Elsevier
Journal of Economics and Business
Contact information of Elsevier:
Web page: http://www.elsevier.com/locate/jeconbus
Download restrictions: Full text for ScienceDirect subscribers only
Editor:
For corrections or technical questions regarding this series, please contact
(Wendy Shamier)
Series handle: repec:eee:jebusi
Citations RSS feed: at CitEc
Impact factors:
Simple,
Recursive,
Discounted,
Recursive discounted,
H-Index,
Aggregate
Access and download statistics
Top item: By citations. By downloads (last 12 months).
More pages of listings: 0| 1| 2| 3| 4
2012, Volume 64, Issue 6
- 393-398 Second-best optimality of advertising when monopoly is sanctioned
by Just, Richard E. & Pope, Rulon D. - 399-426 Outsider CEO succession and firm performance
by Jalal, Abu M. & Prezas, Alexandros P. - 427-438 On the transmission of economic fluctuations from the USA to EU-15 (1960–2011)
by Michaelides, Panayotis G. & Papageorgiou, Theofanis - 439-451 Short selling after hours
by Alldredge, Dallin M. & Blau, Benjamin M. & Brough, Tyler J.
2012, Volume 64, Issue 5
- 323-337 Real aggregate activity and stock returns
by Du, Ding & Denning, Karen & Zhao, Xiaobing - 338-363 Banks as ‘fat cats’: Branching and price decisions in a two-stage model of competition
by Coccorese, Paolo - 364-376 Joint dynamics of Brazilian interest rate yields and macro variables under a no-arbitrage restriction
by Barbedo, Claudio H.S. & de Melo, Eduardo F.L. - 377-392 Bank capital and exposure to the financial crisis
by Akhigbe, Aigbe & Madura, Jeff & Marciniak, Marek
2012, Volume 64, Issue 4
- 261-274 Impact of industry characteristics on the method of payment in mergers
by García-Feijóo, Luis & Madura, Jeff & Ngo, Thanh - 275-286 A multiple adaptive wavelet recurrent neural network model to analyze crude oil prices
by Mingming, Tang & Jinliang, Zhang - 287-305 Volatility persistence in metal returns: A FIGARCH approach
by Cochran, Steven J. & Mansur, Iqbal & Odusami, Babatunde - 306-322 Regional foreign direct investment potential of the states within the US
by Kandogan, Yener
2012, Volume 64, Issue 3
- 199-213 The value of Value-at-Risk: A theoretical approach to the pricing and performance of risk measurement systems
by Wiener, Zvi - 214-230 Dividends and strength of Japanese business group affiliation
by Aggarwal, Raj & Dow, Sandra M. - 231-239 Managing multinational corporations through compensation: The risk-sharing contract method
by Shoham, Amir - 240-260 Remittances, financial development and economic growth in Africa
by Nyamongo, Esman Morekwa & Misati, Roseline N. & Kipyegon, Leonard & Ndirangu, Lydia
2012, Volume 64, Issue 2
- 117-144 The dynamic adjustments of stock prices to inflation disturbances
by Valcarcel, Victor J. - 145-159 Market linkage and information spillover: Evidence from pre-crisis, crisis, and recovery periods
by Ding, Liang & Pu, Xiaoling - 160-184 Private investment and public equity returns
by Couch, Robert & Wu, Wei - 185-198 Sources of target stock price run-up prior to acquisitions
by Brigida, Matthew & Madura, Jeff
2012, Volume 64, Issue 1
- 7-23 After the global financial crisis: From international to multinational banking?
by McCauley, Robert & McGuire, Patrick & von Peter, Goetz - 24-36 Moving FDIC insurance to an asset-based assessment system: Evidence from the special assessment of 2009
by Hein, Scott E. & Koch, Timothy W. & Nounamo, Chrislain - 37-62 Macro-prudential policy on liquidity: What does a DSGE model tell us?
by Chadha, Jagjit S. & Corrado, Luisa - 63-76 Anchoring bias in the TARP warrant negotiations
by Wilson, Linus - 77-89 Indian financial market regulation: A dialectic model
by Vashishtha, Ashutosh & Sharma, Anil K. - 90-104 The information content of the Banking Regulatory Agencies and the Depository Credit Intermediation Institutions
by Elshahat, A. & Parhizgari, Ali & Hong, Liang - 105-115 Creating a linchpin for financial data: Toward a universal legal entity identifier
by Bottega, John A. & Powell, Linda F.
