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Content
January 2018, Volume 6, Issue 1
January 2017, Volume 5, Issue 1
- 1244873-1244873 Institutional investors’ role in diversifying orientation decision across Tunisian companies
by Manel Gharbi & Anis Jarboui
- 1268746-1268746 How are school dropouts related to household characteristics? Analysis of survey data from Bangladesh
by Nusrat Farah & Mukti P. Upadhyay
- 1270251-1270251 Analysing assets’ performance inside a portfolio: From crossed beta to the net risk premium ratio
by Maria-Teresa Bosch-Badia & Joan Montllor-Serrats & Maria-Antonia Tarrazon-Rodon
- 1273588-1273588 Rate of return on foreign investment income and employment labour protection: A panel analysis of thirty OECD countries
by Burçak Polat
- 1274225-1274225 Investor emotional biases and trading volume’s asymmetric response: A non-linear ARDL approach tested in S&P500 stock market
by Abderrazak Dhaoui & Sami Bacha
- 1274282-1274282 Robust critical values for unit root tests for series with conditional heteroscedasticity errors: An application of the simple NoVaS transformation
by Panagiotis Mantalos
- 1275087-1275087 The Nexus between livelihood diversification and farmland management strategies in rural Ethiopia
by Geremew Worku Kassie
- 1277860-1277860 Causality between foreign direct investment and economic growth for Cambodia
by Seng Sothan
- 1279814-1279814 The imported price, inflation and exchange rate pass-through in China
by Hai Yue Liu & Xiao Lan Chen
- 1279864-1279864 Financial product development and members’ voluntary saving behavior in saving and credit cooperatives in Tigray: A case study in Endamohoni Woreda
by Solomon Abadi Dirar & Tekeste Berhanu & Dereje Getachew & Hossein Azadi
- 1280983-1280983 Causal theories, models and evidence in economics—some reflections from the natural sciences
by Michael Joffe
- 1283762-1283762 FDI entry mode choice and ownership structure in Turkish market: A firm-level analysis
by Burçak Polat
- 1285646-1285646 Acknowledgement of Reviewers
by Senior Editors
- 1286061-1286061 Exploring the nexus between oil prices and sectoral stock prices: Nonlinear evidence from Kuwait stock exchange
by Khalid M. Kisswani & Mohammad I. Elian
- 1288772-1288772 Effect of catastrophic disaster in financial market contagion
by Md. Noman Siddikee & Mohammad Mafizur Rahman
- 1289656-1289656 Testing overconfidence bias in Pakistani stock market
by Lubna Zia & Muzammal Ilyas Sindhu & Shujahat Haider Hashmi
- 1291150-1291150 Determinants of Takāful and conventional insurance demand: A regional analysis
by Waheed Akhter & Saad Ullah Khan
- 1291474-1291474 Mental budgeting and the financial management of small and medium entrepreneurs
by Mohammed Ziaul Hoque
- 1293472-1293472 Poverty and malaria morbidity in the Jirapa District of Ghana: A count regression approach
by Paul Kwame Nkegbe & Naasegnibe Kuunibe & Samuel Sekyi
- 1295618-1295618 Buy, sell, or hold? A sense-making account of factors influencing trading decisions
by Daphne Sobolev & Bryan Chan & Nigel Harvey
- 1298420-1298420 Determinants of European bank risk during financial crisis
by Wiem Ben Jabra & Zouheir Mighri & Faysal Mansouri
- 1299074-1299074 On sensitivity of industries and companies to the state of economy
by M.S. Konovalova & A.G. Maksimov
- 1300978-1300978 Time distributed difference-in-differences estimates of return to training
by Andrey Aistov
- 1302870-1302870 Taking into account the rate of convergence in CLT under Risk evaluation on financial markets
by Levon Kazaryan & Gregory Kantorovich
- 1307642-1307642 Estimation of the Russian informal economy size on the household budget survey data
by Yaroslav Murashov & Tatiana Ratnikova
- 1309096-1309096 How investor sentiments spillover from developed countries to developing countries?
