Content
December 2018, Volume 50, Issue 58
- 6263-6284 The role of corporate governance strength in crisis and non-crisis times
by Bakr Al-Gamrh & Ku Nor Izah Ku Ismail & Redhwan Al-Dhamari - 6285-6300 Extreme events and the cumulative distribution of net gains in gambling and structured products
by Frédéric Vrins & Mikael Petitjean - 6301-6315 Firm heterogeneity in sources of total factor productivity growth for Japanese manufacturing firms
by Sangho Kim - 6316-6326 Contributions in linear public goods experiments with stranger matching: two motivations
by Tsuyoshi Nihonsugi & Hiroshi Nakano & Katsuhiko Nishizaki & Takafumi Yamakawa - 6327-6340 Estimating the monetary benefits of medicare eligibility for reducing the symptoms of dementia
by Robert J. Brent - 6341-6354 Using regression tree ensembles to model interaction effects: a graphical approach
by Fritz Schiltz & Chiara Masci & Tommaso Agasisti & Daniel Horn
December 2018, Volume 50, Issue 57
- 6128-6148 The effect of financial development on economic growth: a meta-analysis
by Michiel Bijlsma & Clemens Kool & Marielle Non - 6149-6164 Climate change, health care access and regional influence on components of U.S. agricultural productivity
by Darlington Sabasi & C. Richard Shumway - 6165-6173 A reexamination on the effect of bank competition on bank non-performing loans
by Alan T. Wang - 6174-6192 Do long-term interest rates drive GDP and inflation in small open economies? Evidence from Poland
by Grzegorz Wesoƚowski - 6193-6202 Do small pecuniary incentives motivate residential peak energy reductions? Experimental evidence
by Andrew Royal & Galib Rustamov - 6203-6219 Optimal monetary policy revisited: does considering US real-time data change things?
by Steven P. Cassou & C. Patrick Scott & Jesús Vázquez - 6220-6248 An earnings, liquidity, and market model
by Robert G. Snigaroff & David Wroblewski
December 2018, Volume 50, Issue 56
- 6034-6046 Pricing and hedging options with GARCH-stable proxy volatilities
by Sharif Mozumder & M. Humayun Kabir & Michael Dempsey - 6047-6060 Score-driven Markov-switching EGARCH models: an application to systematic risk analysis
by Szabolcs Blazsek & Han-Chiang Ho & Su-Ping Liu - 6061-6072 Does branch network size influence positively the management performance of Japanese regional banks?
by Kazumine Kondo - 6073-6084 Regulation and investment in the U.S. telecommunications industry
by George S. Ford - 6085-6099 A longitudinal assessment on the economic effects of hosting major sporting events
by Huei-Wen Lin & Huei-Fu Lu - 6100-6111 Professionals inside the board room: accounting expertise of directors and dividend policy
by Zheng Qiao & Ken Y. Chen & Shengmin Hung - 6112-6127 Economic inefficiency in a revenue setting: the Norwegian whitefish fishery
by Frank Asche & Kristin H. Roll
November 2018, Volume 50, Issue 55
- 5935-5949 Spillovers between Bitcoin and other assets during bear and bull markets
by Elie Bouri & Mahamitra Das & Rangan Gupta & David Roubaud - 5950-5965 Some stylized facts of the cryptocurrency market
by Wei Zhang & Pengfei Wang & Xiao Li & Dehua Shen - 5966-5978 Performance of private higher education institutions in Vietnam: evidence using DEA-based bootstrap directional distance approach with quasi-fixed inputs
by Renato A. Villano & Carolyn-Dung T. T. Tran - 5979-5995 Impact of innovation policies on small, medium and large Brazilian firms
by Ana Paula Macedo de Avellar & Marisa dos Reis Azevedo Botelho - 5996-6009 The persistence of profits in banking: an international comparison
by Klaus Gugler & Evgeni Peev - 6010-6023 Liquidity in Asian markets: Intensity of Regional and global linkages
by Suraj Kumar & Krishna Prasanna - 6024-6033 A comprehensive study on smart beta strategies in the A-share market
by Lixin Cai & Yong Jin & Qiulin Qi & Xin Xu
November 2018, Volume 50, Issue 54
- 5830-5845 Cross-sectional and time-series momentum returns: are Islamic stocks different?
