cristina Polo
July 2016, Volume 48, Issue 34
- 3175-3194 Has the capital accumulation in the Asian miracle economies been fuelled by growth?
by Jakob B. Madsen & Iqtiar Mamun - 3195-3207 Is health care a luxury? The debate revisited with new evidence from emerging economies
by Sanja Samirana Pattnayak & Alka Chadha - 3208-3227 Analysing remanufacturing decisions of supply chain members in uncertainty of consumer preferences
by Tong Shu & Huaisi Liao & Shou Chen & Shouyang Wang & Kin Keung Lai & Lu Gan - 3228-3243 Volatility--volume causality across single stock spot--futures markets in India
by Anshul Jain & Pratap Chandra Biswal & Sajal Ghosh - 3244-3252 Persistence, mean reversion and non-linearities in the US housing prices over 1830--2013
by Luis A. Gil-Alana & Rangan Gupta & Fernando Perez de Gracia - 3253-3263 Evaluation of the profitability of quality labels in rural tourism accommodation: a hedonic approach using propensity score matching
by Celia Bilbao & Luis Valdés - 3264-3276 Do price-earnings ratios explain investment decisions better than Tobin’s q ? Evidence from German firm-level data
by Filomena Pietrovito
July 2016, Volume 48, Issue 33
- 3081-3087 How does economic policy uncertainty drive gold--stock correlations? Evidence from the UK
by Ruzhao Gao & Bing Zhang - 3088-3103 Business environment, economic agglomeration and job creation around the world
by George Clarke & Yue Li & Lixin Colin Xu - 3104-3115 Just looking for a good game: competitive balance in the Korean Professional Baseball League
by Young Hoon Lee & Hayley Jang & Rodney Fort - 3116-3130 Forecasting the realized volatility in the Chinese stock market: further evidence
by Wang Pu & Yixiang Chen & Feng Ma - 3131-3147 Is growth corrupted or bureaucratic? Panel evidence from the enlarged EU
by E. Tsanana & X. Chapsa & C. Katrakilidis - 3148-3163 Assessing students’ equality of opportunity in OECD countries: the role of national- and school-level policies
by Michele Raitano & Francesco Vona - 3164-3174 The role of conference externalities and other factors in determining the annual recruiting rankings of football bowl subdivision (FBS) teams
by J. D. Pitts & B. Evans
July 2016, Volume 48, Issue 32
- 2973-2993 R&D intensity, economic growth and firm-size growth: theory and practice
by Oscar Afonso - 2994-3004 Estimating multi-period Value at Risk of oil futures prices
by Chunyang Zhou & Xiao Qin & Xundi Diao & Yingchen He - 3005-3019 What explains the total factor productivity gap between OECD economies and the U.S.?
by Eric C. Y. Ng & Ying Chu Ng - 3020-3032 Competition in shared markets and Major League Baseball broadcast viewership
by Brian M. Mills & Michael Mondello & Scott Tainsky - 3033-3048 Impacts of star-rated hotel expansion on inbound tourism development: evidence from China
by Ruyi Shi & Shengbao Ji & Xiaozhen Wang & Fan Li - 3049-3061 Conditional convergence in US disaggregated petroleum consumption at the sector level
by Hooi Hooi Lean & Vinod Mishra & Russell Smyth - 3062-3080 Consumer confidence and economic activity: a factor augmented VAR approach
by E. Kilic & S. Cankaya
July 2016, Volume 48, Issue 31
- 2883-2894 Two universal, probabilistic measures of competitive imbalance
by M. Kevin McGee - 2895-2898 A non-linear approach for predicting stock returns and volatility with the use of investor sentiment indices
by Stelios Bekiros & Rangan Gupta & Clement Kyei - 2899-2911 Quantile unit root test and PPP: evidence from 23 OECD countries
by Mohsen Bahmani-Oskooee & Omid Ranjbar - 2912-2936 Do changes in the fundamentals have symmetric or asymmetric effects on house prices? Evidence from 52 states of the United States of America
by Mohsen Bahmani-Oskooee & Seyed Hesam Ghodsi - 2937-2951 Bilateral real exchange rates and migration
by Sekou Keita - 2952-2964 Investor sentiment, variance risk premium and delta-hedged gains
by Yankun Chen & Jinghong Shu & Jin E. Zhang - 2965-2971 The efficiency of Mozambique soccer league: the Moçambola
by C. P. Barros & Dércio Mandlaze & Scott Tainsky
June 2016, Volume 48, Issue 30
- 2785-2791 Assessing the competition in Angola’s banking industry
by Carlos Pestana Barros & Zorro Mendes - 2792-2806 Inflation and inflation volatility in Thailand
by Akhand Akhtar Hossain & Popkarn Arwatchanakarn - 2807-2821 Dynamics of female labour force participation in France
by R. Collet & D. Legros