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Content
2013, Volume 25, Issue C
- 91-107 Does payment method matter in cross-border acquisitions?
by Dutta, Shantanu & Saadi, Samir & Zhu, PengCheng
- 108-112 Multi-sourcing as an entry deterrence strategy
by Mukherjee, Arijit & Tsai, Yingyi
- 113-121 Volatility transmission between gold and oil futures under structural breaks
by Ewing, Bradley T. & Malik, Farooq
- 122-128 The real exchange rate and the balance of trade in US tourism
by Cheng, Ka Ming & Kim, Hyeongwoo & Thompson, Henry
- 129-145 Fundamentals, forecast combinations and nominal exchange-rate predictability
by Wu, Jyh-Lin & Wang, Yi-Chiuan
- 146-155 Money and risk of loss in an asset market segmentation model
by Choi, Hyung Sun
- 156-168 Nonlinear earnings persistence
by Cheng, Che-Hui & Wu, Po-Chin
- 169-184 Leverage and corporate performance: International evidence
by González, Víctor M.
- 185-201 Trade exposure, survival and growth of small and medium-size firms
by Álvarez, Roberto & Vergara, Sebastián
- 202-218 Exchange rate misalignment and inflation rate persistence: Evidence from Latin American countries
by Giannellis, Nikolaos & Koukouritakis, Minoas
- 219-243 Distortionary tax instruments and implementable monetary policy
by Marattin, Luigi & Marzo, Massimiliano & Zagaglia, Paolo
- 244-259 Volatility and return spillovers in Canadian and U.S. industry ETFs
by Krause, Timothy & Tse, Yiuman
- 260-271 Foreign direct investment and output growth volatility: A worldwide analysis
by Ćorić, Bruno & Pugh, Geoff
- 272-281 The predictability of opening returns for the returns of the trading day: Evidence from Taiwan futures market
by Chen, Chun-nan
- 282-290 Dynamics of the co-movement between stock and maritime markets
by Erdogan, Oral & Tata, Kenan & Karahasan, B. Can & Sengoz, M. Hakan
- 291-309 Growth, productivity and capital accumulation: The effects of financial liberalization in the case of European integration
by Gehringer, Agnieszka
- 310-325 Substitutability and complementarity of corporate governance mechanisms in Latin America
by Cueto, Diego C.
- 326-337 Country-specific idiosyncratic risk and global equity index returns
by Hueng, C. James & Yau, Ruey
- 338-355 Horizontal inventive step and international protection of intellectual property
by Yang, Xuebing
- 356-371 Predictive ability and profitability of simple technical trading rules: Recent evidence from Southeast Asian stock markets
by Yu, Hao & Nartea, Gilbert V. & Gan, Christopher & Yao, Lee J.
- 372-383 Modeling OECD energy demand: An international panel smooth transition error-correction model
by Lee, Chien-Chiang & Chiu, Yi-Bin
- 384-407 Growth and productivity: The role of government debt
by Afonso, António & Jalles, João Tovar
- 408-423 Futures mispricing, order imbalance, and short-selling constraints
by Lin, Emily & Lee, Cheng-Few & Wang, Kehluh
- 424-447 Exchange rate intervention in small open economies: The role of risk premium and commodity price shocks
by García, Carlos J. & González, Wildo D.
2012, Volume 24, Issue C
- 1-7 Goods allocation by queuing and the occurrence of violence: A probabilistic analysis
by Batabyal, Amitrajeet A. & DeAngelo, Gregory J.
- 8-25 Implementing option pricing models when asset returns follow an autoregressive moving average process
by Wang, Chou-Wen & Wu, Chin-Wen & Tzang, Shyh-Weir
- 26-42 Banking deregulation around the world, 1970s to 2000s: The impact on unemployment
by Feldmann, Horst
- 43-50 Corporate governance and FDI: Firm-level evidence from Japanese FDI into the US
by Wang, Peiming & Alba, Joseph D. & Park, Donghyun
- 51-61 The influence of Taylor rule deviations on the real exchange rate
by Wilde, Wolfram
- 62-70 Why U.S. firms delist from the Tokyo stock exchange: An empirical analysis
by Liu, Shinhua & Stowe, John D. & Hung, Ken
- 71-87 The dynamic relation between foreign exchange rates and international portfolio flows: Evidence from Africa's capital markets
by Kodongo, Odongo & Ojah, Kalu
- 88-96 The role of inflation regime in the exchange rate pass-through to import prices
by Junttila, Juha & Korhonen, Marko
- 97-108 Bilateral exports from euro zone countries to the US — Does exchange rate variability play a role?