by Muhammad A. Cheema & Gilbert V. Nartea - 5846-5858 Optimizing tracking error-constrained portfolios
by Michael Maxwell & Michael Daly & Daniel Thomson & Gary van Vuuren - 5859-5876 Retirement and health behaviour
by Dusanee Kesavayuth & Robert E. Rosenman & Vasileios Zikos - 5877-5892 Do mispricing and financial constraints matter for investment decisions?
by Chih-Liang Liu & Yi-Mien Lin - 5893-5902 Distance and government resource allocation: from the perspective of environmental information disclosure policy change
by Sheng Yao & Shiyi Li - 5903-5919 Returns to education in China: a meta-analysis
by Sefa Awaworyi Churchill & Vinod Mishra - 5920-5934 Multi-product firms, heterogeneous quality and exporting behaviour: product-level evidence from the movie industry
by Yihong Tang & Jing Yan & Feng Yu
November 2018, Volume 50, Issue 53
- 5698-5711 Insiders vs. outsiders in the hotel sector
by Olivier Beaumais & Sauveur Giannoni - 5712-5727 Causal effects of the United States and Japan on Pacific-Rim stock markets: nonparametric quantile causality approach
by Mehmet Balcilar & Rangan Gupta & Duc Khuong Nguyen & Mark E. Wohar - 5728-5746 Price transmission and local market power: empirical evidence from the Austrian gasoline market
by Jens-Peter Loy & Carsten Steinhagen & Christoph Weiss & Birgit Koch - 5747-5765 Trigger warning: the causal impact of gun ownership on suicide
by David C. Vitt & Alexander F. McQuoid & Charles Moore & Stephen Sawyer - 5766-5794 Investment climate, outward orientation and manufacturing firm productivity: new empirical evidence
by M.A. Véganzonès-Varoudakis & H. T. M. Nguyen - 5795-5813 Credit demand and supply shocks in Italy during the Great Recession
by Andrea Cipollini & Fabio Parla - 5814-5829 Should I stay or should I go? An econometric analysis of retirement decisions by couples
by Berangere Legendre & Annaig-C. Pedrant & Mareva Sabatier
November 2018, Volume 50, Issue 52
- 5579-5591 Foreign direct investment in OECD countries: a special focus in the case of Greece
by Nicholas Baltas & Mike G. Tsionas & Konstantinos Baltas - 5592-5603 A reliable performance measure to differentiate China’s actively managed open-end equity mutual funds
by Ali M. Kutan & Hai Lin & Ping-Wen Sun & Bin Yu - 5604-5619 Contagion effects of sovereign credit rating revisions on the real economy: is it trade or finance?
by Hsien-Yi Chen & Shu-Ling Yang - 5620-5640 How a race to the bottom can make you fat
by Gregmar I. Galinato & You Zhou - 5641-5658 Is energy consumption sensitive to foreign capital inflows and currency devaluation in Pakistan?
by Muhammad Shahbaz & Amatul Razzaq Chaudhary & Syed Jawad Hussain Shahzad - 5659-5671 Targeted characteristics and use of socially marketed preventive health goods: evidence from condoms in sub-Saharan Africa
by Nicholas Wilson - 5672-5697 Monetary union in Latin America: an assessment in the context of optimum currency area
by Kurt A. Hafner & Lennart Kampe
November 2018, Volume 50, Issue 51
- 5464-5482 Does it really pay to do better? Exploring the financial effects of changes in CSR ratings
by Mohammed Benlemlih & Jamil Jaballah & Jonathan Peillex - 5483-5494 Growth, profits and foreign ownership in the Brazilian banking industry
by María del Mar Miralles-Quiros & José Luis Miralles-Quiros & Julio Daza-Izquierdo - 5495-5509 Analysts herding: when does sentiment matter?
