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Content
2011, Volume 31, Issue 3
2011, Volume 31, Issue 2
- 1-18 Asset price dynamic with heterogeneous agents
by Rania Guirat
- 1-19 Comparing responses of disaggregated stocks to events affecting stock market functionalities: a case of karachi stock market, pakistan
by Muhammad Anees
- 1-20 2011 Annual Meeting of the Association of Southern European Economic Theorists (ASSET 2011)
by Esmeralda Ramalho & Esmeralda Ramalho
- 1-21 Bidding behaviours in ebay auctions: secret reservation price and endogenous entry
by Feng Jiao
- 1-22 Exchange rate regimes and economic growth: an econometric investigation
by El Fessi Ben Ammar Sana
- 1-23 What drive the regional integration of emerging stock markets?
by Khaled GUESMI
- 1-24 Zero Bound on Interest Rates and New Directions in Monetary Policy
by Jerzy (jurek) Konieczny & Jerzy (jurek) Konieczny
- 1-25 Jolate Xii
by Martin Egozcue & Marcel Vaillant
- 1-26 The exchange rate regime and the gdp: a case study of south korea
by Usama Al-mulali & Che Normee Che Sab
- 1-27 Workshop: Cooperation, Matching and Collective Goods
by Jorge Oviedo & Jorge Oviedo
- 1-28 Industrial location under globalisation in india: evidence from unorganised manufacturing industries
by Dilip Saikia
- 1-29 Agriculture-industry linkages in india: evidences and some issues
by Dilip Saikia
- 1025-1037 Risk transmission between Latin America stock markets and the US: impacts of the 2007/2008 Crisis
by Fernanda G Barba & Paulo S Ceretta
- 1038-1046 Tests on price linkage between the U.S. and Japanese gold and silver futures markets
by Kentaka Aruga & Shunsuke Managi
- 1047-1054 The Impact of Differential Capital Income Taxation on the Value of Risky Projects
by Rainer Niemann & Caren Sureth
- 1055-1062 A longitudinal analysis of piracy in shipping
by Pierre Cariou & François-charles Wolff
- 1063-1081 The co-evolution of social capital and financial development
by Marc Sangnier
- 1082-1094 Time varying regional integration in emerging stock market
by Khaled Guesmi
- 1095-1104 Microcredit - A More Credible Social than Economic Program in Bangladesh
by Rafiqul Islam Molla & Md. Mahmudul Alam
- 1105-1113 Modeling the volatility of Mediterranean stock markets: a regime-switching approach
by Walid Chkili & Duc Khuong Nguyen
- 1114-1124 Inflation inertia and optimal delegation of monetary policy
by Keiichi Morimoto
- 1125-1130 Product differentiation in a spatial Cournot model with asymmetric demand
by Kai Andree & Juljana Calaki
- 1131-1150 Exchange rate fluctuations and extra-eurozone exports: A comparison of Germany and France
by Serge Rey
- 1151-1162 The Relationship of the value of the Dollar, and the Prices of Gold and Oil: A Tale of Asset Risk
by Myeong Hwan Kim & David A. Dilts
- 1163-1171 Onto Exchange Rate's Short Run Impact on Oil Prices Dynamics: An OPEC Members' perspective
by Sadek Melhem & Michel Terraza
- 1172-1182 Purchasing power parity in G-7 countries: Further evidence based on ADL test for threshold cointegration
by Tsangyao Chang & Chia-hao Lee & Pei-I Chou
- 1183-1187 Estimation of consumption-capital asset pricing model (C-CAPM) with two clusters of consumption expenditures
by Atsushi Maki & Kenji Wada
- 1188-1197 Timing of debt issues: Evidence from a panel of Tunisian and French firms
by Khemaies Bougatef & Jameleddine Chichti
- 1198-1211 The Environmental Consequences of Economic Growth Revisited
by Hyun S Kim & Jungho Baek
- 1212-1222 Estimation of equilibrium exchange rate in CEECs: a rolling window approach
by Claudiu T Albulescu & Daniel Goyeau
- 1223-1236 Capital Accumulation and Social Welfare in Fiscal Federalism and the Unitary System
by Wempi Saputra
- 1237-1246 Measuring the Impact of the GFC on European Equity Markets
by George Milunovich
- 1247-1255 Purchasing Power Parity and the Chinese Yuan
by Richard Paul Gregory & Gary Shelley
- 1256-1264 Migration history, remittances and poverty in rural mexico
by Alejandro Lopez-feldman
- 1265-1274 Examining tradeable permits with market power, banking and non-compliance: a finite period model
by Aparna Sawhney & Susmita Mitra
- 1275-1287 Sluggish information diffusion and monetary policy shocks
by Orlando Gomes & Vivaldo M. Mendes
- 1288-1294 The Implications of Quantity-Discounted Transportation Rates on Output Effect of Discriminatory F.O.B. Pricing
by Yeung-nan Shieh
- 1295-1303 Competing impure public goods and the sustainability of the theater arts
by Tyler Pugliese & Jeffrey Wagner
- 1304-1312 Comment on William Baumol's “Toward a newer economics: The future lies ahead!”
