Content
September 2015, Volume 47, Issue 45
- 4814-4828 Human capital effects on labour productivity in EU regions
by Jos頄aniel Buend𨁁zor & Mar𨁤el Mar Sᮣhez de la Vega - 4829-4846 Impact of institutions on social network formation: communist party membership and social network investment in China
by Abdul Munasib & Xi Tian - 4847-4854 Price movement and trade size on the National Stock Exchange of India
by Ajay Kumar Mishra & Thomas H. McInish & Trilochan Tripathy - 4855-4867 Factors affecting the demand for insurance in China
by Cheng Yuan & Yu Jiang - 4868-4883 (How) Do research and administrative duties affect university professors' teaching?
by Aurora Garc𫑇allego & Nikolaos Georgantz & Joan Martontaner & Teodosio P鲥z-Amaral - 4884-4900 Value at risk estimation by threshold stochastic volatility model
by Alex YiHou Huang
March 2015, Volume 47, Issue 44
- 4754-4776 An empirical analysis of excess interbank liquidity: a case study of Pakistan
by Muhammad Omer & Jakob De Haan & Bert Scholtens - 4793-4800 Investment and saving in Angola and the Feldstein-Horioka puzzle
by C. P. Barros & Luis A. Gil-Alana
September 2015, Volume 47, Issue 44
- 4685-4713 A PANIC analysis on regional and sectoral inflation: the Spanish case
by Alejandro C. Garc𫑃intado & Diego Romero-Ávila & Carlos Usabiaga - 4714-4727 Spillovers from the USA to stock markets in Asia: a quantile regression approach
by Robert Maderitsch - 4728-4740 Choice of specialization: do peers matter?
by O. Poldin & D. Valeeva & M. Yudkevich - 4741-4753 The solvency of financial institutions in Spain: lessons from securitization
by C. L-Andi & A. Iglesias-Casal & M. C. L-Penabad & J. M. Maside-Sanfiz - 4777-4792 The effects of multilateral trading systems on risk and return in equity markets
by Vikash Ramiah & Imad Moosa & Huy Nguyen Anh Pham & Anthony Scundi & Wai Han Teoh
September 2015, Volume 47, Issue 43
- 4561-4573 International yield curve comovements: impact of the recent financial crisis
by Kavita Sirichand & Simeon Coleman - 4574-4589 Bernanke versus Taylor: a post mortem
by James S. Fackler & W. Douglas McMillin - 4590-4606 Social mobility and inequality in urban China: understanding the role of intergenerational transmission of education
by Elisabetta Magnani & Rong Zhu - 4607-4629 The failure of the monetary model of exchange rate determination
by Din 祲 Afat & Marta G -Puig & Sim osvilla-Rivero - 4630-4652 Early warning signals using AVaRs of infinitely divisible GARCH models -- evidence from stock index markets
by Chia-Chien Chang & Te-Chung Hu & Chiu-Fen Kao & Ya-Chi Chang - 4653-4669 Labour quality in Taiwan: measurement and contribution to economic growth
by Meng-Hsi Chou & Gee San - 4670-4684 Information disclosure and price manipulation during the pre-closing session: evidence from an order-driven market
by Tsung-Yu Hsieh
September 2015, Volume 47, Issue 42
- 4459-4474 How does equity capital cost affect bank performance during a financial crisis?
by Jeng-Yan Tsai & Shi Chen - 4475-4483 How to measure the market power of banks in the lending business accurately: a segment-based adjustment of the Lerner Index
by Horst Gischer & Holger Müller & Toni Richter - 4484-4500 New empirical evidence on the bid-ask spread
by Paresh Kumar Narayan & Sagarika Mishra & Seema Narayan - 4501-4510 Convertible bonds issued in the bear market period: evidence from Taiwan
by Yensen Ni & Paoyu Huang - 4511-4534 Do market prices aggregate information about macroeconomic uncertainty (or risk)?
