Content
March 2016, Volume 48, Issue 13
- 1182-1196 Banking deregulation and allocative efficiency in Pakistan
by Shabbir Ahmad & Abid A. Burki - 1197-1209 Does corporate governance still affect firm performance after controlling the distress factor?
by Syouching Lai & Hungchih Li & Bin Li - 1210-1228 Does VIX or volume improve GARCH volatility forecasts?
by Dimos S. Kambouroudis & David G. McMillan - 1229-1239 Comparison of indicators of women’s labour between Turkey and EU member states by employing multidimensional scaling analysis and clustering analysis
by Füsun Yenilmez & Nuray Girginer - 1240-1254 Planned behaviour of tourism students’ entrepreneurial intentions in China
by Hu Mei & Zehui Zhan & Fong & Ting Liang & Zicheng Ma
March 2016, Volume 48, Issue 12
- 1047-1065 Minimum participation rules in international environmental agreements: empirical evidence from a survey among delegates in international climate negotiations
by Martin Kesternich - 1066-1080 Could the global financial crisis improve the performance of the G7 stocks markets?
by João Paulo Vieito & Wing-Keung Wong & Zhen-Zhen Zhu - 1081-1102 Integrating retirement and permanent disability in NDC pension schemes
by Manuel Ventura-Marco & Carlos Vidal-Meliá - 1103-1118 Using newspapers for tracking the business cycle: a comparative study for Germany and Switzerland
by David Iselin & Boriss Siliverstovs - 1119-1129 QARMA-Beta- t -EGARCH versus ARMA-GARCH: an application to S&P 500
by Szabolcs Blazsek & Vicente Mendoza - 1130-1139 Financial development and financial openness nexus: the precondition of banking competition
by Wang Chen & Shigeyuki Hamori & Takuji Kinkyo - 1140-1158 Parimutuel contests with strategic risk-sensitive bettors
by Paul Geertsema & Christoph Rainer Schumacher
March 2016, Volume 48, Issue 11
- 935-956 Foreign direct investment: the role of institutional and cultural determinants
by Navina Lucke & Stefan Eichler - 957-965 Commodity trade between Pakistan and the US: is there evidence of the J-curve?
by Mohsen Bahmani-Oskooee & Javed Iqbal & Misbah Nosheen - 966-986 External debt and real exchange rates’ adjustment in the euro area: new evidence from a nonlinear NATREX model
by Cécile Couharde & Serge Rey & Audrey Sallenave - 987-1004 Health spending and public pension: evidence from panel data
by Yonghong An & Kai Zhao & Rong Zhou - 1005-1017 Same currency, different strategies? The (asymmetric) role of the exchange rate in shaping European agri-food exports
by Svetlana Fedoseeva - 1018-1029 An empirical analysis of remittance flows into West African Economic and Monetary Union: a panel time-series approach
by Ficawoyi Donou-Adonsou & Sokchea Lim - 1030-1045 Income inequality and FDI: evidence with Turkish data
by Meltem Ucal & Alfred Albert Haug & Mehmet Hüseyin Bilgin
February 2016, Volume 48, Issue 10
- 835-853 Typology for flight-to-quality episodes and downside risk measurement
by Mariya Gubareva & Maria Rosa Borges - 854-864 Directional analysis of consumers’ forecasts of inflation in a small open economy: evidence from South Korea
by Young Bin Ahn & Yoichi Tsuchiya - 865-877 The relevance of commuting zones for regional spending efficiency
by António Afonso & Ana Venâncio - 878-891 Linearized Hamiltonian of the LIBOR market model: analytical and empirical results
by Pan Tang & Belal E. Baaquie & Xin Du & Ying Zhang - 892-901 The relationship between income inequality and aggregate saving: an empirical analysis using cross-country panel data
by Jaewoon Koo & Yunxing Song - 902-913 A nonparametric kernel regression approach for pricing options on stock market index
by James J. Kung - 914-933 Dynamics between energy, output, openness and financial development in sub-Saharan African countries
by Thai-Ha Le
February 2016, Volume 48, Issue 9
- 731-745 Water as an investment: liquid yet illiquid!