by Marco Piatti & Benno Torgler
- 1313-1321 No Trade, Informed Trading, and Accuracy of Information
by Shino Takayama & Jayanaka Wijeratne
- 1322-1335 Sectoral Price Dynamics in Japan: A Threshold Approach
by Nicolas Canry & Julien Fouquau & Sébastien Lechevalier
- 1336-1352 An exploratory analysis of the relationship between social interactions, income and health in Italy
by Damiano Fiorillo & Fabio Sabatini
- 1353-1361 Portfolio Choice and Precautionary Savings
by Riccardo Calcagno & Mariacristina Rossi
- 1362-1371 Wealth effects and cross-country co-movement of labor
by Quoc hung Nguyen
- 1372-1378 Fuel taxes and tolls in cost-benefit analysis
by Pedro Godinho & Joana Dias
- 1379-1390 Break-even inflation rate and the risk premium: an alternative approach to the VAR models in forecasting the CPI
by João Caldeira & Luiz Furlani
- 1391-1400 Is GDP in ASEAN countries stationary? New evidence from panel unit root tests
by Fumitaka Furuoka
- 1401-1412 Empirical Investigation of Systemic Risk in the New EU States
by Nikolay Nenovsky & Amine Lahiani & Petar Chobanov
- 1413-1431 Bank liabilities and the monetary transmission mechanism
by Steven W. Sumner & Guy Yamashiro
- 1432-1438 Purchasing power parity hypothesis among the main trading partners of Turkey
by Giray Gozgor
- 1439-1450 Cross country mean and volatility spillover effects of food prices: multivariate GARCH analysis
by Fardous Alom & Bert D Ward & Baiding Hu
- 1451-1462 A Note on International Emissions Trading with Endogenous Allowance Choices
by Alessio D Amato & Edilio Valentini
- 1463-1473 Family background, academic ability and associated inequality of opportunity in India
by Ashish Singh
- 1474-1482 Interjurisdictional tax competition for domestic and foreign capital
by Li-Chen Hsu
- 1483-1495 Evaluating a Self-Organizing Map for Clustering and Visualizing Optimum Currency Area Criteria
by Peter Sarlin
- 1496-1508 On the contribution of the three I's of poverty to chronic and transitory poverty
by Osnat Israeli & Michal Weber
- 1509-1519 The role of family in suicide rate in Italy
by Claudio Detotto & Valerio Sterzi
- 1520-1529 Preemptive acquisition and downgrading innovation
by Ornella Tarola
- 1530-1547 An econometric analysis of the output gap fluctuations: The case of Lebanon
by Jean-François VERNE
- 1548-1562 The Allocation of Merit Pay in Academia: A Case Study
by Finn Christensen & James Manley & Louise Laurence
- 1563-1575 Foreign Reserves and Economic Growth: Granger Causality Analysis with Panel Data
by Mei-yin Lin
- 1576-1591 Estimating the import demand function in the autoregressive distributed lag framework: The case of China
by Fengbao Yin & Shigeyuki Hamori
- 1592-1605 The effects of ICT use on employee's motivations: an empirical evaluation
by Ludivine Martin
- 1606-1612 The profitability of technical analysis in the Taiwan-U.S. forward foreign exchange market
by Yun-Shan Dai & Wei-Ming Lee
- 1613-1622 Gold and financial assets: Are there any safe havens in bear markets?
by Virginie Coudert & Hélène Raymond-Feingold
- 1623-1630 Trade and economic growth: Is export-led growth passé?
by Akihiro Kubo
- 1631-1647 Algorithmic complexity theory detects decreases in the relative efficiency of stock markets in the aftermath of the 2008 financial crisis
by Cleiton Taufemback & Ricardo Giglio & Sergio Da Silva
- 1648-1658 Testing the "Catching up with the Joneses" Model with Consumption Externality in Japan
by Akihiko Noda
- 1659-1672 Do international capital flows smooth or transmit macroeconomic volatility? Time-series evidence from emerging markets
by Scott W Hegerty
- 1673-1685 The stabilization of foreign bank lending: A neglected benefit of hard pegs
by Caroline Duburcq & Eric Girardin
- 1686-1695 Specialized advertising and price competition with endogenous advertising fees
by Jose M. Hernandez & Lola Esteban
- 1696-1705 The Cost of Volatile Investment in an Emerging Economy
by Reinout De Bock
- 1706-1716 The link between R&D investment and market structure: evidence from Japan
by Keiichi Shima
- 1717-1730 Estimating value at risk and optimal hedge ratio in Latin markets: a copula-based GARCH approach
by Marcelo Brutti Righi & Paulo Sérgio Ceretta
- 1731-1747 Wavelet packet transforms analysis applied to carbon prices
by Julien Chevallier
- 1748-1756 Structural changes in exchange rate regimes in Brazil
by Reginaldo Pinto Nogueira & Claudio Djissey Shikida & Ari Francisco de Araujo
- 1757-1764 Unconcerned groups and the majority rule
by Antonio Quesada
- 1765-1771 First-price vs second-price auctions under risk aversion and private affiliated values