by Muhammad Zia Ur Rehman & Zain ul Abidin & Faisal Rizwan & Zaheer Abbas & Sajjad Ahmad Baig
- 1310416-1310416 A statistical analysis of the social and environmental risks of the international trade in virtual water
by Y. Kopnova
- 1311096-1311096 Impact of Muslim Holy Days on Asian stock markets: An empirical evidence
by Irfan Ali & Waheed Akhter & Namrah Ashraf
- 1311097-1311097 Modern claim frequency and claim severity models: An application to the Russian motor own damage insurance market
by Evgenii V. Gilenko & Elena A. Mironova
- 1313559-1313559 Audit firm, retain or rotation? (client and audit firm perspectives)
by Gholamhossein Mahdavi & Abbas Ali Daryaei
- 1315206-1315206 Service quality and the moderating effect of Shari’ah perception on client satisfaction: A comparison of Islamic and conventional microfinance in Pakistan
by Sarah Khan & Waheed Akhter & David McMillan
- 1316547-1316547 Committee on board: Does it matter? A study of Indonesian Sharia-listed firms
by Fitriya Fauzi & Abdul Basyith & Dani Foo
- 1316553-1316553 Decomposition analysis of the pollution intensities in the case of the United Kingdom
by Kenichi Shimamoto
- 1317083-1317083 Decision-making process in shipping finance: A stochastic approach
by Marina Maniati & Evangelos Sambracos
- 1317117-1317117 Corporate governance, research and development volatility and firm performance - Evidence from Spain and Ireland
by Geeta Duppati & Albert Sune & Navajyoti Samanta
- 1318812-1318812 Investigating the sources of Black’s leverage effect in oil and gas stocks
by Muhammad Surajo Sanusi
- 1318813-1318813 Parameter estimation for stable distributions with application to commodity futures log-returns
by M. Kateregga & S. Mataramvura & D. Taylor
- 1319606-1319606 Wage differentials in Brazil: Tourism vs. other service sectors
by Joaquim Ramos Silva & Carla Regina Ferreira Freire Guimarães
- 1323371-1323371 The venture capitalist’s cognitive approach: Validation through the Tunisian context
by Dziri Houda & Jarboui Anis
- 1323372-1323372 An econometric analysis of major Chinese food crops: An empirical study
by Abdul Rehman & Luan Jingdong
- 1323987-1323987 Explaining public investment dynamics in Sub-Saharan Africa: The role of country governance structures
by Samuel Kwaku Agyei
- 1324555-1324555 Oil and non-energy commodity markets: An empirical analysis of volatility spillovers and hedging effectiveness
by Anupam Dutta & Md Hasib Noor
- 1325117-1325117 Women on boardroom: Does it create risk?