by James Peery Cover & Hye-Jin Lee - 4535-4548 Climate threshold, financial hoarding and economic growth
by Wencong Lu & Jianfeng Huang & Oliver Musshoff - 4549-4560 International spillovers from US forward guidance to equity markets
by Richhild Moessner
September 2015, Volume 47, Issue 41
- 4349-4363 Does accrual accounting improve municipalities' efficiency? Evidence from Germany
by H. W. Lampe & D. Hilgers & C. Ihl - 4364-4376 A weighty issue revisited: the dynamic effect of body weight on earnings and satisfaction in Germany
by F. Kropfh䵦szlig;er & M. Sunder - 4377-4394 Consumer demand for local honey
by Shang Wu & Jacob R. Fooks & Kent D. Messer & Deborah Delaney - 4395-4407 Productivity and efficiency of Vietnamese banking system: new evidence using F䲥-Primont index analysis
by Phuong Anh Nguyen & Michel Simioni - 4408-4422 Responses of international stock markets to oil price surges: a regime-switching perspective
by Rania Jammazi & Duc Khuong Nguyen - 4423-4441 Does self-regulation work? Experimental evidence of the reputational incentives of Self-Regulatory Organizations
by Jos頌uis Lima & Javier Nú - 4442-4457 Investment cash flow sensitivity and financial constraint: a cluster analysis approach
by Maurizio La Rocca & Raffaele Staglianò & Tiziana La Rocca & Alfio Cariola
August 2015, Volume 47, Issue 40
- 4247-4259 Testing economic models of volunteer labour supply: some empirical evidence for the German Red Cross
by Eike Emrich & Christian Pierdzioch - 4260-4274 Evidence from Mexico on social status and violence against women
by Yu Liu & Thomas M. Fullerton - 4275-4298 Has China's fast industrial growth been efficient? An industry-level investigation with a newly constructed data set
by Harry X. Wu & Esther Y. P. Shea & Alice Shiu - 4299-4309 Are real exchanges rate series really persistent?: evidence from three commonwealth of independent states countries
by Zeynel Abidin Ozdemir & Emre Aksoy - 4310-4322 Economic impact assessment of mega infrastructure pipeline projects
by Dimitrios J. Dimitriou & John C. Mourmouris & Maria F. Sartzetaki - 4323-4334 Revisiting Purchasing Power Parity in OECD
by Chun Jiang & Mohsen Bahmani-Oskooee & Tsangyao Chang - 4335-4348 Grouped coefficients to reduce bias in heterogeneous dynamic panel models with small T
by Nathan P. Hendricks & Aaron Smith
August 2015, Volume 47, Issue 39
- 4141-4152 Forecasting the price of gold
by Hossein Hassani & Emmanuel Sirimal Silva & Rangan Gupta & Mawuli K. Segnon - 4153-4167 Model selection and misspecification in discrete choice welfare analysis
by Ju-Chin Huang & Min Qiang Zhao - 4168-4183 Geographical and industrial spillovers in entry decisions across export markets
by Jesús A. Mu Sepúlveda & Diego Rodr z - 4184-4199 Trade and access to finance of SMEs: is there a nexus?
by Hala El-Said & Mahmoud Al-Said & Chahir Zaki - 4200-4207 Welfare use and children's longer-term achievement
by Shan-Ying Chu & Hau Chyi - 4208-4227 Risk management, housing and stockholding
by Luc Arrondel & Fr餩rique Savignac - 4228-4246 Should emerging market investors buy commodities?
by Jonathan A. Batten & Peter G. Szilagyi & Wagner
August 2015, Volume 47, Issue 38
- 1-1 Corrigendum
by The Editors - 4037-4055 Foreign exchange market interventions and the $-¥ exchange rate in the long run
by Joscha Beckmann & Ansgar Belke & Michael Kühl - 4056-4073 Compulsory schooling laws and school crime
by Gregory A. Gilpin & Luke A. Pennig - 4074-4089 The effect of remittances prior to an election
by Jean Louis Combes & Christian Ebeke & Mathilde Maurel - 4090-4101 The effects of state and federal background checks on state-level gun-related murder rates
by Mark Gius - 4102-4115 Prices for cash and cash for prices? Theory and evidence on convenient pricing
by Bruno Karoubi & R駩s Chenavaz - 4116-4127 A two-stage translog marginal cost pricing approach for Floridian hospital outputs
by Jean-Philippe Boussemart & Herv頌eleu & Vivian Valdmanis - 4128-4139 Competition format, championship uncertainty and stadium attendance in European football - a small league perspective
by Tim Pawlowski & Georgios Nalbantis
August 2015, Volume 47, Issue 37
- 3921-3937 Monetary policy and exchange market pressure-evidence from sub-Saharan Africa
by Vera Ogeh Fiador & Nicholas Biekpe - 3938-3956 Regional versus global production networks: where does Latin America stand?