by Natividad Blasco & Pilar Corredor & Elena Ferrer - 5510-5520 Portfolio management with tail dependence
by Daniel Reed Bergmann & Jose Roberto Ferreira Savoia & Claudio Felisoni de Angelo & Eduardo Augusto do Rosário Contani & Fabiana Lopes da Silva - 5521-5542 Cross-country evidence on the distributional impact of fiscal policy
by Simone Salotti & Carmine Trecroci - 5543-5560 Public capital in the 21st century: as productive as ever?
by J. F. M. De Jong & M. Ferdinandusse & J. Funda - 5561-5578 Active labour market policies in Germany: do regional labour markets benefit?
by Rüdiger Wapler & Daniel Werner & Katja Wolf
October 2018, Volume 50, Issue 50
- 5354-5365 The impact of mobile financial services’ usage on microfinance delinquency
by Toni Mora & Francesc Prior - 5366-5380 The empirical relationship between commitment enhancement devices and terrorism
by Kendrick Morales & Prosper Raynold & Jing Li - 5381-5400 Directors network centrality and earnings quality
by Bright Gershion Godigbe & Chin Man Chui & Chih-Liang Liu - 5401-5415 Investor sentiment and the prediction of stock returns: a quantile regression approach
by Chaoqun Ma & Shisong Xiao & Zonggang Ma - 5416-5435 Plant-level employment development before collective displacements: comparing mass layoffs, plant closures and bankruptcies
by Daniel Fackler & Steffen Müller & Jens Stegmaier - 5436-5453 Chinese accounting restatement and the timeliness of annual report
by Chen Ma & Hui Du & Junrui Zhang - 5454-5463 An econometric analysis of cognitive impairment and healthcare utilization in the ageing population
by Brenda Gannon & James Banks & James Nazroo & Luke Munford
October 2018, Volume 50, Issue 49
- 5239-5252 A tale of two Italian cities: brand-level milk demand and price competition
by Stefan Hirsch & Giulia Tiboldo & Rigoberto A. Lopez - 5253-5268 Minimum wages and the wage distribution in Estonia
by Simona Ferraro & Jaanika Meriküll & Karsten Staehr - 5269-5276 Alcohol consumption, censorship and misjudgement
by Kenneth W. Clements & Haiyan Liu & Yashar Tarverdi - 5277-5301 Industry-level determinants of the linkage between credit and stock markets
by Syed Jawad Hussain Shahzad & Román Ferrer & Shawkat Hammoudeh & Rania Jammazi - 5302-5315 Can immigrants insure against shocks as well as the native-born?
by Asadul Islam & Steven Stillman & Christopher Worswick - 5316-5334 Nexus between economic sanctions and inflation: a case study in Iran
by Hamidreza Ghorbani Dastgerdi & Zarinah Binti Yusof & Muhammad Shahbaz - 5335-5353 Herding behaviour and the declining value relevance of accounting information: evidence from an emerging stock market
by Muhammad Imran Chaudhry & Abdoul G. Sam
October 2018, Volume 50, Issue 48
- 5135-5141 The impact of regional competition on the health care industry
by Dakshina G. De Silva & Hojin Jung & Georgia Kosmopoulou - 5142-5154 Financing constraints and investment efficiency: evidence from a panel of Canadian forest firms
by Abu Reza Mohammad Islam & Robin Hang Luo - 5155-5163 Optimal pricing when rational consumers anticipate monitoring cost
by Xuan Tang & Xiaona Zheng - 5164-5188 X-efficiency and economies of scale in pension fund administration and investment
by Gosse A.G. Alserda & Jacob A. Bikker & Fieke S.G. Van Der Lecq - 5189-5203 Estimating state-industry employment, with an application to industrial localization
by Andrew J Cassey & Ben O Smith - 5204-5219 Dealer behaviour in the Euro money market during times of crisis
by Falko Fecht & Stefan Reitz - 5220-5237 Is regional integration in the CFA zone sustainable?