by Yizheng Jin & Bin Li & Eduardo Roca & Victor Wong - 746-758 Offset carbon emissions or pay a price premium for avoiding them? A cross-country analysis of motives for climate protection activities
by Claudia Schwirplies & Andreas Ziegler - 759-771 The impact of housing market disturbances on the US financial system: a pre-crisis analysis
by Marc Schaffer & Mark Wheeler - 772-788 Testing rebalancing strategies for stock-bond portfolios across different asset allocations
by Hubert Dichtl & Wolfgang Drobetz & Martin Wambach - 789-798 Financing, reputation and information disclosure quality in the Chinese market
by Jianhua Mi & Hong Sheng & Cassandra Elrod - 799-815 Geographical disaggregation of sectoral inflation. Econometric modelling of the Euro area and Spanish economies
by Gabriel Pino & J. D. Tena & Antoni Espasa - 816-834 Does local and Euro area sentiment matter for sovereign debt markets? Evidence from a bailout country
by Carla Fernandes & Paulo M. Gama & Elisabete Vieira
February 2016, Volume 48, Issue 8
- 653-657 Personality traits and economic activity
by Bijou Yang & David Lester - 658-668 Relationship between initiative risk management and firm value: evidence from Chinese financial listed companies
by Zhuwei Li & Yucheng Wang & Lijie Yu & Hui An - 669-683 The linkages, persistence, asymmetry in the volatility, the price discovery and efficiency, and the effect of the US subprime mortgage financial crisis on the spot and the futures market's returns: the case of India
by Muthucattu Thomas Paul & James D. Kimata - 684-700 Returns to schooling for urban and migrant workers in China: a detailed investigation
by Chris Sakellariou & Zheng Fang - 701-711 Tacit collusion with imperfect monitoring in the Canadian manufacturing industry: an empirical study
by Marcelo Resende & Rodrigo Zeidan - 712-722 The implications of the US renewable fuel standard programme for farm structure
by Constant I. Tra & Charles A. Towe - 723-730 Athletic contests and individual robberies: an analysis based on hourly crime data
by Ya Yu & C. Nicholas Mckinney & Steven B. Caudill & Franklin G. Mixon
February 2016, Volume 48, Issue 7
- 553-562 On the optimality of escalating penalties for repeat offences against the academic honour code
by Mohamad Khattar Awad & Bashar Zogheib & Hamed M.K. Alazemi - 563-575 Dynamic interdependence of sovereign credit default swaps in BRICS and MIST countries
by Maria E. de Boyrie & Ivelina Pavlova - 576-589 Stock exchange mergers and market efficiency
by Am鬩e Charles & Olivier Darn頍 & Jae H. Kim & Etienne Redor - 590-607 Effects of transparency, monetary policy signalling and clarity of central bank communication on disagreement about inflation expectations
by G. C. Montes & L. V. Oliveira & A. Curi & R. T. F. Nicolay - 608-620 Technical and scale efficiencies of meat goat farms in the USA
by B. Qushim & J. Gillespie & K. Paudel & K. Mcmillin - 621-635 The evolution of stock market efficiency in the US: a non-Bayesian time-varying model approach
by Mikio Ito & Akihiko Noda & Tatsuma Wada - 636-651 An examination of personality in occupational outcomes: antagonistic managers, careless workers and extraverted salespeople
by Robert Wells & Roger Ham & P. N. (Raja) Junankar
February 2016, Volume 48, Issue 6
- 461-470 Estimation of the effects of price on apartment water demand using cointegration and error correction techniques
by Saeed Ghavidelfar & Asaad Y. Shamseldin & Bruce W. Melville - 471-482 Empirical research on the different innovation engine between China and US manufacturing using an improved method
by Yu Li & Peipei Mao & Yanming Zhang - 483-489 A graphical representation of an estimated DSGE model
by Callum Jones & Mariano Kulish - 490-501 Foreign exchange reserve adequacy and exogenous shocks
by Winston Moore & Adrian Glean - 502-516 Economic benefits of using realized covariance forecasts in risk-based portfolios
by Prateek Sharma & Vipul - 517-535 Capital account liberalization and dynamic price discovery: evidence from Chinese cross-listed stocks
by Marc K. Chan & Simon S. Kwok - 536-552 Trends in stock-bond correlations
by Harumi Ohmi & Tatsuyoshi Okimoto
January 2016, Volume 48, Issue 5
- 345-360 The causality between FDI and sector-specific production in Turkey: evidence from threshold cointegration with regime shifts
by Faik Bilgili & Nadide S. Tülüce & Ibrahim Doğan & H. Hilal Bağlıtas - 361-378 Forecasting electricity spot prices using time-series models with a double temporal segmentation
by Marie Bessec & Julien Fouquau & Sophie Meritet - 379-388 Mean reverting financial leverage: theory and evidence from Pakistan
by Tanveer Ahsan & Wang Man & Muhammad Azeem Qureshi - 389-401 How much versus who: which social norms information is more effective?