by Luis Marcelo Florensa & Laura M uez-Ramos & Inmaculada Mart-Zarzoso & Mar𨁌uisa Recalde - 3957-3970 Voter turnout and the principle of 'one person, one vote': empirical evidence from the constituency freeze in India
by Yuko Mori - 3971-3993 Short- and long-run behaviour of long-term sovereign bond yields
by Ant Afonso & Christophe Rault - 3994-4006 Construction industry in Spain, is it guilty of the current crisis?
by Mª Jesús Alonso-Nuez & M a Flores-Garc𨀍 & Antonio Mu Porcar - 4007-4019 Examining the link between crime and unemployment: a time-series analysis for Canada
by Zuzana Janko & Gurleen Popli - 4020-4035 Expectation, volatility and liquidity in the housing market
by Xian Zheng
August 2015, Volume 47, Issue 36
- 3817-3824 The adoption of new technology by the farmers in Taiwan
by Shu Chun Chang & Ching-Horng Tsai - 3825-3838 Gender differences in trust and reciprocity: evidence from a large-scale experiment with heterogeneous subjects
by Marcus Dittrich - 3839-3858 A new approach to measure tactical voting: evidence from the British elections
by Daniel Muller & Lionel Page - 3859-3873 Revisiting growth empirics based on IV panel quantile regression
by Lijuan Huo & Tae-Hwan Kim & Yunmi Kim - 3874-3890 US inflation dynamics on long-range data
by Vasilios Plakandaras & Periklis Gogas & Rangan Gupta & Theophilos Papadimitriou - 3891-3906 An information theoretic analysis of stock returns, volatility and trading volumes
by Marcus Alexander Ong - 3907-3920 Investment evaluation of cloud computing in the European business sector
by Petra Maresova & Blanka Klimova
July 2015, Volume 47, Issue 34-35
- 3613-3616 Recent topics in Applied Financial Economics
by Fredj Jawadi - 3617-3632 The microstructure of exchange rate management: FX intervention and capital controls in Brazil
by Calebe de Roure & Steven Furnagiev & Stefan Reitz - 3633-3650 Intraday bidirectional volatility spillover across international stock markets: does the global financial crisis matter?
by Fredj Jawadi & Waël Louhichi & Abdoulkarim Idi Cheffou - 3651-3672 Accounting and the formation of share market prices over time: a mathematical institutional economic analysis through simulation and experiment
by Yuri Biondi - 3673-3695 Expectation formation in the foreign exchange market: a time-varying heterogeneity approach using survey data
by Georges Prat & Remzi Uctum - 3696-3709 Can interest rate spreads stabilize the euro area?
by Michał Brzoza-Brzezina & Jacek Kotłowski & Kamil Wierus - 3710-3722 The role of uncertainty in the term structure of interest rates: A GARCH-ATSM approach
by Junko Koeda & Ryo Kato - 3723-3739 Making the most of high inflation
by Wojciech Charemza & Svetlana Makarova & Imran Shah - 3740-3755 Fiscal consolidation and financial reforms
by Luca Agnello & Vitor Castro & João Tovar Jalles & Ricardo M. Sousa - 3756-3770 The 90% public debt threshold: the rise and fall of a stylized fact
by Balẳ Égert - 3771-3790 Deleveraging crises and deep recessions: a behavioural approach
by Pascal Seppecher & Isabelle Salle - 3791-3815 Euro Area business cycles in turbulent times: convergence or decoupling?
by Filippo Ferroni & Benjamin Klaus
July 2015, Volume 47, Issue 33
- 3499-3509 Heterogeneous trade agreements, WTO membership and international trade: an analysis using matching econometrics
by Tristan Kohl & Sofia Trojanowska - 3510-3524 Foreign investors and corporate social responsibility: evidence from the career advancement of women in Japan
by Takanori Tanaka - 3525-3539 Asymmetric size-dependent effects of the output gap on inflation: US evidence from the last half a century
by Abbas Valadkhani - 3540-3558 Constructing a new leading indicator for unemployment from a survey among German employment agencies
by Christian Hutter & Enzo Weber - 3559-3576 Do insurance activities enhance the performance of financial services holding companies?