by Fitriya Fauzi & Abdul Basyith & Poh-Ling Ho
- 1326217-1326217 New perspectives on bank risk in Malaysia
by R.J. Powell
- 1326218-1326218 Evaluation of variable annuity guarantees with the effect of jumps in the asset price process
by Mussa Juma & Min Cherng Lee & Seong Tah Chin & Kian Wah Liew
- 1327184-1327184 Hopf bifurcation in an open monetary economic system: Taylor vs. inflation targeting rules (Malaysian case)
by Mohd Naim Bin Mohd Johari & Adem Kilicman
- 1329975-1329975 Revisiting stock market development and economic growth nexus: The moderating role of foreign capital inflows and exchange rates
by Mohammad Enamul Hoque & Noor Azuddin Yakob
- 1330303-1330303 Evidence of adverse selection in automobile insurance market: A seemingly unrelated probit modelling
by Noureddine Benlagha & Imen Karaa
- 1332820-1332820 The impact of trade openness on economic growth: The case of Cote d’Ivoire
by Yaya Keho
- 1335968-1335968 Forecasting USDTRY rate by ARIMA method
by Cenk Ufuk Yıldıran & Abdurrahman Fettahoğlu
- 1336295-1336295 A dynamic fragmentation of the misery index in Nigeria
by K. Moses Tule & Eunice Ngozi Egbuna & Eme Dada & Godday Uwawunkonye Ebuh
- 1338851-1338851 The impact of financial liberalization on economic growth in sub-Saharan Africa
by Foluso A. Akinsola & Nicholas M. Odhiambo
- 1339385-1339385 Firm-specific determinants of stock prices in an emerging capital market: Evidence from Ghana Stock Exchange
by Felix Kwame Aveh & Dadson Awunyo-Vitor
- 1339769-1339769 Child disability, welfare payments, marital status and mothers’ labor supply: Evidence from Australia
by Zeng-Hua Lu & Alec Zuo
- 1339770-1339770 Financing behavior of firms in tranquil and crisis period: Evidence from China
by Sultan Sikandar Mirza & Khalil Jebran & Yu Yan & Amjad Iqbal
- 1339771-1339771 Much ado about nothing? Interest and non-interest products and services: Their impact on small banks’ margins
by Antti Fredriksson & Daniela Maresch & Andrea Moro
- 1339772-1339772 Time-series and cross-sectional momentum and contrarian strategies within the commodity futures markets
by Enrique Benavides Rosales
- 1341456-1341456 The nexus between economic growth, financial development, trade openness, and CO2 emissions in European countries
by Lamia Jamel & Samir Maktouf
- 1343017-1343017 Do US consumer survey data help beat the random walk in forecasting mortgage rates?
by Hamid Baghestani
- 1343230-1343230 CAPM with various utility functions: Theoretical developments and application to international data
by Rihab Bedoui & Houda BenMabrouk
- 1345186-1345186 The accuracy of financial analysts’ earnings forecasts and the Tunisian market reliance with time
by Bouteska Ahmed & Regaieg Boutheina
- 1345600-1345600 Shareholder response to mass shootings in the United States firearms industry
by Geoffrey Steeves & Newton da Costa & Caroline Elliott
- 1347123-1347123 Predicting movement of stock of “Y” using Sutte Indicator
by Ansari Saleh Ahmar & Abdul Rahman & Andi Nurani Mangkawani Arifin & Alfatih Abqary Ahmar
- 1348326-1348326 The potential and limits of farmers’ groups as catalysts of women leaders
by Florence Nakazi & Paul Aseete & Enid Katungi & Michael Adrogu Ugen
- 1348327-1348327 Marriage dissolution among American men, 2003–2010: The roles of measured earnings and latent selection
by Robert Nakosteen & Michael Zimmer
- 1351674-1351674 Empirical test of the Ricardian Equivalence in the Kingdom of Lesotho
by Teboho Jeremiah Mosikari & Joel Hinaunye Eita
- 1351807-1351807 Co-movement of real exchange rates in the West African Monetary Zone
by Peterson Owusu Junior & Anokye M. Adam & George Tweneboah
- 1353199-1353199 Causes and consequences of crude oil pipeline vandalism in the Niger delta region of Nigeria: A confirmatory factor analysis approach
by Ahmed Tukur Umar & Moh’d Shahwahid Hajj Othman
- 1355503-1355503 A simulation study on the distributions of disturbances in the GARCH model
by Lingbing Feng & Yanlin Shi
- 1355521-1355521 Does behavioural theory explain return-implied volatility relationship? Evidence from India
by Prasenjit Chakrabarti & K. Kiran Kumar
- 1357901-1357901 Causal relationship between FDI and poverty reduction in South Africa
by M.T. Magombeyi & N.M. Odhiambo
- 1358894-1358894 On skewed, leptokurtic returns and pentanomial lattice option valuation via minimal entropy martingale measure
by Ivivi J. Mwaniki
- 1358914-1358914 The endogeneity of business cycle synchronisation in SADC: A GMM approach
by Ntokozo Patrick Nzimande & Harold Ngalawa
- 1362157-1362157 Exchange rate uncertainty and domestic investment in Ghana
by Bernard Njindan Iyke & Sin-Yu Ho
- 1362184-1362184 Financial intermediation and financial inclusion of poor households: Mediating role of social networks in rural Uganda
by George Okello Candiya Bongomin & Joseph Mpeera Ntayi & John C. Munene & Charles Malinga Akol
- 1362822-1362822 How interrelated are MIST equity markets with the developed stock markets of the world?