by Andrew Meyer & Guanyi Yang - 402-410 Board of directors' quality and firms' debt financing: the moderating effect of insider ownership - evidence from Omani firms
by Ahmed Sultan Bin-Sariman & Azwadi Ali & Mohd Nazli Mohd Nor - 411-445 Incidence, effects, dynamics and routes out of overqualification in Europe: a comprehensive analysis distinguishing by employment status
by Emilio Congregado & Jesús Iglesias & Jos頍ar𨁍illᮠ & Concepci omᮠ - 446-460 Meat and fish consumption patterns in Saudi Arabia
by Saroja Selvanathan & E.A. Selvanathan & Saad Albalawi & Moazzem Hossain
January 2016, Volume 48, Issue 4
- 261-275 Monetary shocks, equity returns and volatility: a firm-level panel data analysis
by H. Arthur Luo & Jen-Chi Cheng & Chu-Ping C. Vijverberg - 276-291 What determines outstanding corporate debt mix? Evidence from fractional multinomial logit estimation
by Kenneth Khang & Tao-Hsien Dolly King & Hung Nguyen - 292-299 Fighting as a profit maximizing strategy in the National Hockey League: more evidence
by Duane W. Rockerbie - 300-311 Determinants of margin in microfinance institutions
by Beatriz Cu鬬ar-Fernᮤez & Yolanda Fuertes-Call鮠 & Carlos Serrano-Cinca & Bego uti鲲ez-Nieto - 312-320 An economic analysis of the Cattlemen's Beef Promotion and Research Board demand-enhancing programmes
by Harry M. Kaiser - 321-330 Excluded coalitions and the distribution of power in parliaments
by Tobias Hiller - 331-343 Financial depth, internet penetration rates and economic growth: country-panel evidence
by Rudra P. Pradhan & Mak B. Arvin & Neville R. Norman & Sara E. Bennett
January 2016, Volume 48, Issue 3
- 179-189 Estimating the effect of monopsony power on elasticity estimates
by Koichi Yamaura & Allen M. Featherstone - 190-202 The effect of product diversification strategies on the performance of health insurance conglomerates
by Cassandra R. Cole & J. Bradley Karl - 203-211 Joint optimization of strategic fleet planning and contract analysis in tramp shipping
by Jørgen Laake & Abraham Zhang - 212-221 An economic evaluation of market development programmes for US dairy products
by Liang Song & Harry M. Kaiser - 222-226 Favouritism towards the poor and a discontinuous tax structure
by H. Sato - 227-242 Time-frequency relationship between US output with commodity and asset prices
by Aviral K. Tiwari & Claudiu T. Albulescu & Rangan Gupta - 243-259 The dynamic interrelation between external finance and bank credit
by Fabrizio Casalin & Enzo Dia
January 2016, Volume 48, Issue 2
- 73-88 Finance commission of India's assessments: a political economy contention between expectations and outcomes
by K. Nithin & Rathin Roy - 89-106 Professional scepticism in two economies with cultural differences and the public interest: evidence from China and the United States
by Philip Law & Desmond Yuen - 107-120 Evaluating the long-run impact of an innovative anti-poverty programme: evidence using household panel data
by M Niaz Asadullah & Jinnat Ara - 121-132 Return patterns of South Korean stocks following large price shocks
by Sascha Kolaric & Florian Kiesel & Dirk Schiereck - 133-151 The effects of wind generation capacity on electricity prices and generation costs: a Monte Carlo analysis
by Lynch & John Curtis - 152-164 Short selling and exchange-traded funds returns: evidence from the London Stock Exchange
by Azhar Mohamad & Aziz Jaafar & John Goddard - 165-177 Weather derivatives structuring and pricing: a sustainable agricultural approach in Africa
by L. Kermiche & N. Vuillermet - 178-178 Corrigendum
by Minhua Yang & Hui Zhu
January 2016, Volume 48, Issue 1
- 1-6 Portfolio efficiency analysis with SFA: the case of PSI-20 companies
by Ferreira & Oliveira - 7-17 Growth effects of leisure tourism and the level of economic development
by Chung-ki Min & Taek-seon Roh & Sangmee Bak - 18-23 Can a corrupt ruling party win a re-election through vote buying?