by Mu-Sheng Chang & Elyas Elyasiani - 3577-3593 Economic efficiency of Greek retail SMEs in a period of high fluctuations in economic activity: a DEA approach
by Dimitris Balios & Nikolaos Eriotis & Alexandra Fragoudaki & Dimitrios Giokas - 3594-3611 Firm size, credit scoring accuracy and banks' production of soft information
by Fergal McCann & Tara McIndoe-Calder
July 2015, Volume 47, Issue 32
- 3367-3381 The decision to seek advice in the self-directed retirement fund industry
by George Mihaylov & Alfred Yawson & Ralf Zurbruegg - 3382-3394 Price discovery and the effects of fragmentation on market quality: evidence from Cypriot cross-listed stocks
by Vassilios G. Papavassiliou - 3395-3413 An assessment of inflation targeting in a quantitative monetary business cycle framework: evidence from four early adopters
by Dooyeon Cho & Dong-Eun Rhee - 3414-3438 Measuring peer effects in the Brazilian school system
by Sergio Firpo & Hugo Jales & Cristine Pinto - 3439-3461 Consumer perception of deposit insurance: little awareness, limited effectiveness?
by Michiel Bijlsma & Karen Van Der Wiel - 3462-3481 Better peers, better scores? A study of twin junior high school graduates in Taiwan
by Shin-Yi Chou & Echu Liu & Min-Jen Lin & Jin-Tan Liu - 3482-3498 Optimal gasoline hedging strategies using futures contracts and exchange-traded funds
by Kunlapath Sukcharoen & Hankyeung Choi & David J. Leatham
July 2015, Volume 47, Issue 31
- 3243-3257 Do execution moratoriums increase homicide? Re-examining evidence from Illinois
by A. Ahrens & T. V. Kovandzic & L. M. Vieraitis - 3258-3275 The effects of agglomeration economies on technical efficiency of manufacturing firms: evidence from Indonesia
by Wahyu Widodo & Ruhul Salim & Harry Bloch - 3276-3291 Long-run estimates of money demand: new evidence from East Asian countries and the presence of structural breaks
by Nicholas Apergis - 3292-3310 Replacement cycles, income distribution and dynamic price discrimination
by Eduardo Correia de Souza & Jorge Chami Batista - 3311-3331 Efficiency, heterogeneity and cost function analysis: empirical evidence from pathology services in the National Health Service in England
by J. Buckell & A. Smith & R. Longo & D. Holland - 3332-3346 Effects of mineral-commodity price shocks on monetary policy in developed countries
by Atsushi Sekine - 3347-3366 International co-movements of real and financial economic variables
by Mahmod Qadan & Joseph Yagil
June 2015, Volume 47, Issue 30
- 3143-3163 Do Aussie markets smile? Implied volatility functions and determinants
by Hassan Tanha & Michael Dempsey - 3164-3174 The determinants of trade credit use: the case of the Tanzanian rice market
by Niels Hermes & Ernest Kihanga & Robert Lensink & Clemens Lutz - 3175-3188 Financial infrastructure and house prices
by Svante Mandell & Mats Wilhelmsson - 3189-3197 Can technical oscillators outperform the buy and hold strategy?