by Blaise Gnimassoun & Désiré Avom & Joseph Keneck Massil
October 2018, Volume 50, Issue 47
- 5031-5049 Sovereign bond market dependencies and crisis transmission around the eurozone debt crisis: a dynamic copula approach
by Stelios Bekiros & Shawkat Hammoudeh & Rania Jammazi & Duc Khuong Nguyen - 5050-5063 Does preschool education attendance matter? Evidence from a natural experiment in Spain
by Daniel Santín & Gabriela Sicilia - 5064-5075 Is diversity good or bad? Evidence from eSports teams analysis
by Petr Parshakov & Dennis Coates & Marina Zavertiaeva - 5076-5093 Does R&D spur productivity growth in Australia’s broadacre agriculture? A semi-parametric smooth coefficient approach
by Farid Khan & Ruhul Salim & Kai Sun - 5094-5109 Vertical price transmission in the Egyptian tomato sector after the Arab Spring
by Osama Ahmed - 5110-5121 Forecasting Bordeaux wine prices using state-space methods
by Stephen Bazen & Jean-Marie Cardebat - 5122-5134 Energy, unemployment and trade
by Shuddhasattwa Rafiq & Ruhul Salim & Pasquale M Sgro
October 2018, Volume 50, Issue 46
- 4925-4936 Prospective measures of competitive balance application to money lines in the national hockey league
by R. Alan Bowman & James Lambrinos & Thomas Ashman - 4937-4953 Pricing strategies: who leads and who follows in the air and rail passenger markets in Italy
by Angela S. Bergantino & Claudia Capozza & Mauro Capurso - 4954-4967 Information and housing search: theory and evidence from China market
by Leiju Qiu & Daxuan Zhao - 4968-4984 Immigration and economic growth: do origin and destination matter?
by Youngho Kang & Byung-Yeon Kim - 4985-4998 Investigating stationarity in tourist arrivals to India using panel KPSS with sharp drifts and smooth breaks
by Hong Xie & Aviral Kumar Tiwari & Tsangyao Chang - 4999-5016 Channel competition and coordination of a dual-channel supply chain with demand and cost disruptions
by Chunhua Tang & Honglin Yang & Erbao Cao & Kin Keung Lai - 5017-5030 CSR disclosure and sustainable supplier management: a small to medium-sized enterprises perspective
by Rébecca Stekelorum & Issam Laguir & Jamal Elbaz
September 2018, Volume 50, Issue 45
- 4814-4829 External shocks, consumption-smoothing and capital mobility in India: evidence from an intertemporal optimization approach
by Bhavesh Garg & K.P. Prabheesh - 4830-4846 Son preference, children’s gender and parents’ time allocation: evidence from China
by Shiyu Bo - 4847-4865 Has the large firm training advantage declined during the 2000s?
by C. Jeffrey Waddoups - 4866-4878 The impact of 9-year compulsory education: quasi-experimental evidence from Taiwan
by Junchao Zhang - 4879-4900 Market access and occupational upgrading: evidence from the 19th century American transportation network
by Jeff Chan - 4901-4911 How natural disasters affect the evolution of grain markets: evidence from 18th-century China
by Yao Li & Jianqing Ruan & Chunhui Ye - 4912-4923 Patents vs publications and R&D: three sides of the same coin? Panel Smooth Transition Regression (PSTR) for OECD and BRICS countries
by R. Inglesi-Lotz & A. Hakimi & A. Pouris
September 2018, Volume 50, Issue 44
- 4705-4723 What factors drive individual misperceptions of the returns to schooling in Tanzania? Some lessons for education policy
by Plamen Nikolov & Nusrat Jimi - 4724-4744 Speculation and corn prices
by Xiaoli L. Etienne & Scott H. Irwin & Philip Garcia - 4745-4762 Can cryptocurrencies be a safe haven: a tail risk perspective analysis
by Wenjun Feng & Yiming Wang & Zhengjun Zhang - 4763-4773 Assessing the role of components of life satisfaction
by Shui Ki Wan & Long Zhao - 4774-4787 Competition and commercial banks risk-taking: evidence from Sub-Saharan Africa region
by Joseph Olorunfemi Akande & Farai Kwenda & Dimu Ehalaiye - 4788-4802 Do bank bondholders price banks’ ability to manage risk/return?