by Stephen Devadoss & Jeff Luckstead - 24-34 The Macro-prudential aspects of loan-to-deposit-ratio-linked reserve requirement
by Satria & Harun & Taruna - 35-51 What determines simultaneous asset bubbles? An empirical analysis
by Christian Drescher & Bernhard Herz - 52-58 Marginal q revisited
by Per-Olof Bjuggren - 59-71 Economic costs and impacts of climate-induced sea-level rise and storm surge in Canadian coastal provinces: a CGE approach
by P. Withey & Lantz & Ochuodho
December 2015, Volume 47, Issue 60
- 1-1 Editorial Board
by The Editors - 6479-6492 An investigation of regime shifts in UK commercial property returns: a time series analysis
by Simeon Coleman & Vitor Leone - 6493-6518 Interactions between real economic and financial sides of the US economy in a regime-switching environment
by Soodabeh Sarafrazi & Shawkat Hammoudeh & Mehmet Balcilar - 6519-6528 Are costs really sticky? Evidence from publicly listed companies in the UAE
by Fernando Zanella & Peter Oyelere & Shahadut Hossain - 6529-6542 Teachers' versus parental choice and the tracking distribution of students: a natural experiment
by Marlies Kornfeld & Carsten Ochsen - 6543-6552 Convergence of greenhouse gas emissions among G7 countries
by Ghassen El-Montasser & Roula Inglesi-Lotz & Rangan Gupta - 6553-6579 Evaluating the impact of the American Recovery and Reinvestment Act's BTOP on broadband adoption
by Hauge & Prieger - 6580-6598 Inflation-hedging properties of regional Chinese real estate market: evidence from 35 cities in China
by Yi Wu & Alan Tidwell
December 2015, Volume 47, Issue 59
- 6375-6389 Remittance receipts and allocation: a study of three African countries
by Mark Musumba & Mjelde & Adusumilli - 6390-6394 Exogenous tax changes and interest rates: testing for Ricardian equivalence using an efficient markets model
by Tony Caporale - 6395-6408 Parity reversion in the Asian real exchange rates: new evidence from the local-persistent model
by Baharumshah & Siew-Voon Soon & Wohar - 6409-6424 Did fiscal institutions affect Wagner's law in Italy during 1951-2009 period? An empirical analysis
by Cristian Barra & Giovanna Bimonte & Pietro Spennati - 6425-6437 Drivers of price reaction to rights issue announcements in the Kuwait Stock Exchange
by Alhashel & Alojayan - 6438-6460 A DSGE model of China
by Li Dai & Patrick Minford & Peng Zhou - 6461-6478 Dictator monopolies and essential goods: experimental evidence
by Beckman & Gregory DeAngelo & Smith
December 2015, Volume 47, Issue 58
- 6257-6276 Loan price modelling for local governments using risk premium analysis
by Andr鳠Navarro-Galera & Salvador Rayo-Cant & Juan Lara-Rubio & Dionisio Buend𫑃arrillo - 6277-6283 Isolating the systematic and unsystematic components of a single stock's (or portfolio's) standard deviation: a comment
by Fabio Pizzutilo - 6284-6300 Wage, productivity and unemployment: microeconomics theory and macroeconomics data
by Razzak - 6301-6316 The main determinants of subprime securitization in the Spanish RMBS securities
by Luis Otero-Gonzᬥz & Miguel Ezcurra-P鲥z & Rub鮠Lado-Sestayo & Pablo DurᮭSantomil - 6317-6330 The Saturday effect: an interesting anomaly in the Saudi stock market
by Turki Abalala & Robert Sollis - 6331-6361 Heterogeneous effect of coinsurance rate on healthcare expenditure: generalized finite mixtures and matching estimators
by Galina Besstremyannaya - 6362-6373 Valuing the prevention of elder abuse
by Brent
December 2015, Volume 47, Issue 57
- 6155-6169 Use of social networks in banking: a study in the Czech Republic
by Petra Maresova & Blanka Klimova & Vojtěch Tuček - 6170-6190 Effectiveness of sequences of One-Euro-Jobs for welfare recipients in Germany
by K. Dengler - 6191-6199 Directional accuracy, forecasting error and the profitability of currency trading: model-based evidence
by Imad Moosa & John Vaz - 6200-6210 Modelling inflation shifts and persistence in Tunisia: perspectives from an evolutionary spectral approach
by Zied Ftiti & Khaled Guesmi & Nguyen & Fr餩ric Teulon - 6211-6227 Determinants of international university rankings scores
by Gabriele Marconi & Jo Ritzen - 6228-6238 Regional growth and unemployment in the medium run: asymmetric cointegrated Okun's Law for UK regions
by Silvia Palombi & Roger Perman & Christophe Tav鲡 - 6239-6256 Pairs trading: does volatility timing matter?