by Vinodh Madhavan
- 1363355-1363355 New Islamic equity style indices: Constructing and testing the efficacy of information transmission
by Shahrin Saaid Shaharuddin & Wee-Yeap Lau & Rubi Ahmad
- 1364011-1364011 Cross-sectional volatility index as a proxy for the VIX in an Asian market
by Futeri Jazeilya Md Fadzil & John G. O’Hara & Wing Lon Ng
- 1364902-1364902 Optimal execution strategy in liquidity framework
by Chiara Benazzoli & Luca Di Persio
- 1366088-1366088 Technical efficiency and total factor productivity of rural banks in Ghana
by Eric Fosu Oteng-Abayie
- 1367147-1367147 Analysing stock market data—Market sentiment approach and its measures
by K.K. Moseki & K.S. Madhava Rao
- 1369383-1369383 Famers’ access to credit: Does collateral matter or cash flow matter?—Evidence from Sindh, Pakistan
by Abbas Ali Chandio & Yuansheng Jiang & Feng Wei & Abdul Rehman & Dan Liu
- 1370772-1370772 Macroeconomic linkages and international shock transmissions in East Asia: A global vector autoregressive approach
by Ibrahim Bakari Hassan & M. Azali & Lee Chin & Wan N.W. Azman-Saini
- 1374814-1374814 Analysis of industry risk premium with MVS three dimensions vector factor model
by Feng Sun & Cheng Liu & Xiaoguang Zhou
- 1379239-1379239 Effect of economic growth on CO2 emission in developing countries: Evidence from a dynamic panel threshold model
by Goodness C. Aye & Prosper Ebruvwiyo Edoja
- 1380248-1380248 An institutional approach to the decline of the Ottoman Empire
by Ayse Y. Evrensel & Tiffany Minx
- 1381370-1381370 Speculative bubbles and crashes: Fundamentalists and positive‐feedback trading
by Po-Keng Cheng & Young Shin Kim
- 1384125-1384125 Bismut–Elworthy–Li formula for subordinated Brownian motion applied to hedging financial derivatives
by M. Kateregga & S. Mataramvura & D. Taylor & Xibin Zhang
- 1384524-1384524 Behavioral heterogeneity and financial markets: Locked/crossed quotes under informationally efficient pricing
by Youzong Xu & Bo Li
- 1385438-1385438 Trade openness and economic growth volatility: An empirical investigation
by Kwame Mireku & Ellen Animah Agyei & Daniel Domeher
- 1385439-1385439 Does the human capital of board directors add value to firms? Evidence from an Asian market
by Tuan Nguyen & An Nguyen & Stuart Locke & Krishna Reddy
- 1385443-1385443 Valuation of proved vs. probable oil and gas reserves
by Bård Misund & Petter Osmundsen
- 1389252-1389252 The determinants of participation in global value chains: The case of ECOWAS
by Abdoulganiour Almame Tinta
- 1389675-1389675 The dynamics of price discovery for cross-listed stocks evidence from US and Chinese markets
by Geeta Duppati & Yang (Greg) Hou & Frank Scrimgeour
- 1389804-1389804 Education policy in South Korea: A contemporary model of human capital accumulation?