2011, Volume 63, Issue 6
- 531-551 Bank monitoring, profit efficiency and the commercial lending business model
by Akhigbe, Aigbe & McNulty, James E. - 558-581 Leverage and growth: Effect of stock options
by Francis, Bill & Hasan, Iftekhar & Sharma, Zenu - 582-604 Treasury Bond risk and return, the implications for the hedging of consumption and lessons for asset pricing
by Michelfelder, Richard A. & Pilotte, Eugene A. - 605-637 Joint ventures in patent contests with spillovers and the role of strategic budgeting
by Jost, Peter-J. - 638-662 Political cycles under external economic constraints: Evidence from Cyprus
by Efthyvoulou, Georgios
2011, Volume 63, Issue 5
- 345-348 Causes, consequences and cures of the subprime financial crisis
by Yeager, Timothy J. - 349-371 A binomial model of Geithner's toxic asset plan
by Wilson, Linus - 372-391 Charter value, Tobin's Q and bank risk during the subprime financial crisis
by Jones, Jeffrey S. & Miller, Scott A. & Yeager, Timothy J. - 392-411 Assessing the effectiveness of the Paulson "teaser freezer" Plan: Evidence from the ABX index
by Balla, Eliana & Carpenter, Robert E. & Robinson, Breck L. - 412-430 What explains default risk premium during the financial crisis? Evidence from Japan
by Naifar, Nader - 431-440 Leverage regulation: An agent-based simulation
by Feldman, Todd - 441-455 It happened again: A Minskian analysis of the subprime loan crisis
by Silipo, Damiano B. - 456-471 CEO incentives and bank risk
by Acrey, James Cash & McCumber, William R. & Nguyen, Thu Hien T. - 472-491 Factors impacting on whether and how businesses respond to early warning signs of financial and economic turmoil: Jamaican firms in the global crisis
by Tennant, David - 492-502 The contagion effect of default risk insurer downgrades: The impact on insured municipal bonds
by Brune, Chris & Liu, Pu - 503-516 Wages, inflation, and mortgage design
by Nejadmalayeri, Ali - 517-529 The role of trade credit in the recent subprime financial crisis
by Yang, Xiaolou
2011, Volume 63, Issue 4
- 251-277 Outside directors, board interlocks and firm performance: Empirical evidence from Colombian business groups
by Pombo, Carlos & Gutiérrez, Luis H. - 278-289 Forecast errors before and during the Great Moderation
by Gamber, Edward N. & Smith, Julie K. & Weiss, Matthew A. - 290-305 Federal Reserve and private forecasts of growth in investment
by Baghestani, Hamid - 306-328 Big bank, small bank: Monetary policy implementation and banks' reserve management strategies
by Judson, Ruth A. & Klee, Elizabeth - 329-344 Size (of the product) matters
by Reggiani, Carlo
2011, Volume 63, Issue 3
- 167-167 Letter from the Editor
by Kopecky, Kenneth J. - 168-186 The changing sensitivity of realized portfolio betas to U.S. output growth: An analysis based on real-time data
by Kizys, Renatas & Pierdzioch, Christian - 187-216 Asset pricing in the production economy subject to monetary shocks
by Grishchenko, Olesya V. - 217-236 A symmetric LPM model for heuristic mean-semivariance analysis
by Cumova, Denisa & Nawrocki, David - 237-249 Revisiting the expectations hypothesis: The Japanese term structure and regime shifts
by Zhu, Xiaoneng
2011, Volume 63, Issue 2
- 89-106 Sectoral equity returns in the Euro region: Is there any room for reducing portfolio risk?