by Cécile Casteuble & Emmanuelle Nys & Philippe Rous - 4803-4813 The domino effect of credit defaults: test of asymmetric default correlations using realised default data
by Leon Li & Carl Chen
September 2018, Volume 50, Issue 43
- 4593-4605 Culture matters: what cultural values influence budget transparency?
by Robert M. McNab & Son D. Wilson - 4606-4616 The effect of a wife’s retirement on her husband’s mental health
by Kadir Atalay & Rong Zhu - 4617-4631 Effects of asset purchases and financial stability measures on term premia in the euro area
by Richhild Moessner - 4632-4649 The contribution of weather variability to economic sectors
by Miia Parnaudeau & Jean-Louis Bertrand - 4650-4670 The role of pregnancy health problems on maternal smoking behaviours
by Jihui Chen & Dimitrios Nikolaou - 4671-4693 Diversification versus optimality: is there really a diversification puzzle?
by Sergio Ortobelli Lozza & Wing-Keung Wong & Frank J. Fabozzi & Martin Egozcue - 4694-4704 Mortgage product diversity: responding to consumer demand or protecting lender profit? An asymmetric panel analysis
by Jeremy Nguyen & Abbas Valadkhani & Russell Smyth
September 2018, Volume 50, Issue 42
- 4489-4499 Real exchange rates and job flows: evidence from Turkey
by Ergun Dogan & M. Qamarul Islam & Mehmet Yazici - 4500-4521 Does Shariah compliance make interest rate sensitivity of Islamic equities lower? An industry level analysis under different market states
by Zaghum Umar & Syed Jawad Hussain Shahzad & Román Ferrer & Francisco Jareño - 4522-4539 Mass media effects on trading activities: television broadcasting evidence from Japan
by Hiroyuki Aman & Norihiro Kasuga & Hiroshi Moriyasu - 4540-4555 Inflation, real economic growth and unemployment expectations: an empirical analysis based on the ECB survey of professional forecasters
by Simón Sosvilla-Rivero & María del Carmen Ramos-Herrera - 4556-4569 Effects of a holiday trip on health and quality of life: evidence from a natural experiment in South Korea
by Sangkon Park & Cheolsung Park & Changhui Kang - 4570-4581 The impact of product innovation on firm-level markup and productivity: evidence from China
by Xiaoyong Dai & Liwei Cheng - 4582-4591 The price of pretty: characteristics of black Tahitian pearls and their implicit values
by Jana Hilsenroth & Sherry L. Larkin & Thomas K. Frazer
September 2018, Volume 50, Issue 41
- 4387-4401 The time-varying relationship between credit spreads and employment growth
by Yimin Xu & Jakob de Haan - 4402-4417 Winners and losers from financial derivatives use: evidence from community banks
by Xuan Shen & Valentina Hartarska - 4418-4426 Directional time-varying partial correlation with the Gaussian copula–DCC–GARCH model
by Jong-Min Kim & Hojin Jung - 4427-4446 The quality and quantity of bank intermediation and economic growth: evidence from Asia Pacific
by Xiaoqing (Maggie) Fu & Yongjia (Rebecca) Lin & Philip Molyneux - 4447-4455 Reputation and the league standing effect: the case of a split season in minor league baseball
by Nola Agha & Thomas Rhoads - 4456-4469 Putting the present value model into practice: a comparison of two alternative approaches
by Jan R. Kim & Keunsuk Chung - 4470-4487 China’s government finance and food security nexus: a regime switching analysis
by Jane Du & Cheng King - 4488-4488 Erratum
by The Editors
August 2018, Volume 50, Issue 40
- 4295-4305 A comparison of regret-based and utility-based discrete choice modelling – an empirical illustration with hospital bed choice