by Patrik Hultberg & David Santandreu Calonge & Seong-Hee Kim
- 1390029-1390029 Does insurance promote economic growth: A comparative study of developed and emerging/developing economies
by Sajid Mohy Ul Din & Arpah Abu-Bakar & Angappan Regupathi
- 1390897-1390897 Stock market return predictability: Google pessimistic sentiments versus fear gauge
by Ume Habibah & Suresh Rajput & Ranjeeta Sadhwani
- 1395950-1395950 The zero-inflated promotion cure rate model applied to financial data on time-to-default
by Mauro Ribeiro de Oliveira & Fernando Moreira & Francisco Louzada
- 1400900-1400900 Investment and revenue cap under incentive regulation: The case study of the Norwegian electricity distributors
by Dengjun Zhang & Jinghua Xie
- 1403108-1403108 Does economic distance affect the flows of trade and foreign direct investment? Evidence from Vietnam
by Thai-Ha Le
- 1405580-1405580 The impact of the Chinese cornstarch futures on spot market and corn futures market
by Crentsil Kofi Agyekum & Haifeng Huang & Jianshu Chen
- 1405581-1405581 Role of macroeconomic variables on firms’ performance: Evidence from the UK
by Mohammed Issah & Samuel Antwi
- 1408944-1408944 Accounting method choice and market valuation in the extractive industries
by Bård Misund
- 1410940-1410940 Replication studies
by David McMillan
- 1411453-1411453 Speculative bubbles and contagion: Analysis of volatility’s clusters during the DotCom bubble based on the dynamic conditional correlation model
by Maximilian-Benedikt Herwarth Kohn & Pedro L. Valls Pereira
- 1412230-1412230 On the construction of Chinese stock market investor sentiment index
by Gang He & Shuzhen Zhu & Haifeng Gu
- 1416896-1416896 Adoption of improved maize variety among farm households in the northern region of Ghana
by Gideon Danso-Abbeam & Joshua Antwi Bosiako & Dennis Sedem Ehiakpor & Franklin Nantui Mabe
- 1416902-1416902 A multi-factor model of heterogeneous traders in a dynamic stock market
by Dong-Jin Pyo
- 1418609-1418609 The determinants of capital structure: Evidence from public listed companies in Malaysia, Singapore and Thailand
by Jacinta Chan Phooi M’ng & Mahfuzur Rahman & Selvam Sannacy
- 1419778-1419778 The influence of the real effective exchange rate and relative prices on South Africa’s import demand function: An ARDL approach
by Tony Nchokoe Matlasedi
- 1420998-1420998 Idiosyncratic volatility and stock returns: Indian evidence
by Tariq Aziz & Valeed Ahmad Ansari
- 1427023-1427023 Erratum
by M. Kateregga & S. Mataramvura & D. Taylor
December 2016, Volume 4, Issue 1
- 1119367-1119367 Change and prediction of income and fertility rates across countries
by Inyong Shin
- 1125332-1125332 Market, interest rate, and exchange rate risk effects on financial stock returns during the financial crisis: AGARCH-M approach
by Aloui Mouna & Jarboui Anis
- 1127011-1127011 Does financial inclusion affect monetary policy in SAARC countries?