by Verheyen, Florian
- 109-128 Technical analyses and order submission behaviors: Evidence from an emerging market
by Wang, Zi-Mei & Chiao, Chaoshin & Chang, Ya-Ting
- 129-142 Influence of investor subjective judgments in investment decision-making
by Liu, Yu-hong & Jiang, I-ming
- 143-154 Insider trading with different market structures
by Daher, Wassim & Karam, Fida & Mirman, Leonard J.
- 155-166 Wealth effects in emerging market economies
by Peltonen, Tuomas A. & Sousa, Ricardo M. & Vansteenkiste, Isabel S.
- 167-176 Measuring the risk premium in uncovered interest parity using the component GARCH-M model
by Li, Dandan & Ghoshray, Atanu & Morley, Bruce
- 177-184 Production and futures hedging with state-dependent background risk
by Wong, Kit Pong
- 185-199 Exchange rate misalignments in frequency domain
by Grossmann, Axel & Orlov, Alexei G.
- 200-223 Inside trading, public disclosure and imperfect competition
by Gong, Fuzhou & Liu, Hong
- 224-234 Nonstationarity and nonlinearity in inflation rate: Some further evidence
by Arize, Augustine C. & Malindretos, John
- 235-249 The Effect of Data Revisions on the Basic New Keynesian Model
by Vázquez, Jesús & María-Dolores, Ramón & Londoño, Juan M.
- 250-269 The financial crisis and sizable international reserves depletion: From ‘fear of floating’ to the ‘fear of losing international reserves’?
by Aizenman, Joshua & Sun, Yi
- 270-294 Causes of banking crises: Deregulation, credit booms and asset bubbles, then and now
by Roy, Saktinil & Kemme, David M.
- 295-302 Do investors value REITs and Non-REITs differently?
by Wei, Peihwang & Yang, Xiaolou
- 303-314 Corporate governance and cash holdings: A quantile regression approach
by Kuan, Tsung-Han & Li, Chu-Shiu & Liu, Chwen-Chi
- 315-326 Volatility risk premium decomposition of LIFFE equity options
by Lin, Bing-Huei & Lin, Yueh-Neng & Chen, Yin-Jung
- 327-342 Asymmetric and threshold effects on comovements among Germanic cross-listed equities
by Koulakiotis, Athanasios & Kartalis, Nikos & Lyroudi, Katerina & Papasyriopoulos, Nicholas
2012, Volume 23, Issue C
- 5-15 A model of globalization and firm-worker matching: How good is good enough?
by Davidson, Carl & Matusz, Steven J.
- 16-29 Trade liberalization, unemployment, and inequality with endogenous job destruction
by Ranjan, Priya
- 30-45 Endogenous labor market institutions in an open economy
by Felbermayr, Gabriel J. & Larch, Mario & Lechthaler, Wolfgang
- 46-58 Offshoring, wages and the growing skill gap: Advocating offshoring without sectoral reallocation
by Bakhtiari, Sasan
- 59-74 Does deeper integration enhance spatial advantages? Market access and wage growth in China
by Kamal, Fariha & Lovely, Mary E. & Ouyang, Puman
- 75-90 The effects of trade and services liberalization on wage inequality in India
by Mehta, Aashish & Hasan, Rana
- 91-109 Import protection, exports and labor-demand elasticities: Evidence from Korea
by Mitra, Devashish & Shin, Jeongeun
2012, Volume 22, Issue 1
- 1-10 Do central banks affect Tobin's q?
by Faria, João Ricardo & Mollick, André Varella & Sachsida, Adolfo & Wang, Le
- 11-24 R&D, risks and overreaction in a market with the absence of the book-to-market effect
by Hung, Weifeng & Chiao, Chaoshin & Liao, Tung Liang & Huang, Sheng-Tang
- 25-41 Income based price subsidies and parallel imports
by Acharyya, Rajat & García-Alonso, María D.C.
