Content
February 2017, Volume 49, Issue 8
- 723-737 Dividend taxation and household dividend portfolio decisions: evidence from the U.S. Jobs and Growth Tax Relief Reconciliation Act of 2003
by Daeyong Lee - 738-755 What drives the high moments of hedge fund returns?
by H. Kent Baker & Imed Chkir & Samir Saadi & Ligang Zhong - 756-768 Does growing wealth influence hedge funds’ development? An empirical analysis
by Ewelina Sokołowska - 769-796 An investigation into the interdependence of global water indices: a VAR analysis
by Rajibur Reza & Gurudeo Anand Tularam & Bin Li - 797-811 The contribution of Western fast food to fast-growing body mass in China
by Meliyanni Johar & Shiko Maruyama & Jeffrey Truong - 812-822 Skewness preferences, asset prices and investor sentiment
by Benjamin M. Blau - 823-843 Explaining and forecasting bank loans. Good times and crisis
by Grégory Levieuge
February 2017, Volume 49, Issue 7
- 1-1 Erratum
by The Editors - 619-634 Wagner’s law versus displacement effect
by Yoshito Funashima - 635-649 Natural gas, trade and sustainable growth: empirical evidence from the top gas consumers of the developing world
by Md. Samsul Alam & Sudharshan Reddy Paramati & Muhammad Shahbaz & Mita Bhattacharya - 650-663 Effects of the structural change on transaction costs between North America natural gas spot markets
by Kannika Duangnate & James W. Mjelde - 664-676 Skillful hiding: evaluating hedge fund managers’ performance based on what they hide
by Rama Malladi & Frank J. Fabozzi - 677-692 An entropy-based analysis of the relationship between the DOW JONES Index and the TRNA Sentiment series
by David E Allen & Michael McAleer & Abhay K Singh - 693-701 Study on the price co-movement among the Asia Pacific, European and Chinese coal markets – based on the empirical analysis of MS-VEC model
by Ye Xue & Yiting Huang - 702-721 An increase in the retirement age in China: the regional economic effects
by Anping Chen & Nicolaas Groenewold
February 2017, Volume 49, Issue 6
- 515-520 How does the diversity of investors’ beliefs affect stock price informativeness?
by Xu Wei - 521-533 Cost–benefit analysis – evaluation model of cloud computing deployment for use in companies
by Petra Maresova & Vladimir Sobeslav & Ondrej Krejcar - 534-546 Corruption, product complexity and African exporters
by Hasan A. Faruq - 547-572 A cross-cultural study of and auditor independence in two economies: evidence from China and the United States
by Philip Law - 573-586 The product life cycle and sample representativity bias in price indexes
by Daniel Melser & Iqbal A. Syed - 587-605 Does corporate social responsibility make over-educated workers more productive?
by R. Giuliano & B. Mahy & F. Rycx & G. Vermeylen - 606-617 Analysis of interregional industry linkage and economic distance in China: evidence from the mining industry
by Zhaohua Wang & Junwei Sun
January 2017, Volume 49, Issue 5
- 1-1 Erratum
by The Editors - 403-416 The effect of remittances on democratic institutions
by Regan Deonanan & Kevin Williams - 417-432 The impact of public research contracts on scientific productivity
by César Alonso-Borrego & Antonio Romero-Medina & Rocío Sánchez-Mangas - 433-445 Return predictability in emerging equity market sectors
by Andrei Shynkevich - 446-455 Institutional investors and opportunistic seasoned equity offerings in the Korean stock market
by Chune Young Chung & Chang Liu - 456-476 A tale of two states: asymmetries in the UK small, value and momentum premiums
by Golam Sarwar & Cesario Mateus & Natasa Todorovic - 477-497 Using the travel cost method to value visits and stigma in connection with ARV adherence in Uganda
by Robert J. Brent - 498-514 Environmental performance, corruption and economic growth: global evidence using a new data set
by Chun-Ping Chang & Yu Hao
January 2017, Volume 49, Issue 4
- 313-334 Member states’ pact and industry co-movements in the BRICS markets
by Chien-Chiang Lee & Mei-Ping Chen & Erh-Yin Sun - 335-348 Heterogeneous sports participation and labour market outcomes in England
by Michael Lechner & Paul Downward - 349-360 The mystery of the Chinese exchange rate regime: basket or no basket?
by Imad Moosa & Larry Li - 361-375 Profiling hospital utilization in a mixed public–private system
by Megan Gu & Meliyanni Johar - 376-385 Regional wages and market potential in the enlarged EU: an empirical investigation
by Thomas Y. Mathä & Allison Shwachman Kaminaga - 386-396 Estimating loss functions of experts
by Philip Hans Franses & Rianne Legerstee & Richard Paap - 397-402 Nonlinear exchange rate pass-through in industrial economies
by Paul Turner & Justine Wood
January 2017, Volume 49, Issue 3
- 227-237 On the dynamics of U.S. consumer sentiment and economic policy assessment
by Hamid Baghestani & Polly Palmer - 238-250 Fashionable food: a latent class analysis of social status in food purchases
by Marco A. Palma & Meghan L. Ness & David P. Anderson - 251-262 Firm location, political geography and environmental information disclosure
by Sheng Yao & Haotian Liang - 263-272 Competitive balance and the participation–spectatorship gap in Chinese table tennis
by Scott Tainsky & Jie Xu & Qian Yang - 273-288 The spillover of war in time and space: exploring some open issues
by Fabrizio Carmignani & Parvinder Kler - 289-302 Threshold cointegration between inflation and US capacity utilization
by M. Iqbal Ahmed & Steven P. Cassou - 303-312 Weeds in the Ivy: college admissions under preference constraints
by Dennis L. Weisman & Dong Li
January 2017, Volume 49, Issue 2
- 1-1 Erratum
by The Editors - 111-137 Cross-country performance of Lévy regime-switching models for stock markets
by Julien Chevallier & Stéphane Goutte - 138-155 The effect of information technology on IT-facilitated coordination, IT-facilitated autonomy, and decision-makings at the individual level
by Jonghak Sun - 156-169 Are impatient farmers more risk-averse? Evidence from a lab-in-the-field experiment in rural Uganda
by Sophie Clot & Charlotte Y. Stanton & Marc Willinger - 170-187 Modelling mortality: are we heading in the right direction?