by Gil Cohen & Elinor Cabiri - 3198-3215 Sustainable leadership: power of influence in MNCS in Malaysia
by May-Chiun Lo & Thurasamy Ramayah & Yin Chai Wang - 3216-3228 Testing weak exogeneity in cointegrated panels
by Enrique Moral-Benito & Luis Serv鮠 - 3229-3242 FDI performance: a stochastic frontier analysis of location and variance determinants
by Marie M. Stack & Geetha Ravishankar & Eric J. Pentecost
June 2015, Volume 47, Issue 29
- 3021-3039 Trade liberalization and trade performance of environmental goods: evidence from Asia-Pacific economic cooperation members
by Qi He & Hong Fang & Miao Wang & Bo Peng - 3040-3058 Assessing complementarity in organizational innovations for technological innovation: the role of knowledge management practices
by Caroline Mothe & Uyen T. Nguyen-Thi & Phu Nguyen-Van - 3059-3077 Dynamics of fine wine and asset prices: evidence from short- and long-run co-movements
by B. Faye & E. Le Fur & S. Prat - 3078-3091 Impact of oil price shocks on output, inflation and the real exchange rate: evidence from selected ASEAN countries
by Hem C. Basnet & Kamal P. Upadhyaya - 3092-3112 Access to finance, foreign ownership and foreign takeovers in Germany
by Joachim Wagner & John P. Weche Gelübcke - 3113-3123 Dynamics of environmental quality and economic development: the regional experience from Yangtze River Delta of China
by Jingjing Zhang & Partha Gangopadhyay - 3124-3141 Tobin tax and trading volume tightening: a reassessment
by Olivier Damette & St鰨ane Goutte
June 2015, Volume 47, Issue 28
- 2913-2923 A robust analysis of the relationship between renewable energy consumption and its main drivers
by Anis Omri & Saida Daly & Duc Khuong Nguyen - 2924-2938 Does education affect risk aversion? Evidence from the British education reform
by Seeun Jung - 2939-2958 The awarding of PhDs in the United States and Canada: war, the draft and other economic determinants
by Barry R. Chiswick & Nicholas Larsen & Paul Pieper - 2959-2973 Benchmarking superannuation funds based on relative performance
by Don U. A. Galagedera & John Watson - 2974-2984 Volatility spillovers and macroeconomic announcements: evidence from crude oil markets
by Aymen Belgacem & Anna Creti & Khaled Guesmi & Amine Lahiani - 2985-3007 Was the recent downturn in US real GDP predictable?
by Mehmet Balcilar & Rangan Gupta & Anandamayee Majumdar & Stephen M. Miller - 3008-3019 The productivity of French technology transfer offices after government reforms
by Claudia Curi & Cinzia Daraio & Patrick Llerena
June 2015, Volume 47, Issue 27
- 2783-2802 The macroeconomy of Angola: breaks and persistence in Angolan macro data
by Carlos P. Barros & Luis A. Gil-Alana & João Ricardo Faria - 2803-2820 Political determinants of intergovernmental transfers in a regionally decentralized authoritarian regime: evidence from China
by Xin Wan & Yuanyuan Ma & Kezhong Zhang - 2821-2843 Stock market-driven investment: new evidence on information, financing and agency effects
by Scott Fung & Shih-Chuan Tsai - 2844-2859 Superstitious seasonality in precious metals markets? Evidence from GARCH models with time-varying skewness and kurtosis
by Benjamin R. Auer - 2860-2877 Pricing fx forwards in OTC markets - new evidence for the pricing mechanism when faced with counterparty risk
by A. Leonhardt & A. W. Rathgeber & J. Stadler & S. Stöckl - 2878-2898 Speculative bubbles, financial crises and convergence in global real estate investment trusts
by Roselyne Joyeux & George Milunovich - 2899-2912 The role of risk and risk-aversion in adoption of alternative marketing arrangements by the US farmers
by Wu-Yueh Hu
June 2015, Volume 47, Issue 26
- 2671-2682 Reactions of real yields and inflation expectations to forward guidance in the United States
by Richhild Moessner - 2683-2698 Chinese firm and industry reactions to antidumping initiations and measures
by Chunding Li & John Whalley - 2699-2716 Quantification and characteristics of household inflation expectations in Switzerland
by Rina Rosenblatt-Wisch & Rolf Scheufele - 2717-2727 A women's boom in the boardroom: effects on performance?
by Mareva Sabatier - 2728-2744 A fresh look at fiscal multipliers: one size fits it all? Evidence from the Mediterranean area
by Alexandru Minea & Lavinia Mustea - 2745-2767 International parity relationships between Germany and the USA revisited: evidence from the post-DM period
by Robert Czudaj & Jan Prüser - 2768-2782 Commodity market risk from 1995 to 2013: an extreme value theory approach
by Torun Fretheim & Glenn Kristiansen
May 2015, Volume 47, Issue 25
- 2541-2562 Socially responsible and conventional investment funds: performance comparison and the global financial crisis
by Leonardo Becchetti & Rocco Ciciretti & Ambrogio Dalò & Stefano Herzel - 2563-2576 TV advertising spillovers and demand for private labels: the case of carbonated soft drinks
by Rigoberto A. Lopez & Yizao Liu & Chen Zhu - 2577-2607 Nonparametric methods for estimating and testing for constant betas in asset pricing models
by M. V. Esteban & E. Ferreira & S. Orbe-Mandaluniz - 2608-2627 Oil prices and UK industry-level stock returns
by Bing Xu - 2628-2641 The impact of output and exchange rate volatility on fixed private investment: evidence from selected G7 countries
by Abdur R. Chowdhury & Mark Wheeler - 2642-2648 Permanent and transitory shocks in the presence of asymmetric error correction
by F. Chan & G. MacDonald - 2649-2670 Do we need a global VAR model to forecast inflation and output in South Africa?