- 42-65 Bond risk premia, macroeconomic fundamentals and the exchange rate
by Pericoli, Marcello & Taboga, Marco
- 66-77 Optimal nonlinear income taxation with productive government expenditure
by Lai, Ching-Chong & Liao, Chih-Hsing
- 78-91 Forecasting the volatility of S&P depositary receipts using GARCH-type models under intraday range-based and return-based proxy measures
by Liu, Hung-Chun & Chiang, Shu-Mei & Cheng, Nick Ying-Pin
- 92-100 Does financial liberalization decrease capital flight? A panel causality analysis
by Yalta, A. Yasemin & Yalta, A. Talha
- 101-111 Exchange rate pass-through in deflation: The case of Taiwan
by Lin, Po-Chun & Wu, Chung-Shu
- 112-128 U.S. industry-level returns and oil prices
by Fan, Qinbin & Jahan-Parvar, Mohammad R.
- 129-140 The portfolio strategy and hedging: A spectrum perspective on mean–variance theory
by Hsu, Pao-Peng & Liao, Szu-Lang
- 141-160 Debt reorganization strategies with complete verification under information asymmetry
by Shibata, Takashi & Tian, Yuan
- 161-172 The comovement between exchange rates and stock prices in the Asian emerging markets
by Lin, Chien-Hsiu
- 173-189 Stock exchange mergers and weak form of market efficiency: The case of Euronext Lisbon
by Khan, Walayet & Vieito, João Paulo
- 190-200 Tradability and market penetration costs: Explaining foreign market servicing intensities
by Schmeiser, Katherine N. & Ricaurte, Miguel F.
- 201-207 Environmental control, wage inequality and national welfare in a tourism economy
by Chao, Chi-Chur & Laffargue, Jean-Pierre & Sgro, Pasquale M.
- 208-221 Capital structure and corporate governance quality: Evidence from the Institutional Shareholder Services (ISS)
by Jiraporn, Pornsit & Kim, Jang-Chul & Kim, Young Sang & Kitsabunnarat, Pattanaporn
- 222-229 Predictions of growth in U.S. corporate profits: Asymmetric vs. symmetric loss
by Baghestani, Hamid & Khallaf, Ashraf
- 230-253 Firm Market Performance and Volatility in a National Real Estate Sector
by Bianconi, Marcelo & Yoshino, Joe A.
- 254-266 Insider trading and stock prices
by Tavakoli, Manouchehr & McMillan, David & McKnight, Phillip J.
- 267-283 Dilution/incentive effects associating with employee bonuses in Taiwan: Empirical findings under two regimes
by Chen, Ching-Lung & Lu, Ming-Che & Yen, Gili
- 284-304 The predictability of aggregate Japanese stock returns: Implications of dividend yield
by Chen, Sichong
2012, Volume 21, Issue 1
- 1-15 Dynamics of underwriting profits: Evidence from the U.S. insurance market
by Jiang, Shi-jie & Nieh, Chien-Chung
- 16-28 External vulnerability, balance sheet effects, and the institutional framework — Lessons from the Asian crisis
by Mulder, Christian & Perrelli, Roberto & Rocha, Manuel Duarte
- 29-41 Call-pricing equity returns and default risks of entry mode with brand perception in retail banking
by Tsai, Jeng-Yan & Chang, Chuen-Ping
- 42-56 Dividend policy and business groups: Evidence from Indian firms
by Manos, Ronny & Murinde, Victor & Green, Christopher J.
- 57-76 Volatility, financial constraints, and trade
by García-Vega, María & Guariglia, Alessandra & Spaliara, Marina-Eliza
- 77-86 Trade and factor returns: Empirical evidence from U.S. economy
by Akay, Gokhan H.