by Nicolas Huck
December 2015, Volume 47, Issue 56
- 6055-6074 An empirical research of crude oil price changes and stock market in China: evidence from the structural breaks and quantile regression
by Huiming Zhu & Yawei Guo & Wanhai You - 6075-6087 Effectiveness of the reserve option mechanism as a macroeconomic prudential tool: evidence from Turkey
by Afsin Sahin & Burak Dogan & Berument - 6088-6101 Identification of house price bubbles using user cost in a state space model
by Hanxiong Zhang & Robert Hudson & Hugh Metcalf & Viktor Manahov - 6102-6119 The impact of trading floor closure on market efficiency: evidence from the Toronto Stock Exchange
by Chung & Karel Hrazdil - 6120-6135 Are there bubbles in Chinese RMB-dollar exchange rate? Evidence from generalized sup ADF tests
by Chun Jiang & Yi Wang & Tsangyao Chang & Chi-Wei Su - 6136-6147 Exploring the dynamics of the shadow economy across US states
by Berdiev & Cullen Pasquesi-Hill & Saunoris - 6148-6154 International income inequality, 2005-2011: what a difference 6 years can make
by Rati Ram
November 2015, Volume 47, Issue 55
- 5933-5944 Why is TFP growth sectorally concentrated?
by Alexander Schiersch & Heike Belitz & Martin Gornig - 5945-5961 Privatization and the economic performance of Irish Sugar/Greencore
by D Palcic & Eoin Reeves - 5962-5995 Oil dependency and exchange rate regimes in Arab oil economies: time to rethink the paradigm
by Magda Kandil & Boaz Nandwa - 5996-6009 Does price dispersion increase with quality? Evidence from the online diamond market
by Fran 篩s-Charles Wolff - 6010-6018 The impact of large-scale asset purchases on the S&P 500 index, long-term interest rates and unemployment
by Ramaprasad Bhar & Malliaris & Mary Malliaris - 6019-6040 The effect of childhood measles vaccination on school enrolment in Matlab, Bangladesh
by J. Driessen & A. Razzaque & D. Walker & D. Canning - 6041-6053 Measuring the total impact of demographic and behavioural factors on the risk of obesity accounting for the depression status: a structural model approach using new BMI
by L. Beaudin & J. Skaza
November 2015, Volume 47, Issue 54
- 5825-5840 Sovereign credit ratings, growth volatility and the global financial crisis
by Hassan & Eliza Wu - 5841-5852 Asymmetric loss and herding behaviour of exchange rate forecasters: evidence from South Africa
by Y. Tsuchiya & T. Kato - 5853-5867 Economic freedom and social capital
by Jeremy Jackson & Art Carden & Compton - 5868-5885 Market overreaction and investment strategies
by Chulwoo Han & Soosung Hwang & Doojin Ryu - 5886-5901 Demand disruption and coordination of supply chain via effort and revenue sharing
by Yanyan Zheng & Tong Shu & Shouyang Wang & Shou Chen & Lai & Lu Gan - 5902-5916 Cultural norms and values and purchases of counterfeits
by Franses & Madesta Lede - 5917-5931 An empirical study of the determinants of UK oil and gas voluntary disclosures
by Stuart McChlery & Reza Kouhy & Catriona Paisey & Khaled Hussainey
November 2015, Volume 47, Issue 53
- 5707-5725 Spillovers to low-income countries: importance of systemic emerging markets
by Era Dabla-Norris & Raphael Espinoza & Sarwat Jahan - 5726-5738 Forecasting US recessions with macro factors
by Sebastian Fossati - 5739-5747 Impulse response analysis and Orcutt's hypothesis in trade: evidence from developing countries
by Mohsen Bahmani-Oskooee & Esmaeil Ebadi - 5748-5775 What drives the reversal of the gender education gap? Evidence from Germany
by Riphahn & Caroline Schwientek - 5776-5790 Population distribution, effective area and economic growth
by R駩s Chenavaz & Octavio Escobar - 5791-5804 The cyclicality of bank regulation in a general economic framework