by Balli, Faruk & Balli, Hatice O. - 107-120 An empirical model for Japan's business fixed investment
by Kurita, Takamitsu - 121-138 The reaction of stock returns to unexpected increases in the federal funds rate target
by Tsai, Chun-Li - 139-151 Financial development and private investment in Sub-Saharan Africa
by Misati, Roseline Nyakerario & Nyamongo, Esman Morekwa - 152-165 The price effects of index additions: A new explanation
by Liu, Shinhua - 89-106 Sectoral equity returns in the Euro region: Is there any room for reducing portfolio risk?
by Balli, Faruk & Balli, Hatice O. - 152-165 The price effects of index additions: A new explanation
by Liu, Shinhua - 139-151 Financial development and private investment in Sub-Saharan Africa
by Misati, Roseline Nyakerario & Nyamongo, Esman Morekwa - 121-138 The reaction of stock returns to unexpected increases in the federal funds rate target
by Tsai, Chun-Li - 107-120 An empirical model for Japan’s business fixed investment
by Kurita, Takamitsu
2011, Volume 63, Issue 1
- 1-22 Enhancing market discipline in banking: The role of subordinated debt in financial regulatory reform
by Evanoff, Douglas D. & Jagtiani, Julapa A. & Nakata, Taisuke - 23-45 Gender differences in executive compensation: Variation with board gender composition and time
by Elkinawy, Susan & Stater, Mark - 46-68 Is corporate governance important for regulated firms' shareholders?: Evidence from Japanese mergers and acquisitions
by Nogata, Daisuke & Uchida, Konari & Goto, Naohisa - 69-85 Shareholder protection, ownership concentration and FDI
by Lskavyan, Vahe & Spatareanu, Mariana - 69-85 Shareholder protection, ownership concentration and FDI
by Lskavyan, Vahe & Spatareanu, Mariana - 46-68 Is corporate governance important for regulated firms’ shareholders?
by Nogata, Daisuke & Uchida, Konari & Goto, Naohisa - 23-45 Gender differences in executive compensation: Variation with board gender composition and time
by Elkinawy, Susan & Stater, Mark - 1-22 Enhancing market discipline in banking: The role of subordinated debt in financial regulatory reform
by Evanoff, Douglas D. & Jagtiani, Julapa A. & Nakata, Taisuke
2010, Volume 62, Issue 6
- 471-476 Venture capital, private equity, IPOs, and banking: An introduction and agenda for future research
by Chemmanur, Thomas J. - 477-501 Venture capital and the incorporation decisions of IPO firms
by Boulton, Thomas J. - 502-516 Venture capital affiliation with underwriters and the underpricing of initial public offerings in Japan
by Arikawa, Yasuhiro & Imad'eddine, Gael - 517-536 Venture capital, ownership structure, accounting standards and IPO underpricing: Evidence from Germany
by Elston, Julie Ann & Yang, J. Jimmy - 537-561 Performance reversals and attitudes towards risk in the venture capital (VC) market
by Obrimah, Oghenovo A. & Prakash, Puneet - 562-576 Open-market purchases of public equity by private equity investors: Size and home-bias effects
by Stotz, Olaf & Wanzenried, Gabrielle & Döhnert, Karsten - 577-603 Why do firms denominate bank loans in foreign currencies? Empirical evidence from Canada and U.K
by Nandy, Debarshi K. - 604-626 Does institutional ownership affect the cost of bank borrowing?
by Roberts, Gordon & Yuan, Lianzeng (Edward)
2010, Volume 62, Issue 5
- 347-366 From home bias to Euro bias: Disentangling the effects of monetary union on the European financial markets
by Balli, Faruk & Basher, Syed Abul & Ozer-Balli, Hatice - 367-382 Capital structure and earnings manipulation
by Miglo, Anton - 383-400 Long-run credit growth in the US
by Durkin, Thomas A. & Ord, Keith & Walker, David A. - 401-418 Tobin's q and U.S. inflation
by Faria, Joao Ricardo & Mollick, Andre Varella - 419-470 Business cycles synchronization and clustering in Europe (1960-2009)
by Papageorgiou, Theofanis & Michaelides, Panayotis G. & Milios, John G.