- 87-105 Modeling the effect of macroeconomic factors on corporate default and credit rating transitions
by Figlewski, Stephen & Frydman, Halina & Liang, Weijian
- 106-114 Renminbi in the future international monetary system
by Yeh, Kuo-chun
- 115-129 Time-changed GARCH versus the GARJI model for prediction of extreme news events: An empirical study
by Kao, Lie-Jane & Wu, Po-Cheng & Lee, Cheng-Few
- 130-139 Does the central bank's intervention benefit trade balance? Empirical evidence from China
by Hsiao, Yu-Ming & Pan, Sheng-Chieh & Wu, Po-Chin
- 140-146 Is the honeymoon effect valid in the presence of both exchange rate and output expectations? A graphical analysis
by Lai, Ching-chong & Fang, Chung-rou
- 147-155 Confucius institute effects on China's trade and FDI: Isn't it delightful when folks afar study Hanyu?
by Lien, Donald & Oh, Chang Hoon & Selmier, W. Travis
- 156-172 Asymmetric effects of U.S. stock returns on European equities
by Wahab, Mahmoud
- 173-176 A decomposition of Ricardian trade gains
by Kikuchi, Toru & Long, Ngo Van
- 177-185 Real wages and non-traded goods
by Jones, Ronald W.
- 186-194 Tax burden distribution and GDP growth: Non-linear causality considerations in the USA
by Karagianni, Stella & Pempetzoglou, Maria & Saraidaris, Anastasios
- 195-209 Intraday trading activities and volatility in round-the-clock futures markets
by Kao, Erin H. & Fung, Hung-Gay
- 210-220 Consistent winners and losers
by Alwathainani, Abdulaziz M.
- 221-231 Are exchange rate movements predictable in Asia-Pacific markets? Evidence of random walk and martingale difference processes
by Al-Khazali, Osamah M. & Pyun, Chong Soo & Kim, Daewon
- 232-245 Technology shocks under varying degrees of financial openness
by Cakici, S. Meral
- 246-260 The impact of real income on insurance premiums: Evidence from panel data
by Lee, Chien-Chiang & Chiu, Yi-Bin
- 261-271 Asset pricing with idiosyncratic risk: The Spanish case
by Miralles-Marcelo, José Luis & Miralles-Quirós, María del Mar & Miralles-Quirós, José Luis
- 272-291 Identifying aggregate supply and demand shocks in small open economies: Empirical evidence from African countries
by Ahmad, A.H. & Pentecost, Eric J.
- 292-301 Country risk, country size, and tax competition for foreign direct investment
by Sanjo, Yasuo
- 302-318 The Thursday effect of the forward premium puzzle
by Ding, Liang
October 2011, Volume 20, Issue 4
- 469-484 Commodities and financial variables: Analyzing relationships in a changing regime environment
by Bhar, Ramaprasad & Hammoudeh, Shawkat
- 485-497 Predicting foreign exchange movements using historic deviations from PPP
by Qiu, Mei & Pinfold, John F. & Rose, Lawrence C.
- 498-505 Eurocurrency interest rate linkages: A frequency domain analysis
by Ciner, Cetin
- 506-519 The dynamics of market structure and firm-level adjustment to India's pro-market economic liberalizing reforms, 1988-2006: A Time Varying Panel Smooth Transition Regression (TV-PSTR) approach
by Geng, Nan
- 520-531 Monetary policy announcements and stock price dynamics in a small open economy
by Chao, Chi-Chur & Hu, Shih-Wen & Tai, Meng-Yi & Wang, Vey
- 532-541 Terrorism and capital markets: The effects of the Madrid and London bomb attacks
by Kollias, Christos & Papadamou, Stephanos & Stagiannis, Apostolos
- 542-548 The effects of imperfect auditing on managerial compensation
by Baglioni, Angelo & Colombo, Luca
- 549-561 A welfare analysis of tariffs and equivalent quotas under demand uncertainty: Implications for tariffication
by Chen, Hung-Yi & Chang, Yang-Ming & Chiou, Jiunn-Rong
- 562-573 Does corporate board downsizing increase shareholder value? Evidence from Japan
by Uchida, Konari
- 574-590 Asymmetric output growth effects of government spending: Cross-sectional and panel data evidence
by Wahab, Mahmoud
- 591-606 Volatility forecasting of exchange rate by quantile regression
by Huang, Alex YiHou & Peng, Sheng-Pen & Li, Fangjhy & Ke, Ching-Jie
- 607-623 Semivariance decomposition of country-level returns
by Beach, Steven L.