by Sanjaya Kumar Lenka & Arun Kumar Bairwa
- 1127746-1127746 The relationship between faculty characteristics and the use of norm- and criteria-based grading
by John Robst & Jennifer VanGilder
- 1128133-1128133 An analysis of seasonality fluctuations in the oil and gas stock returns
by Muhammad Surajo Sanusi & Farooq Ahmad
- 1136098-1136098 Financial stability, wealth effects and optimal macroeconomic policy combination in the United Kingdom: A new-Keynesian dynamic stochastic general equilibrium framework
by Muhammad Ali Nasir & Milton Yago & Alaa M. Soliman & Junjie Wu
- 1139437-1139437 Water exchange traded funds: A study on idiosyncratic risk using Markov switching analysis
by Gurudeo Anand Tularam & Rajibur Reza
- 1142847-1142847 Can an unglamorous non-event affect prices? The role of newspapers
by Riccardo Ferretti & Andrea Cipollini & Francesco Pattarin
- 1143345-1143345 Differentials in technical efficiency among smallholder cassava farmers in Central Madagascar: A Cobb Douglas stochastic frontier production approach
by B.C. Okoye & A. Abass & B. Bachwenkizi & G. Asumugha & B. Alenkhe & R. Ranaivoson & R. Randrianarivelo & N. Rabemanantsoa & I. Ralimanana
- 1143597-1143597 Effect of transaction costs on market participation among smallholder cassava farmers in Central Madagascar
by B.C. Okoye & A. Abass & B. Bachwenkizi & G. Asumugha & B. Alenkhe & R. Ranaivoson & R. Randrianarivelo & N. Rabemanantsoa & I. Ralimanana
- 1145535-1145535 SMEs capital structure determinants during severe economic crisis: The case of Greece
by D. Balios & N. Daskalakis & N. Eriotis & D. Vasiliou
- 1147119-1147119 Should cryptocurrencies be included in the portfolio of international reserves held by central banks?
by Winston Moore & Jeremy Stephen & Caroline Elliott
- 1150390-1150390 Insurance penetration and economic growth in Africa: Dynamic effects analysis using Bayesian TVP-VAR approach
by D.O. Olayungbo & A.E. Akinlo
- 1150407-1150407 Corporate governance and firm characteristics as explanatory factors of shareholder activism: Validation through the French context
by Siala Bouaziz Souha & Jarboui Anis & David McMillan
- 1150669-1150669 Acknowledgement of Reviewers
by Senior Editors
- 1151131-1151131 Determinants of the ZAR/USD exchange rate and policy implications: A simultaneous-equation model
by Yu Hsing
- 1151171-1151171 Assessing students: Real-world analyses underpinned by economic theory
by Caroline Elliott & Vudayagi Balasubramanyam
- 1152705-1152705 Modern econometrics: Structuring delivery and assessment
by Steve Cook
- 1152729-1152729 The relationship between real GDP, CO2 emissions, and energy use in the GCC countries: A time series approach
by Cosimo Magazzino
- 1153872-1153872 Economic growth in oil-exporting countries: Do stock market and banking sector development matter? Evidence from Nigeria
by Chinazaekpere Nwani & Jacob Bassey Orie
- 1159813-1159813 The hullaballoo over e-learning? Technology and pluralism in economics
by Duncan Watson & Louise Parker
- 1161322-1161322 Economic evolution, diversity of societies and stages of economic development: A critique of theories applied to hunters and gatherers and their successors
by Serge Svizzero & Clement A. Tisdell & Duncan Watson
- 1163773-1163773 Empirical determinants of relationship lending
by Sahar Loukil & Anis Jarboui
- 1167157-1167157 Teaching empirical finance courses: A project on portfolio management
by Bruce Morley
- 1168501-1168501 An analysis of the relation between return and beta for portfolios of Turkish equities
by Salvatore J. Terregrossa & Veysel Eraslan
- 1168728-1168728 Banks and economic growth in developing countries: What about Islamic banks?
by Saida Daly & Mohamed Frikha
- 1169640-1169640 Corrigendum
by B.C. Okoye & A. Abass & B. Bachwenkizi & G. Asumugha & B. Alenkhe & R. Ranaivoson & R. Randrianarivelo & N. Rabemanantsoa & I. Ralimanana
- 1170096-1170096 Improving the teaching of econometrics
by David F. Hendry & Grayham E. Mizon
- 1170317-1170317 Fiscal sustainability in the presence of structural breaks: Does overconfidence on resource exports hurt government’s ability to finance debt? Evidence from Nigeria
by Aliyu Alhaji Jibrilla
- 1170653-1170653 Do energy consumption and economic growth lead to environmental degradation? Evidence from Asian economies
by Lamia Jamel & Abdelkader Derbali
- 1177153-1177153 The solar and lunar divide and the impact on Taiwan’s stock returns
by Der-Yuan Yang & Chen-Hsun Lee
- 1178363-1178363 Stock return predictability and market integration: The role of global and local information
by David G. McMillan
- 1178884-1178884 Domains of reciprocity beyond monetary compensation: How do non-pecuniary factors affect effort and shirking?