2010, Volume 62, Issue 4
- 235-256 Firm-level internationalisation and the home bias puzzle
by Berrill, Jenny & Kearney, Colm - 257-272 Determinants of CEO severance contracts and their components and the effects of severance contracts on executive turnover
by Van Dalsem, Shane - 273-306 A few bad apples: An analysis of CEO performance pay and firm productivity
by Bulan, Laarni & Sanyal, Paroma & Yan, Zhipeng - 307-330 Cause and effects of poison pill adoptions by spinoff units
by Harris, Oneil & Madura, Jeff - 331-345 Commodity prices, money and inflation
by Browne, Frank & Cronin, David
2010, Volume 62, Issue 3
- 161-175 Monetary policy with a touch of Basel
by Chami, Ralph & Cosimano, Thomas F. - 176-194 Internal vs. external habit formation: The relative importance for asset pricing
by Grishchenko, Olesya V. - 195-219 The hot-growth companies: How well do analysts predict their performance?
by Yu, Susana & Lord, Richard A. & Webb, Gwendolyn - 220-233 Does collateral cause inefficient resource allocation?
by Wang, Yu-Lin
2010, Volume 62, Issue 2
- 79-93 Return and volatility spillovers in three euro exchange rates
by McMillan, David G. & Speight, Alan E.H. - 94-115 Quality requirements in developing countries
by An, Galina & Puttitanun, Thitima - 116-128 Trademark infringement and optimal monitoring policy
by Mealem, Yosef & Yacobi, Yacov & Yaniv, Gideon - 129-146 Bank governance changes in Pakistan: Is there a performance effect?
by Burki, Abid A. & Ahmad, Shabbir - 147-159 How to elicit sequential retailer information optimally
by Pfeiffer, Thomas & Schneider, Georg
2010, Volume 62, Issue 1
- 1-19 Bivariate cointegration of major exchange rates, cross-market efficiency and the introduction of the Euro
by Kühl, Michael - 20-34 In search of liquidity: The block broker's choice of where to trade cross-listed stocks
by Turnbull, D. Alasdair S. & White, Robert W. & Smith, Brian F. - 35-47 Gold prices, cost of carry, and expected inflation
by Blose, Laurence E. - 48-64 Female labor force participation and total fertility rates in the OECD: New evidence from panel cointegration and Granger causality testing
by Mishra, Vinod & Smyth, Russell - 65-77 Are volunteers substitute for paid labor in nonprofit organizations?
by Simmons, Walter O. & Emanuele, Rosemarie
2009, Volume 61, Issue 5
- 355-375 Cross-dynamics of volatility term structures implied by foreign exchange options
by Krylova, Elizaveta & Nikkinen, Jussi & Vähämaa, Sami - 376-391 An examination of the impact of equity carve-outs on stockholder and bondholder wealth
by Thompson, Thomas H. & Apilado, Vince - 392-403 Incomplete market participation, endogenous endowment risks and welfare
by Ohno, Hiroaki - 404-414 Modeling the time-varying volatility of the paper-bill spread
by Malik, Farooq & Ewing, Bradley T. & Kruse, Jamie B. & Lynch, Gerald J. - 415-433 R&D intensity and acquisition and divestiture of corporate assets: Evidence from Japan
by Ushijima, Tatsuo
2009, Volume 61, Issue 4
- 279-294 A closer look at co-movements among stock returns
by Zebedee, Allan A. & Kasch-Haroutounian, Maria - 295-311 The relationship between incentive compensation and performance related CEO turnover
by Chakraborty, Atreya & Sheikh, Shahbaz & Subramanian, Narayanan - 312-325 Narrow money and transaction technology: New disaggregated evidence
by Columba, Francesco - 326-338 A tale of two audiences: Spectators, television viewers and outcome uncertainty in Spanish football
by Buraimo, Babatunde & Simmons, Rob - 339-352 TFP change, output gap and inflation in the Russian Federation (1994-2006)
by Michaelides, Panayotis & Milios, John
2009, Volume 61, Issue 3
- 173-188 Internal capital markets, empire building, and capital structure
by Prezas, Alexandros P. - 189-215 Seasoned equity offerings, operating performance and overconfidence: Evidence from the UK
by Andrikopoulos, Panagiotis - 216-237 Interaction effects of restructuring decisions on operating profit following performance shocks
by Yawson, Alfred - 238-260 Business regulation, labor force participation and employment in industrial countries
by Feldmann, Horst - 261-276 Demand-side stabilization policies: What is the evidence of their potential?