- 624-632 Herding with costly information and signal extraction
by Yang, Wan-Ru
- 633-644 Optimal executive compensation: Stock options or restricted stocks
by Wu, Yan Wendy
- 645-653 Effects of structural changes on the risk characteristics of REIT returns
by Wu, Pei-Shan & Huang, Chien-Ming & Chiu, Chien-Liang
- 654-664 The dynamic dependence between the Chinese market and other international stock markets: A time-varying copula approach
by Wang, Kehluh & Chen, Yi-Hsuan & Huang, Szu-Wei
- 665-678 Income distribution and exchange in a dynamic search model
by Yilmaz, Ensar & Ünveren, Burak
- 679-689 The term structure of interest rates, the expectations hypothesis and international financial integration: Evidence from Asian economies
by Holmes, Mark J. & Otero, Jesús & Panagiotidis, Theodore
- 690-706 Does market misvaluation drive post-acquisition underperformance in stock deals?
by Lin, Hsuan-Chu & Chou, Ting-Kai & Cheng, Jia-Chi
- 707-716 An application of a new seasonal unit root test to inflation
by Narayan, Paresh Kumar & Popp, Stephan
- 717-732 Dynamic correlation analysis of financial contagion: Evidence from the Central and Eastern European markets
by Syllignakis, Manolis N. & Kouretas, Georgios P.
- 733-743 Investment banks' stock ratings, call warrant issuance, and responses from heterogeneous investors: Evidence from Taiwan
by Chang, Chih-Hsiang & Chan, Kam C.
- 744-749 Interest rate rules and macroeconomic stability with transaction costs
by Chang, Wen-ya & Tsai, Hsueh-fang & Chang, Juin-jen
- 750-763 On the risk premium in Nordic electricity futures prices
by Lucia, Julio J. & Torró, Hipòlit
- 764-783 International diversification and industry-related labor income risk
by Fugazza, Carolina & Giofré, Maela & Nicodano, Giovanna
- 784-791 Banks' risk race: A signaling explanation
by Besancenot, Damien & Vranceanu, Radu
- 792-799 To integrate with a high- or low-wage country: That is the question
by Choi, E. Kwan
- 800-811 The real exchange rate determination: An empirical investigation
by Tsen, Wong Hock
- 812-825 Emerging dual channel system and manufacturer's direct retail channel strategy
by Chun, Se-Hak & Rhee, Byong-Duk & Park, Seong Y. & Kim, Jae-Cheol
- 826-838 The determinants of exchange settlement practices and the implication of volatility smile: Evidence from the Taiwan Futures Exchange
by Szu, Wen-Ming & Wang, Ming-Chun & Yang, Wan-Ru
- 839-845 Purchasing power parity for fifteen Latin American countries: Stationary test with a Fourier function
by Su, Chi-Wei & Tsangyao, Chang & Chang, Hsu-Ling
- 846-847 A. Panagariya, India: The emerging giant , Oxford University Press, New York, New York (2008) ISBN 978-0-19-531503-5 514 pp, US$ 39.95
by Batabyal, Amitrajeet A.
- 847-849 Review of Barry Eichengreen, Exorbitant Privilege, Oxford University Press (2011)
by Kenen, Peter B.
- 849-850 Jagdish Bhagwati and Alan S. Blinder, Offshoring of American Jobs: What Response from U.S. Economic Policy? Edited and with an Introduction by .Benjamin M. Friedman, Editor, The MIT Press, Cambridge, MA (2009) $19.95, 141 pages
by Rassekh, Farhad
- 850-851 William H. Greene and David A. Hensher , Modeling ordered choices: A primer, Cambridge University Press (2010)
by Norton, Edward C.
- 852-852 Corrigendum to [`]Stock market reaction to dividend announcements: Evidence from the Greek stock market' [Int. Rev. Econ. Finance 20 (2011) 302-311]
by Dasilas, Apostolos & Leventis, Stergios
June 2011, Volume 20, Issue 3
- 365-366 Institutional characteristics and market impediments in Asian capital markets: An introduction
by Chan, Kam C. & Fung, Hung-Gay & Tay, Nicholas S.P.