by Pavitra Paul & Claudia Berlin & Maud Maessen & Hannu Valtonen - 4306-4317 Is retention beneficial to low-achieving students? Evidence from Portugal
by Luis Catela Nunes & Ana Balcão Reis & Carmo Seabra - 4318-4327 An alternative approach for portfolio performance evaluation: enabling fund evaluation relative to peer group via Malkiel’s monkey
by Yongjae Lee & Do-Gyun Kwon & Woo Chang Kim & Frank J. Fabozzi - 4328-4342 The impact of ethnic diversity on microenterprise start-ups
by Sefa Awaworyi Churchill & Vinod Mishra - 4343-4359 A requiem for the Australian motor vehicle industry
by Lila J. Truett & Dale B. Truett - 4360-4372 Economies of scale in Norwegian electricity distribution: a quantile regression approach
by Ørjan Mydland & Erik Haugom & Gudbrand Lien - 4373-4386 Modelling the impact of central bank intervention on exchange rate volatility under inflation targeting
by Lorna Katusiime & Frank W. Agbola
August 2018, Volume 50, Issue 39
- 4197-4221 Do environment regulations matter for EU-MENA trade?
by Myriam Ramzy & Chahir Zaki - 4222-4233 Economic policy uncertainty and real output: evidence from the G7 countries
by Khandokar Istiak & Apostolos Serletis - 4234-4249 Fear connectedness among asset classes
by Julián Andrada-Félix & Adrian Fernandez-Perez & Simón Sosvilla-Rivero - 4250-4263 Behavioural responses to science-based eco-labelling: gold, silver, or bronze
by Tongzhe Li & Maik Kecinski & Kent D. Messer - 4264-4274 Implicit transaction cost management using intraday price dynamics
by Paolo Mazza & Mikael Petitjean - 4275-4285 R&D intensity, financing cost and antidumping
by Veysel Avsar - 4286-4294 Uncertainty assessment in socially responsible and Islamic stock markets in the short and long terms: an ARDL approach
by Fredj Jawadi & Nabila Jawadi & Abdoukarim Idi Cheffou
August 2018, Volume 50, Issue 38
- 4086-4098 The impact of income, economic openness and interest rates on housing prices in China: evidence from dynamic panel quantile regression
by Huiming Zhu & Zheng Li & Peng Guo - 4099-4112 Remittances and financial development: empirical evidence from heterogeneous panel of countries
by Mita Bhattacharya & John Inekwe & Sudharshan Reddy Paramati - 4113-4121 How they lost the presidency
by David A. Walker - 4122-4136 Is the consumption-income ratio stationary in African countries? Evidence from new time series tests that allow for structural breaks
by Sakiru Adebola Solarin & Muhammad Shahbaz & Chris Stewart - 4137-4152 Job insecurity and mental health in Canada
by Barry Watson & Lars Osberg - 4153-4181 Drowned by numbers? Stabilization properties of an EU-wide unemployment insurance system
by Etienne Farvaque & Florence Huart - 4182-4196 Road tax interactions among local governments: a spatial panel data analysis of the French case over the period 1984–2000
by Youba Ndiaye
August 2018, Volume 50, Issue 37
- 3979-3991 Game over? Assessing the impact of the emergence of a profitable wagering strategy in major league baseball wagering markets
by Matt E. Ryan & Jackson Celestin - 3992-4004 The allocation of PhD enrolment quotas in China’s research-oriented universities based on equity and efficiency principles
by Tian-Tian Zhu & Yue-Jun Zhang & Ke Wang - 4005-4023 Equity market neutral hedge funds and the stock market: an application of score-driven copula models
by Astrid Ayala & Szabolcs Blazsek - 4024-4039 The amenity value of climate change across different regions in the United States