by Kandil, Magda
2009, Volume 61, Issue 2
- 97-111 Instrument rules in monetary policy under heterogeneity in currency trade
by Bask, Mikael - 112-139 Corporate ownership and control contestability in emerging markets: The case of Colombia
by Gutiérrez, Luis H. & Pombo, Carlos - 140-152 Why is there no momentum in the Taiwan stock market?
by Du, Ding & Huang, Zhaodan & Liao, Bih-shuang - 153-161 The hypothesis of a unit root in OECD inflation revisited
by Romero-Ávila, Diego & Usabiaga, Carlos - 162-171 Stock market development and economic growth: Evidence from seven sub-Sahara African countries
by Enisan, Akinlo A. & Olufisayo, Akinlo O.
2009, Volume 61, Issue 1
- 1-33 Financial structure and the heterogeneous impact of monetary policy across industries
by Georgopoulos, George & Hejazi, Walid - 34-50 Monetary policy and U.S. long-term interest rates: How close are the linkages?
by Berument, Hakan & Froyen, Richard - 51-69 Rent-to-own agreements: Customer characteristics and contract outcomes
by Anderson, Michael H. & Jaggia, Sanjiv - 70-89 The impact of capital requirements on banks' cost of intermediation and performance: The case of Egypt
by Ben Naceur, Samy & Kandil, Magda - 90-96 Bank mergers in spatially differentiated markets
by Novo-Peteiro, Jos?A.
2008, Volume 60, Issue 6
- 485-501 The impact of monetary policy on bond returns: A segmented markets approach
by Mizrach, Bruce & Occhino, Filippo - 502-516 Refunds and collusion in service industries
by Ringbom, Staffan & Shy, Oz - 517-535 Tax evasion and financial repression
by Gupta, Rangan - 536-550 Allocation of scarce resources: Insight from the NFL salary cap
by Borghesi, Richard - 551-555 Non-convex optimal portfolio sets and constant relative risk aversion
by Zhang, Duo
2008, Volume 60, Issue 5
- 395-414 Bank management and market discipline
by Landskroner, Yoram & Paroush, Jacob - 415-435 Changes in the informational content of term spreads: Is monetary policy becoming less effective?
by Gomez-Biscarri, Javier - 436-454 Spatial competition and market power in banking
by Richards, Timothy J. & Acharya, Ram N. & Kagan, Albert - 455-468 Playing away to win at home
by Leahy, Dermot & Pavelin, Stephen - 469-484 Organizational design of R&D after mergers and the role of budget responsibility
by Jost, Peter-J. & van der Velden, Claus
2008, Volume 60, Issue 4
- 291-311 A multiperiod evaluation of returns following seasoned equity offerings
by Bayless, M. & Jay, N. - 312-331 Human capital investments in asymmetric corporate tournaments
by Jost, Peter-J. & Kräkel, Matthias - 332-354 Risk-taking behaviour and ownership in the banking industry: The Spanish evidence
by Garcia-Marco, Teresa & Robles-Fernández, M. Dolores - 355-368 Commission deregulation and performance of securities firms: Further evidence from Japan
by Liu, Shinhua - 369-393 Bank x-efficiency in Ukraine: An analysis of service characteristics and ownership
by Kyj, Larissa & Isik, Ihsan
2008, Volume 60, Issue 3
- 179-203 Foreigners' perceptions of U.S. markets: Do foreigners exhibit herding tendencies?