- 367-375 IPO underpricing: A social comparison perspective
by Chang, Chih-Hsiang
- 376-387 An analysis of Japanese earnings forecast revisions with application to seasoned equity offerings
by Caton, Gary L. & Chan, Justin S.P. & Goh, Jeremy & Yang, Sheng-Yung
- 388-394 Listings from the emerging economies: An opportunity for reputable stock exchanges
by Tay, Nicholas S.P. & Oladi, Reza
- 395-405 Are social, financial, and human capital value enhancing? Evidence from Taiwanese firms
by Doong, Shuh-Chyi & Fung, Hung-Gay & Wu, Jr-Ya
- 406-420 Adverse selection and corporate governance
by Charoenwong, Charlie & Ding, David K. & Siraprapasiri, Vasan
- 421-429 Insider trading returns and dividend signals
by Cheng, Louis T.W. & Davidson III, Wallace N. & Leung, T.Y.
- 430-440 Modeling the fat tails in Asian stock markets
by Kittiakarasakun, Jullavut & Tse, Yiuman
- 441-451 The impact of sovereign risk on bond duration: Evidence from Asian sovereign bond markets
by Lee, Hei Wai & Xie, Yan Alice & Yau, Jot
- 452-458 Determinants of futures contract success: Empirical examinations for the Asian futures markets
by Hung, Mao-Wei & Lin, Bing-Huei & Huang, Yu-Chuan & Chou, Jian-Hsin
- 459-467 Momentum and reversals in Taiwan index futures returns during periods of extreme trading imbalance
by Kao, Erin H.
April 2011, Volume 20, Issue 2
- 129-130 Introduction to Heckscher-Ohlin theory: A modern approach
by Fisher, Eric O'N.
- 131-134 From great depression to great recession
by Vanek, Jaroslav
- 135-145 The Heckscher-Ohlin model and the network structure of international trade
by Baskaran, Thushyanthan & Blöchl, Florian & Brück, Tilman & Theis, Fabian J.
- 146-156 Empirical foundations for the resurrection of Heckscher-Ohlin theory
by Egger, Peter & Marshall, Kathryn G. & Fisher, Eric O'N.
- 157-172 The factor content of regional bilateral trade: The role of technology and demand
by Artal-Tur, Andrés & Castillo-Giménez, Juana & Llano-Verduras, Carlos & Requena-Silvente, Francisco
- 173-184 The domestic content of imports and the foreign content of exports
by Reimer, Jeffrey J.
- 185-192 Estimating the Heckscher-Ohlin model: Inverting the inverse matrix
by Thompson, Henry
- 193-201 The gains from trade revisited
by Soo, Kwok Tong
- 202-210 Heckscher-Ohlin theory when countries have different technologies
by Fisher, Eric O'N.
- 211-224 Employment effects of foreign acquisition
by Bandick, Roger & Karpaty, Patrik
- 225-247 Ownership, competition, and bank productivity: An analysis of Indian banking in the post-reform period
by Sanyal, Paroma & Shankar, Rashmi
- 248-256 EU-GCC free trade agreement: Adjustments in a factors proportion model for the UAE
by Toledo, Hugo
- 257-266 Further evidence on purchasing power parity and country characteristics
by Wu, Jyh-Lin & Cheng, Su-Yin & Hou, Han
- 267-280 An empirical investigation of monetary interaction in the Korean economy
by Choo, Han Gwang & Kurita, Takamitsu
- 281-301 Utilizing financial market information in forecasting real growth, inflation and real exchange rate
by Junttila, Juha & Korhonen, Marko
- 302-311 Stock market reaction to dividend announcements: Evidence from the Greek stock market
by Dasilas, Apostolos & Leventis, Stergios
- 312-324 Do liquidity and sampling methods matter in constructing volatility indices? Empirical evidence from Taiwan
by Tzang, Shyh-Weir & Hung, Chih-Hsing & Wang, Chou-Wen & Shyu, David So-De
- 325-341 Mergers and capital flight in unionised oligopolies: Is there scope for a "national champion" policy?
by Lommerud, Kjell Erik & Meland, Frode & Straume, Odd Rune
- 342-362 Forecasting exchange rates: The multi-state Markov-switching model with smoothing
by Yuan, Chunming
- 363-364 Marco Buti, Sevaas Deroose, Vitor Gaspar and João Nogueira Martins, Editors, The Euro: The First Decade, Cambridge University Press, Cambridge, New York (2010), p. 1015
by Kenen, Peter B.