by Colin O’hare & Youwei Li - 188-201 China’s secondary privatization: new evidence on controlling shareholders tunnelling
by Wei Huang - 202-212 Assessing impact of regulatory risk on shareholders’ wealth
by Joseph Emmanuel Lukban Angeles - 213-226 Effect of public subsidies on farm technical efficiency: a meta-analysis of empirical results
by Jean Joseph Minviel & Laure Latruffe
January 2017, Volume 49, Issue 1
- 1-20 Does illiquidity matter in residential properties?
by Soosung Hwang & Youngha Cho & Jinho Shin - 21-32 E-commerce transactions, the installed base of credit cards, and the potential mobile E-commerce adoption
by Gary Madden & Aniruddha Banerjee & Paul N. Rappoport & Hiroaki Suenaga - 33-50 Asymmetric causality between Australian inbound and outbound tourism flows
by Abbas Valadkhani & Russell Smyth & Barry O’Mahony - 51-65 Banking consolidation and small firm financing for research and development
by Andrew C. Chang - 66-77 Are price strategies effective in managing demand of high residential water users?
by Serhat Asci & Tatiana Borisova & Michael Dukes - 78-95 The impact of private hospital insurance on the utilization of hospital care in Australia
by Damien S. Eldridge & Ilke Onur & Malathi Velamuri - 96-109 The impact of recent mental health changes on employment: new evidence from longitudinal data
by Sophie Mitra & Kristine Jones
December 2016, Volume 48, Issue 60
- 1-1 Erratum
by The Editors - 1-1 Editorial Board
by The Editors - 5835-5849 IPO underpricing in supply and demand framework: evidence from a market of retailers
by Ahmed S. Alanazi & Benjamin Liu & Haitham A. Al-Zoubi - 5850-5865 Measuring the effects of preservation on farm profits in a continuous treatment setting
by Witsanu Attavanich & Brian J. Schilling & Kevin P. Sullivan - 5866-5881 Dynamic elasticities of tax revenue: evidence from the Czech Republic
by Tomas Havranek & Zuzana Irsova & Jiri Schwarz - 5882-5896 The suspension of borrowing: an implicit penalty for loan default under imperfect information
by Xinhua Gu & Yang Zhang & Xiaolin Qian & Haizhen Guo - 5897-5908 Are Indian rice exporters able to price discriminate? Empirical evidence for basmati and non-basmati rice
by Akash Issar & Poornima Varma - 5909-5930 How did wars dampen trade in the MENA region?
by Fida Karam & Chahir Zaki - 5931-5940 The U.S. health care expenditure: evidence from 2001 to 2009
by Reed Olsen & Hui-Kuan Tseng
December 2016, Volume 48, Issue 59
- 1-1 Corrigendum
by The Editors - 1-1 Erratum
by The Editors - 5749-5760 Brand price differentials in retail distribution: product quality and service quality
by Juan A. Mañez & Rafael Moner Colonques & Jose J. Sempere-Monerris & Amparo Urbano - 5761-5771 Economic feasibility analysis for electrical generation from biogas in waste disposal sites in Mexico City
by Pablo Emilio Escamilla García & María Elena Tavera Cortés & Raúl Junior Sandoval Gómez & Edmar Salinas Callejas & Horacio Eliseo Alvarado Raya - 5772-5778 BRIC and GIPS – who drives who? Evidence from newly developed asymmetric causality tests
by Abdulnasser Hatemi-J & Eduardo Roca - 5779-5785 Study on the industrial Eco-Efficiency in East China based on the Super Efficiency DEA Model: an example of the 2003–2013 panel data
by Zhimin Dai & Lu Guo & Zhengyi Jiang - 5786-5801 The contribution of start-ups and young firms to industry-level efficiency growth
by Michel Dumont & Glenn Rayp & Marijn Verschelde & Bruno Merlevede - 5802-5823 Effects of the US monetary policy shocks during financial crises – a threshold vector autoregression approach
by Renée Fry-Mckibbin & Jasmine Zheng - 5824-5833 Investing against the wind: contagion during the recent financial crisis
by Liping Lu & Chunyang Wang
December 2016, Volume 48, Issue 58
- 5639-5653 Determinants of non-life insurance expenditure in developed and developing countries: an empirical investigation
by Tam Trinh & Xuan Nguyen & Pasquale Sgro - 5654-5666 A nonparametric method for term structure fitting with automatic smoothing
by Vadim Kaushanskiy & Victor Lapshin - 5667-5675 How does leverage affect R&D intensity and how does R&D intensity impact on firm value in South Korea?
by Byung S. Min & Russell Smyth - 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