by Lin, Anchor Y. & Swanson, Peggy E. - 204-222 Mergers and acquisitions and bank performance in Europe: The role of strategic similarities
by Altunbas, Yener & Marqués, David - 223-255 Venture capital as human resource management
by de Carvalho, Antonio Gledson & Calomiris, Charles W. & de Matos, João Amaro - 256-276 Forecasting stock market volatility with macroeconomic variables in real time
by Pierdzioch, Christian & Döpke, Jörg & Hartmann, Daniel - 277-289 Common stocastic trends among Caribbean currencies: Evidence from Guyana, Jamaica, and Trinidad and Tobago
by Aggarwal, Raj & Simmons, Walter
2008, Volume 60, Issue 1-2
- 1-12 Introduction
by Mester, Loretta J. - 13-32 Predatory lending practices and subprime foreclosures: Distinguishing impacts by loan category
by Rose, Morgan J. - 33-46 The effect of prepayment penalties on the pricing of subprime mortgages
by Elliehausen, Gregory & Staten, Michael E. & Steinbuks, Jevgenijs - 47-66 State and local anti-predatory lending laws: The effect of legal enforcement mechanisms
by Bostic, Raphael W. & Engel, Kathleen C. & McCoy, Patricia A. & Pennington-Cross, Anthony & Wachter, Susan M. - 67-90 The delinquency of subprime mortgages
by Danis, Michelle A. & Pennington-Cross, Anthony - 91-109 Targeting foreclosure interventions: An analysis of neighborhood characteristics associated with high foreclosure rates in two Minnesota counties
by Grover, Michael & Smith, Laura & Todd, Richard M. - 110-124 Race, ethnicity and subprime home loan pricing
by Bocian, Debbie Gruenstein & Ernst, Keith S. & Li, Wei - 125-138 Consumer credit literacy: What price perception
by Courchane, Marsha & Gailey, Adam & Zorn, Peter - 139-148 Analysis of young neighborhood firms serving urban minority clients
by Bates, Timothy & Robb, Alicia - 149-164 Commercial lending distance and historically underserved areas
by DeYoung, Robert & Frame, W. Scott & Glennon, Dennis & McMillen, Daniel P. & Nigro, Peter - 165-178 U.S. banking deregulation and self-employment: A differential impact on those in need
by Demyanyk, Yuliya
2007, Volume 59, Issue 6
- 487-499 An empirical examination of intraday volatility in on-the-run U.S. Treasury bills
by Hughes, Michael P. & Smith, Stanley D. & Winters, Drew B. - 500-519 Does underwriter reputation matter in the municipal bond market?
by Daniels, Kenneth N. & Vijayakumar, Jayaraman - 520-535 Cubes to quads: The move of QQQ from AMEX to NASDAQ
by Broom, Kevin D. & Van Ness, Robert A. & Warr, Richard S. - 536-559 Equity market data, bank failures and market efficiency
by Curry, Timothy J. & Elmer, Peter J. & Fissel, Gary S. - 560-574 Do retail gasoline prices rise more readily than they fall?: A threshold cointegration approach
by Al-Gudhea, Salim & Kenc, Turalay & Dibooglu, Sel - 575-595 Fractals or I.I.D.: Evidence of long-range dependence and heavy tailedness from modeling German equity market returns
by Sun, Wei & Rachev, Svetlozar & Fabozzi, Frank J.