- 364-364 Monetary Economics in Globalised Financial Markets, by Ansgar Belke and Thorsten Polleit. 2009 Springer-Verlag (Heidelberg); ISBN: 978-3-540-71002-8
by Bhattacharya, Joydeep
January 2011, Volume 20, Issue 1
- 1-4 The emerging global financial architecture and exchange rate regimes in a volatile world
by Aizenman, Joshua & Hutchison, Michael
- 5-18 International reserves and swap lines: Substitutes or complements?
by Aizenman, Joshua & Jinjarak, Yothin & Park, Donghyun
- 19-31 Accumulation of reserves and keeping up with the Joneses: The case of LATAM economies
by Cheung, Yin-Wong & Sengupta, Rajeswari
- 32-43 The exchange rate regime in Asia: From crisis to crisis
by Patnaik, Ila & Shah, Ajay & Sethy, Anmol & Balasubramaniam, Vimal
- 44-58 Crisis and self-fulfilling expectations: The Turkish experience in 1994 and 2000-2001
by Tamgac, Unay
- 59-70 The illusive quest: Do international capital controls contribute to currency stability?
by Glick, Reuven & Hutchison, Michael
- 71-81 Foreign output shocks, monetary rules and macroeconomic volatilities in small open economies
by Alba, Joseph D. & Su, Zheng & Chia, Wai-Mun
- 82-94 Structural change, savings and current account balance
by Sun, Yi
- 95-109 Markets contagion during financial crisis: A regime-switching approach
by Guo, Feng & Chen, Carl R. & Huang, Ying Sophie
- 110-127 Jumps in foreign exchange rates and stochastic unwinding of carry trades
by Nirei, Makoto & Sushko, Vladyslav
October 2010, Volume 19, Issue 4
- 527-538 The profitability of momentum trading strategies: Empirical evidence from Hong Kong
by Cheng, Joseph W. & Wu, Hiu-fung
- 539-554 Entry deterrence through credit denial
by Showalter, Dean
- 555-561 Is Stolper-Samuelson dangerous and FPE a failure?
by Rassekh, Farhad
- 562-574 IMF surveillance as a signal to attract foreign investment
by Mayer, Wolfgang & Mourmouras, Alexandros
- 575-589 Country of Origin Labeling (C.O.O.L.): How cool is it?
by Dinopoulos, Elias & Livanis, Grigorios & West, Carol
- 590-602 Vertical separation versus vertical integration in a macroeconomic model with imperfect competition
by Lai, Ching-chong & Chin, Chi-ting & Chang, Shu-hua
- 603-614 Joint venture instability in developing countries under entry
by Banerjee, Shantanu & Mukherjee, Arijit
- 615-626 Investment barriers and premiums on closed-end country funds
by Kim, Jang-Chul & Song, Kyojik Roy
- 627-632 Precision of Investor Information and Financial Disclosure
by Liang, Woan-lih & Lin, Hsiou-wei W. & Syu, Yir-Jung
- 633-647 Precious metals-exchange rate volatility transmissions and hedging strategies
by Hammoudeh, Shawkat M. & Yuan, Yuan & McAleer, Michael & Thompson, Mark A.
- 648-661 Asymmetry dynamics in real exchange rates: New results on East Asian currencies
by Baharumshah, Ahmad Zubaidi & Liew, Venus Khim-Sen & Chowdhury, Ibrahim
- 662-670 Economic reform, informal-formal sector linkages and intervention in the informal sector in developing countries: A paradox
by Arvin-Rad, Hassan & Basu, Arnab K. & Willumsen, Maria
- 671-685 The frequency and magnitude of earnings management: Time-series and multi-threshold comparisons
by Chen, Shaw K. & Lin, Bing-Xuan & Wang, Yaping & Wu, Liansheng
- 686-697 Time-varying global and local sources of market and currency risks in Russian stock market
by Saleem, Kashif & Vaihekoski, Mika
- 698-710 Herding by foreign investors and emerging market equity returns: Evidence from Korea
by Jeon, Jin Q & Moffett, Clay M.
- 711-722 The business cycle and the equity risk premium in real time
by Kizys, Renatas & Pierdzioch, Christian
- 723-732 Interest differentials and extreme support for uncovered interest rate parity
by Craighead, William D. & Davis, George K. & Miller, Norman C.
- 733-741 Globalization challenges for the Mexican textile industry
by Truett, Lila J. & Truett, Dale B.