by Annari De Waal & Rene頖an Eyden & Rangan Gupta
May 2015, Volume 47, Issue 24
- 2445-2454 The real exchange rate, regime changes and volatility shifts
by D. Ventosa-Santaul a & M. G -Zald & F. H. Wallace - 2455-2469 Firm credit risk in normal times and during the crisis: are banks less risky?
by Burkhard Raunig - 2470-2487 Adjusting to skill shortages in Australian SMEs
by Joshua Healy & Kostas Mavromaras & Peter J. Sloane - 2488-2499 Optimal diversification, bank value maximization and default probability
by Yung-Shun Tsai & Chien-Chih Lin & Hsiao-Yin Chen - 2500-2513 Does organizational ownership matter? Objectives of employees in public, nonprofit and for-profit nursing homes
by Stijn Van Puyvelde & Ralf Caers & Cind Du Bois & Marc Jegers - 2514-2522 The asymmetric effects of investor sentiment and monetary policy on stock prices
by Jinfang Li - 2523-2539 The effect of shocks to labour market flows on unemployment and participation rates
by Robert Dixon & G. C. Lim & Jan C. van Ours
May 2015, Volume 47, Issue 23
- 2339-2347 Emigration, wage differentials and brain drain: the case of Suriname
by Tina Dulam & Philip Hans Franses - 2348-2358 Crypto-currency bubbles: an application of the Phillips-Shi-Yu (2013) methodology on Mt. Gox bitcoin prices
by Adrian (Wai-Kong) Cheung & Eduardo Roca & Jen-Je Su - 2359-2378 Is the efficient market hypothesis day-of-the-week dependent? Evidence from the banking sector
by Paresh Kumar Narayan & Seema Narayan & Stephan Popp & Huson Ali Ahmed - 2379-2398 Financial structure and diversification of European firms
by Martina Lawless & Brian O'Connell & Conor O'Toole - 2399-2412 A panel data analysis of the effect of corruption on tourism
by Marie Poprawe - 2413-2429 The scarring effects of unemployment, low pay and skills under-utilization in Australia compared
by Kostas Mavromaras & Peter Sloane & Zhang Wei - 2430-2444 A mean-variance approach to forecasting with the consumer confidence index
by Stephen Bruestle & W. Mark Crain
May 2015, Volume 47, Issue 22
- 2235-2249 Respondent direct experience and contingent willingness to pay for new commodities: a switching endogenous interval regression analysis
by Louinord Voltaire - 2250-2258 Impacts of derivative markets on spot market volatility and their persistence
by Lik Fong & Chulwoo Han - 2259-2277 The out-of-sample forecasting performance of nonlinear models of regional housing prices in the US
by Mehmet Balcilar & Rangan Gupta & Stephen M. Miller - 2278-2292 Media freedom and gender equality: a cross-national instrumental variable quantile analysis
by Aniruddha Mitra & James T. Bang & Arnab Biswas - 2293-2306 Investor opinion divergence and post-repurchase announcement stock price drift
by Gow-Cheng Huang & Kartono Liano & Ming-Shiun Pan - 2307-2325 Exploring the causal relationship between hospital length of stay and re-hospitalization among Japanese AMI patients
by Satoshi Shimizutani & Hiroyuki Yamada & Haruko Noguchi & Yuichiro Masuda & Masafumi Kuzuya - 2326-2337 Estimates of price elasticity of demand for urban freeway use with high-frequency control variables: the case of Santiago, Chile
by Louis de Grange & Felipe González & Rodrigo Troncoso
May 2015, Volume 47, Issue 21
- 2127-2141 On the employment effects of outward FDI: the case of Spain, 1995-2011
by Oscar Bajo-Rubio & Carmen D Mora - 2142-2153 Delegated portfolio management and optimal allocation of portfolio managers
by Michael Christensen & Michael Vangsgaard Christensen & Ken Gamskjaer - 2154-2172 Financial liberalization, financial regulation and bank efficiency: a multi-country analysis
by Niels Hermes & Aljar Meesters - 2173-2183 Government policy, network externalities and mobile telecommunication services: evidence from OECD countries
by J. H. Chung & T. H. Yoo - 2184-2200 Intra-tourism trade, income distribution and tourism endowment: an econometric investigation
by J. Hanna & L. L鶩 & S. Petit - 2201-2217 A differentiated tolls system - an effective transport policy tool for Slovenia?