2007, Volume 59, Issue 5
- 355-357 Ownership structure and corporate decision-making
by Reeb, David - 358-379 CEO overconfidence, CEO dominance and corporate acquisitions
by Brown, Rayna & Sarma, Neal - 380-405 Ownership structure and operating performance of acquiring firms: The case of English-origin countries
by Yen, Tze-Yu & Andre, Paul - 406-429 Institutional and individual investor preferences for dividends and share repurchases
by Jain, Ravi - 430-442 Ownership structure and minority rights: A Latin American view
by Santiago-Castro, Marisela & Brown, Cynthia J. - 443-465 Leverage and business groups: Evidence from Indian firms
by Manos, Ronny & Murinde, Victor & Green, Christopher J. - 466-486 Large shareholder monitoring and regulation: The Japanese banking experience
by Kim, Kenneth A. & Lee, Sang-Hyop & Rhee, S. Ghon
2007, Volume 59, Issue 4
- 275-285 Voluntary (environmental) standards
by Wirl, Franz & Noll, Juergen - 286-297 The leverage-value relationship puzzle: An industry effects resolution
by Aggarwal, Raj & Zhao, Xinlei - 298-312 Executive share ownership, trading behavior, and corporate control: Evidence from top management turnover during financial distress
by Iqbal, Zahid & French, Dan W. - 313-339 The Financial Services Modernization Act: Evolution or Revolution?
by Yeager, Timothy J. & Yeager, Fred C. & Harshman, Ellen - 340-354 The home team weather advantage and biases in the NFL betting market
by Borghesi, Richard
2007, Volume 59, Issue 3
- 181-198 Risk aversion and under-hedging
by Shavit, Tal & Benzion, Uri & Haruvy, Ernan - 199-211 The uncertainty of outcome and scoring effects on Nielsen ratings for Monday Night Football
by Paul, Rodney J. & Weinbach, Andrew P. - 212-240 The wage-price spiral: International evidence and implications
by Kandil, Magda - 241-255 Internal markets or hierachies: Transfer prices or budgets?
by Pfeiffer, Thomas & Wagner, Joachim - 256-273 Evaluating and adjusting for chain drift in national economic accounts
by Ehemann, Christian
2007, Volume 59, Issue 2
- 89-110 Evidence on private equity offering announcements: Strong and weak firms' pooling versus separation
by Ferreira, Eurico J. & Brooks, LeRoy D. - 111-129 The impact of the return to lagged reserve requirements on the federal funds market
by Kotomin, Vladimir & Winters, Drew B. - 130-143 When competing momentum hypotheses really do not compete: How the sources of momentum profits change through time
by Du, Ding & Watkins, Boyce - 144-162 The value of adaptability--Through the analysis of a firm's prediction ability
by Takii, Katsuya - 163-180 Investigating sales and advertising rivalry in the UK multipurpose vehicle market (1995-2002)
by Requena-Silvente, Francisco & Walker, James
2007, Volume 59, Issue 1
- 1-13 The micro-macro policy game under uncertainty and risk attitude
by Gander, James P. - 14-27 A dynamic analysis of an economy with banking optimization and capital adequacy regulations
by Miyake, Atsushi & Nakamura, Tamotsu - 28-50 The central bank and speculators in the foreign exchange market under asymmetric information: A strategic approach and evidence
by Huang, Zhaodan - 51-73 Revisiting the empirical evidence on firms' money demand
by Lotti, Francesca & Marcucci, Juri - 74-87 Glamour, value, and the form of takeover
by Kohers, Ninon & Kohers, Gerald & Kohers, Theodor
2006, Volume 58, Issue 5-6
- 363-365 Macroeconomics in the 21st century
by VanHoose, David D. & Dutkowsky, Donald H. - 366-372 Opportunistic monetary policy: An alternative rationalization
by Minford, Patrick & Srinivasan, Naveen - 373-391 Price stability through price-level targeting or inflation targeting? A tale of two experiments
by Guender, Alfred V. & Oh, Do Yoon - 392-406 Why are postwar cycles smoother? Impulses or propagation?
by Karras, Georgios & Lee, Jin Man & Stokes, Houston - 407-427 Varying monetary policy regimes: A vector autoregressive investigation
by Hanson, Michael S. - 428-446 Forecasting with Monetary Aggregates: Recent Evidence for the United States
by Elger, Thomas & Jones, Barry E. & Nilsson, Birger - 447-464 Managed floating as a strategy to achieve selected monetary policy objectives
by Siklos, Pierre L.