by Yu-Hsiu Lin & Len-Kuo Hu - 5805-5823 Productivity versus elasticity: a normalized constant elasticity of substitution production function applied to historical Soviet data
by Yasushi Nakamura
November 2015, Volume 47, Issue 52
- 5583-5599 How do income and education affect health inequality: evidence from four developing countries
by Satis Devkota & Mukti Upadhyay - 5600-5613 Do per capita health care expenditures converge among OECD countries? Evidence from unit root tests with level and trend-shifts
by James E. Payne & Stephanie Anderson & Junsoo Lee & Myeong Hyeon Cho - 5614-5633 Renewable energy consumption and unemployment: evidence from a sample of 80 countries and nonlinear estimates
by Nicholas Apergis & Ruhul Salim - 5634-5647 Why is there controversy regarding China’s staple grain food market integration? Evidence and implication from price convergent club analysis
by Yanjie Zhu & Xiaojing Ren & Les Oxley & Hengyun Ma - 5648-5666 Political connections, ownership structure and private-equity placement decision: evidence from Chinese listed firms
by M. M. Fonseka & Xing Yang & Gao-Liang Tian & Sisira R. N. Colombage - 5667-5688 Inflation volatility, economic growth and monetary policy in Bangladesh
by Akhand Akhtar Hossain - 5689-5705 US money supply and global business cycles: 1979–2009
by Jinghua Lei & Kai Liu
November 2015, Volume 47, Issue 51
- 5461-5475 Modelling conditional moments and correlation with the continuous hidden-threshold-skew-normal distribution
by Rachid Belhachemi & Pierre Rostan & Fran 篩s-Éric Racicot - 5476-5490 Does past performance affect mutual fund tracking error in Taiwan?
by Ching-Ping Wang & Hung-Hsi Huang & Cheng-Yu Chen - 5491-5509 Empirical analysis of corn and soybean basis in Canada
by Getu Hailu & Alex Maynard & Alfons Weersink - 5510-5533 Does FDI improve economic development in North African countries?
by Issouf Soumar頍 - 5534-5547 Women empowerment and infant mortality in Bangladesh
by Belayet Hossain - 5548-5558 On the size of government spending multipliers in Europe
by Bernd Kempa & Khan - 5559-5582 No more discount under enhanced fair value hierarchy
by Emanuel Bagna & Giuseppe Di Martino & Davide Rossi
October 2015, Volume 47, Issue 50
- 1-1 Corrigendum
by The Editors - 5337-5353 Co-movement of the Chinese and U.S. aggregate stock returns
by Qianqian Wang & Choi - 5354-5377 Firm-specific risk and IPO market cycles
by Marie-Claude Beaulieu & Habiba Mrissa Bouden - 5378-5389 The efficiency of the Scandinavian banking sector - a wavelet quantile regression analysis
by P䲠Sjölander & Ghazi Shukur & Kristofer M害son & Orsa Kekezi - 5390-5406 Efficiency and performance in gas distribution. Evidence from Brazil
by Beatriz Tovar & Ramos-Real & Fagundes de Almeida - 5407-5431 Volatility spillovers across daytime and overnight information between China and world equity markets
by Jian Hua & Bilel Sanhaji - 5432-5444 The effects of direct-to-consumer advertising of pharmaceuticals on adherence
by Cardon & Showalter - 5445-5459 Dividend policy and earnings: a study of short- and long-term causality
by Mukesh K. Chaudhry & Robert J. Boldin & Ibrahim Affaneh & Geoffrey Tickell
October 2015, Volume 47, Issue 49
- 5215-5228 Cointegration with structural changes between per capita product and income inequality in Mexico
by Vicente German-Soto & Chapa Cantú - 5229-5246 Gini playing soccer
by Mourão & Teixeira - 5247-5261 A currency preferential approach to international equity investment
by Mei Qiu & Pinfold & Rose - 5262-5281 The role of birth order in child labour and schooling
by Yared Seid & Shiferaw Gurmu - 5282-5302 Choice of Ontario high schools and student sorting by ability
by Leonard - 5303-5319 Stock market interdependence between Australia and its trading partners: does trade intensity matter?