by Mateja Matajič & Timotej Jagrič & Jani Bekő - 2218-2233 Implied discount rate and payback threshold of energy efficiency investment in the industrial sector
by Yueming Qiu & Yi David Wang & Jianfeng Wang
April 2015, Volume 47, Issue 20
- 2031-2039 A model to optimize investments in health technologies, quality of care and research
by Afschin Gandjour - 2040-2052 Hedging effectiveness of the hedged portfolio: the expected utility maximization subject to the value-at-risk approach
by Chung-Chu Chuang & Yi-Hsien Wang & Tsai-Jung Yeh & Shuo-Li Chuang - 2053-2072 Operational risk, the legal system and governance indicators: a country-level analysis
by Larry Li & Imad Moosa - 2073-2091 The role of sentiment in global risk premia
by Karl Ludwig Keiber & Helene Samyschew - 2092-2101 Decomposing household, professional and market forecasts on inflation: a dynamic factor model analysis
by Joseph Palardy & Tomi Ovaska - 2102-2118 Stock market reactions to announcements of the board of directors: evidence from Italy
by Fabrizio Rossi & Richard J. Cebula - 2119-2126 Aggregravity: estimating gravity models from aggregate data
by Harald Badinger & Jesus Crespo Cuaresma
April 2015, Volume 47, Issue 19
- 1927-1941 Efficiency and productivity of the food and beverage listed firms in the pre-recession and recessionary periods in Greece
by Dimitrios Giokas & Nicolaos Eriotis & Ioannis Dokas - 1942-1955 Estimating sensitivities of temperature-based weather derivatives
by Wei Yuan & Ahmet Göncü & Giray Ökten - 1956-1971 Virtual integration of financial markets: a dynamic correlation analysis of the creation of the Latin American Integrated Market
by Cristhian Mellado & Diego Escobari - 1972-1982 Length of stay and mental health of the immigrant population in Spain: evidence of the healthy immigrant effect
by B. Rivera & B. Casal & L. Currais - 1983-1996 Modelling seasonality in residential water demand: the case of Tunisia
by Younes Ben Zaied & Marie Estelle Binet - 1997-2011 Corporate yield curves as predictors of future economic and financial indicators
by Dan Saar & Yossi Yagil - 2012-2029 Can cross-listing relax financial frictions in trade and equity holdings? A sector-level analysis
by Meixin Guo & Huiran Pan
April 2015, Volume 47, Issue 18
- 1823-1832 The rate elasticity of Florida tourist development (aka bed) taxes
by Nestor M. Arguea & Richard R. Hawkins - 1833-1846 Convergence, technological interdependence and spatial externalities: a spatial dynamic panel data analysis
by Shengrong Lu & Yanwu Wang - 1847-1862 Measuring the relative productivity of multitasking to sole-tasking in household production: experimental evidence
by Charlene M. Kalenkoski & Gigi Foster - 1863-1882 Democratization and civil war
by Laura E. Armey & Robert M. McNab - 1883-1898 Location, location, location: currency effects and return predictability?
by Steven J. Jordan & Andrew Vivian & Mark E. Wohar - 1899-1908 Examining the relationship between stock return volatility and trading volume: new evidence from an emerging economy
by Shekar Bose & Hafizur Rahman - 1909-1925 Outreach and performance of microfinance institutions: a panel analysis
by Shakil Quayes
April 2015, Volume 47, Issue 17
- 1723-1738 The market response to corporate scandals involving CEOs
by Surendranath R. Jory & Thanh N. Ngo & Daphne Wang & Amrita Saha - 1739-1747 Banking sector development and interest rate volatility in emerging economies
by Massomeh Hajilee & Omar M. Al Nasser & Gladys H. Perez - 1748-1763 Spectrum auction designs and revenue variations
by Gary Madden & Ismail Saglam & Inayat Hussain - 1764-1774 Is Beta- t -EGARCH(1,1) superior to GARCH(1,1)?
by Szabolcs Blazsek & Marco Villatoro