by Gregmar I. Galinato & Pitchayaporn Tantihkarnchana - 4040-4053 Analyst following and pay-performance sensitivity: evidence from China
by Bei Yang & Charles P. Cullinan & Hui Liu - 4054-4073 Exchange traded funds: leverage and liquidity
by Samique March-Dallas & Robert Daigler & Suchi Mishra & Arun Prakash - 4074-4085 Estimating ‘gamma’ for tail-hedge discount rates when project returns are cointegrated with GDP
by Panagiotis Mantalos & Lars Hultkrantz
August 2018, Volume 50, Issue 36
- 3870-3884 Obesity and perceived work discrimination in Spain
by Laura Vallejo-Torres & Stephen Morris & Beatriz G. Lopez-Valcarcel - 3885-3898 Stakeholders’ relationships and product market competition
by Nicolas Le Pape & Yongying Wang - 3899-3922 Transmission of shocks across global real estate and equity markets: An examination of the 2007–2008 housing crisis
by Nafeesa Yunus - 3923-3936 Volatility spillovers and connectedness among credit default swap sector indexes
by José Da Fonseca & Katja Ignatieva - 3937-3948 Are professional basketball players reference-dependent?
by Lester Lusher & Chuan He & Stephen Fick - 3949-3965 A high-frequency analysis of price resolution and pricing barriers in equities on the adoption of a new currency
by Christos Alexakis & Mark Cummins & Michael Dowling & Vasileios Pappas - 3966-3978 A new Cramer-Von Misses cointegration test with application to environmental Kuznets curve
by Álvaro Escribano & M. Teresa Santos-Martín & Ana E. Sipols
July 2018, Volume 50, Issue 34-35
- 3645-3646 Special issue of applied economics on ‘Finance and the real economy’
by Joscha Beckmann & Keith Cuthbertson - 3647-3653 A note on the estimated GARCH coefficients from the S&P1500 universe
by Georgios Bampinas & Konstantinos Ladopoulos & Theodore Panagiotidis - 3654-3663 Investors’ fear and herding in the stock market
by Fotini Economou & Christis Hassapis & Nikolaos Philippas - 3664-3685 Excess comovements between the euro/US dollar and pound sterling/US dollar exchange rates
by Michael Kühl - 3686-3701 Luck versus skill over time: time-varying performance in the cross-section of mutual fund returns
by Marco G. Ercolani & William Pouliot & Joanne S. Ercolani - 3702-3717 Does Twitter chatter matter? Online reviews and box office revenues
by Sunčica Vujić & Xiaoyu Zhang - 3718-3734 Global trade flows and economic policy uncertainty
by Pui Sun Tam - 3735-3751 Oil price uncertainty and the business cycle: Accounting for the influences of global supply and demand within a VAR GARCH-in-mean framework
by Christopher Thiem - 3752-3770 Policy uncertainty and international financial markets: the case of Brexit
by Ansgar Belke & Irina Dubova & Thomas Osowski - 3771-3786 Real options or disaster risk? Distinguishing uncertainty effects on investment
by Hanno Dihle & Rafael Mentges - 3787-3797 Post-crisis business investment in the euro area and the role of monetary policy
by Martin Ademmer & Nils Jannsen - 3798-3811 Saving, investment and capital mobility in EU member countries: a panel data analysis of the Feldstein–Horioka puzzle
by Anastassios A. Drakos & Georgios P. Kouretas & Prodromos Vlamis - 3812-3832 Corporate governance and efficiency in banking: evidence from emerging economies
by Alin Marius Andrieș & Bogdan Căpraru & Simona Nistor - 3833-3839 The financial and economic performance of social banks
by Dariya Mykhayliv & Klaus G Zauner - 3840-3854 Is education important in assessing the impact of institutions on economic growth in emerging economies?