by Paramati & Rakesh Gupta & Eduardo Roca - 5320-5336 Commercial bank ownership and performance in China
by Agyenim Boateng & Wei Huang & Kufuor
October 2015, Volume 47, Issue 48
- 5121-5130 Downtown parking meter demand in a border metropolitan economy
by Fullerton & E. Pallarez & Walke - 5131-5146 Do droughts have long-term effects on water consumption? Evidence from the urban area of Barcelona
by Valeria Bernardo & Xavier Fageda & Montserrat Termes - 5147-5158 Full versus quasi MLE for ARMA-GARCH models with infinitely divisible innovations
by Jimmie Goode & Kim & Fabozzi - 5159-5168 An analysis of bargaining power for milk cooperatives and milk processors in Florida
by Jiaoju Ge & Alfonso Flores-Lagunes & Kilmer - 5169-5185 Financial stress, economic activity and monetary policy in the ASEAN-5 economies
by Tng & Kwek - 5186-5203 Do oil consumption and economic growth intensify environmental degradation? Evidence from developing economies
by Alam & Paramati - 5204-5213 Forecasting US real house price returns over 1831-2013: evidence from copula models
by Rangan Gupta & Anandamayee Majumdar
October 2015, Volume 47, Issue 47
- 5013-5033 Realized EquiCorrelation: a bird's-eye view of financial stress on equity markets
by Sofiane Aboura & Julien Chevallier - 5034-5044 The effect of strategic alliances on firm productivity in South Korea
by Minjung Kim - 5045-5056 Residential demand estimation for bundled fixed-line and wireless mobile broadband services
by Gary Madden & Suphat Suphachalasai & Thanet Makjamroen - 5057-5071 China wage inequality: the role of trade and technology
by Yun Xu & Ouyang - 5072-5087 The urban-rural divide, regional disaggregation and the convergence of crime
by Steve Cook & Tom Winfield - 5088-5102 Interest rate deregulation and banks' off-balance-sheet activities: a Hong Kong perspective
by Cheng & Fung & Hu & Cheng - 5103-5120 Slacks determinants in Brazilian railways: a distance friction minimization approach with fixed factors
by Peter Wanke & Barros
October 2015, Volume 47, Issue 46
- 4901-4917 Measuring persistence in Croatian tourism: evidence from the Adriatic region
by Gil-Alana & Andrea Mervar & Payne - 4918-4933 Exports, productivity and innovation: new firm level empirical evidence
by Faustino & Matos - 4934-4951 Sustainability of current account deficits in India: an intertemporal perspective
by Tarlok Singh - 4952-4966 Herding, anti-herding behaviour in metal commodities futures: a novel portfolio-based approach
by Vassilios Babalos & Stavros Stavroyiannis - 4967-4981 Public trust and corruption perception: disaster relief
by Weng & Woo & Cheng & T. Ho & I. Horowitz - 4982-4995 Occupational choices of working children in Bangladesh
by Alam & Shahina Amin & Rives - 4996-5011 Volatility transmission between Islamic and conventional equity markets: evidence from causality-in-variance test
by Saban Nazlioglu & Shawkat Hammoudeh & Rangan Gupta
September 2015, Volume 47, Issue 45
- 4801-4813 Evaluating the impact of inequality constraints and parameter uncertainty on optimal portfolio choice
by A. D. Hall & S. E. Satchell & P. J. Spence