by Akinori Tomohara & Akihiko Ohno
- 1180038-1180038 Innovations in Economics Education: An Introduction to Economic and Econometric Tools for Teaching and Learning
by S. Cook & C. Elliott
- 1185237-1185237 Oil price and the development of financial intermediation in developing oil-exporting countries: Evidence from Nigeria
by Chinazaekpere Nwani & Eugene Iheanacho & Chijioke Okogbue
- 1187780-1187780 On the stability of the money multiplier in Nigeria: Co-integration analyses with regime shifts in banking system liquidity
by K. Moses Tule & O. Taiwo Ajilore
- 1191985-1191985 The casual nexus between child mortality rate, fertility rate, GDP, household final consumption expenditure, and food production index
by Samuel Asumadu-Sarkodie & Phebe Asantewaa Owusu
- 1204809-1204809 Dynamic relationship among CO2 emission, agricultural productivity and food security in Nigeria
by Prosper Ebruvwiyo Edoja & Goodness C. Aye & Orefi Abu
- 1210996-1210996 Did the expectations channel work? Evidence from quantitative easing in Japan, 2001–06
by Chikashi Tsuji
- 1220119-1220119 An alternative to the standardized approach for assessing credit risk under the Basel Accords
by Yukiko Konno & Yuki Itoh
- 1220711-1220711 Does the fear gauge predict downside risk more accurately than econometric models? Evidence from the US stock market
by Chikashi Tsuji
- 1221231-1221231 Is product with a special feature still rewarding? The case of the Japanese yogurt market
by Tomohito Kamai & Yuichiro Kanazawa
- 1225346-1225346 Public debt and borrowing: Are governments disciplined by financial markets?
by Nicolas Afflatet & Stephanos Papadamou
- 1225347-1225347 Determinants of farmers’ access to fertilizer under fertilizer task force distribution system in Kogi State, Nigeria
by Moradeyo Adebanjo Otitoju & Dennis D. Ochimana
- 1230958-1230958 Does CEO emotional intelligence affect the performance of the diversifiable companies?
by Ferdaws Ezzi & Mouhamed Ali Azouzi & Anis Jarboui
- 1232225-1232225 Financial and ethical risk-taking by young adults: A role for family dynamics during childhood
by Shelia M. Kennison & Erin E. Wood & Jennifer Byrd-Craven & Megan L. Downing
- 1233628-1233628 A look at the actual cost of capital of US firms
by David J. Moore & David McMillan
- 1239317-1239317 External shocks and macroeconomic responses in Nigeria: A global VAR approach
by Lukman Oyeyinka Oyelami & P.A. Olomola
- 1239672-1239672 The benefits of investing into improved carbon flux monitoring
by J. Szolgayová & S. Fuss & T. Kaminski & M. Scholze & M. Gusti & M. Heimann & M. Tavoni
- 1251831-1251831 Overreaction of Dow stocks
by Gary Smith
- 1256023-1256023 International capital mobility in West Africa: A panel cointegration approach
by Ibrahim Bakari Hassan
- 1258810-1258810 Economic growth, financial development and trade openness in Nigeria: An application of the ARDL bound testing approach
by Adedoyin Isola Lawal & Tony I. Nwanji & Abiola Asaleye & Victor Ahmed
- 1264107-1264107 Vertical integration and value-relevance: Empirical evidence from oil and gas producers
by Bård Misund
- 1264538-1264538 Who’s a major? A novel approach to peer group selection: Empirical evidence from oil and gas companies
by Frank Asche & Bård Misund
- 1266788-1266788 Return and volatility spillovers in equity markets: An investigation using various GARCH methodologies
by Lidija Dedi & Burhan F. Yavas