by Simona Nistor & Valentina-Ioana Mera & Monica Ioana Pop Silaghi - 3855-3869 Redistribution, trade and corruption: an empirical assessment
by Antonia Reinecke & Hans-Jörg Schmerer
July 2018, Volume 50, Issue 33
- 3532-3545 What drives trade in services? Lessons from the Nordics
by Hildegunn Kyvik Nordås - 3546-3559 Politics, partisanship and the power to veto: does gubernatorial line-item veto power affect state budgets?
by Joseph McCormack & Yaniv Reingewertz - 3560-3574 Does the quality of political institutions affect intra-industry trade within trade blocs? The ASEAN perspective
by Nusrate Aziz & Belayet Hossain & Irfan Mowlah - 3575-3595 A closer look at the determinants of international migration: decomposing cultural distance
by Roger White & David Buehler - 3596-3613 Empirical research on time-varying characteristics and efficiency of the Chinese economy and monetary policy: evidence from the MI-TVP-VAR model
by Jian-qing Zhang & Tingting Chen & Fei Fan & Song Wang - 3614-3629 Contribution of international ecotourism to comprehensive economic development and convergence in the Central American and Caribbean region
by Ulrich Gunter & M. Graziano Ceddia & David Leonard & Bernhard Tröster - 3630-3643 Gender differences in socially responsible consumption. An experimental investigation
by Leonardo Becchetti & Francesco Salustri & Vittorio Pelligra & Alejandra Vásquez
July 2018, Volume 50, Issue 32
- 3416-3431 The labour market effects of offshoring of small and medium-sized firms: micro-level evidence for Germany
by Fabian Kreutzer & Wolfram Berger - 3432-3440 Environmental factors affecting European and Central Asian health-systems’ bias-corrected efficiency
by María Concepción Pérez-Cárceles & Juan Cándido Gómez-Gallego & María Gómez-Gallego - 3441-3463 Heteroscedasticity of deviations in market bubble moments – how the goods and bads lead to the ugly
by Olivier Mesly & François-Éric Racicot - 3464-3476 Modelling prices and the reputation of individual named wines
by Edward Oczkowski - 3477-3492 Research, teaching, and ‘other’: what determines job placement of economics Ph.D.s?
by Ryan S Sullivan & Alissa Dubnicki & Donald H Dutkowsky - 3493-3514 Cross-country evidence on determinants of fiscal policy effectiveness: the role of trade and capital flows
by Agata Wierzbowska & Masahiko Shibamoto - 3515-3531 Pre-recession efficiencies and input allocation decisions of agricultural and critically insolvent banks
by Xiaofei Li & Brady Brewer & Cesar Escalante
July 2018, Volume 50, Issue 31
- 3331-3337 Rational expectations, difference of opinions and asset pricing
by Yimin Zhou & Rui Chen - 3338-3356 GDP dynamics and unemployment changes in developed and developing countries
by Francesco Bartolucci & Misbah T. Choudhry & Enrico Marelli & Marcello Signorelli - 3357-3363 Unemployment and effects of the first work experience of university graduates on their idea of a job
by Martina Hedvicakova - 3364-3375 Valuing improvements in urban water security: evidence of heterogeneity derived from a latent class model for eastern Australia
by Bethany Cooper & Michael Burton & Lin Crase - 3376-3387 Short-termism of long-term investors? The investment behaviour of Dutch insurance companies and pension funds
by Patty Duijm & Sophie Steins Bisschop - 3388-3404 A continuous income-based grade gap decomposition on university course grades
by Shawn W. Ulrick & Kevin P. Mongeon & Michael P. Giannetto - 3405-3415 Does financialization retard growth? Time series and cross-sectional evidence
by Imad A. Moosa