by François Maréchal
- 1772-1779 A log-periodic fit for the flash crash of May 6, 2010
by Raul Matsushita & Sergio Da Silva
- 1780-1792 An agent-based model approach to innovation niche creation in socio-technical transition pathways
by Antonio Lopolito & Piergiuseppe Morone & Richard Taylor
- 1793-1806 A structural VAR analysis of renewable energy consumption, real GDP and CO2 emissions: Evidence from India
by Aviral Kumar Tiwari
- 1807-1826 Structural change in the forward discount: a Bayesian analysis of forward rate unbiasedness hypothesis
by Yi-Chi Chen & Wei-Choun Yu
- 1827-1836 Investor behavior heterogeneity in the French stock market
by Rania Guirat
- 1837-1855 Spatial Autoregressive Models for House Price Dynamics in Italy
by Tiziana Caliman & Enrico di Bella
- 1856-1868 Fiscal Policy and US-Canadian Trade
by Gianluca Lagana & Pasquale Sgro
- 1869-1893 A Note on Shock Persistence in Total Factor Productivity Growth
by Tapas Mishra & Bazoumana Ouattara & Mamata Parhi
- 1894-1901 Monotonicity of additive indices of revealed comparative advantage
by Ufuk Gunes Bebek
- 1902-1909 Multi-stage Double Auctions With Many Bidders
by Rittwik Chatterjee
- 1910-1921 The worst forms of child labour: dynamic model and policy implication
by Kouki Sugawara
- 1922-1928 Closeness and Turnout: Evidence from Election of Taiwan
by Mei-yin Lin & Yi-ting Tseng & Jue-shyan Wang
- 1929-1934 The Demand for Money in a Simultaneous-Equation Framework
by A. M. M. Jamal & Yu Hsing
2011, Volume 31, Issue 1
- 1-2 Measuring financial risk using extreme value theory: evidence from pakistan
by Abdul Qayyum & Faisal Nawaz
- 1-3 Social Decision Making: Bridging Economics and Evolutionary Biology
by Claire El mouden & Claire El mouden
- 1-4 Microeconomic Aspects of the Globalization of Inflation
by Mark Wynne & Raphael Auer
- 1-5 Are domestic Asian markets integrated with the regional one? An empirical assessment
by Khaled Guesmi
- 1-6 Co2 emissions, energy imports, economic growth in pakistan: causality analysis
by Muhammad Anees
- 1-7 Revealed comparative advantage and the context of brazil in international dairy market
by Kennya Siqueira & Glauco Carvalho & Lucas Campio Pinha
- 1-8 Free trade agreements, exhange rates and foreign portfolio investment in pakistan. dynamic causality analysis
by Muhammad Anees & Ahmed Jamil & Faisal Shahzad
- 1-8 Long-run strong-exogeneity
by Christophe Rault
- 1-9 Public participation, government regulation and environment pollutions in china: a causality analysis using regional panel data
by Wen-bin Peng & Kun Tian & Yin-Hua Tian & Guo-Cheng Xiang
- 1-10 Governance Quality, Market Structure and Innovation: An International Conference
by Mehmet Ugur & Mehmet Ugur
- 1-11 A VAR analysis of FDI and environmental regulation: China's case
by Wen-bin Peng & Kun Tian & Guo-Cheng Xiang
- 1-12 Summer School "Religion, Culture and Society" (28 August - 4 September 2011)
by Christel Van wonterghem & Sara Mels
- 1-13 Changes in human development in developing countries: an empirical assessment
by Minh Dao
- 1-14 BMRC-QASS Conference on Macro and Financial Economics
by Menelaos Karanasos & Menelaos Karanasos
- 1-15 Eefs2011
by Theodore Panagiotidis & Georgios Chortareas
- 1-16 Effects of global financial crisis on turkey [ küresel finans krizinin türkiye'ye etkileri ]
by Aykut Kibritçioğlu
- 1-17 Central European Program in Economic Theory (CEPET) Workshop
by Nicholas Baigent & Nicholas Baigent
- 9-16 The tragedy of commons and free mobility
by Dolgorsuren Dorj
- 17-28 Public debt accumulation and institutional quality: can corruption improve welfare?
by Pierre Faure
- 29-34 A note on the relationship of mainstream and art house movie theaters
by Christopher Müller & Enrico Böhme
- 35-40 Pitfall of simple permanent income hypothesis model
by Kazuto Masuda
- 41-52 Reexamining the Economics of Marital Infidelity
by Joel Potter
- 53-65 Do editors favor their students' work? A test of undue favoritism in top economics journals
by Michael J Hilmer & Christiana E Hilmer
- 66-74 The necessary condition for stability in Tobin's Walras-Keynes-Phillips model: A note
by Subrata Guha
- 75-84 Network externalities and differentiation in an entry model
by Stefano Colombo
- 85-92 Efficiency vs. market-power effects in the mobile-voice industry
by Corrado Andini
- 93-99 Exploring the inter-industry wage premia in Portugal along the wage distribution: evidence from EU-SILC data
by Marco Biagetti & Sergio Scicchitano
- 100-105 A note on concavity, homogeneity and non-Increasing returns to scale
by Juan David Prada
- 106-115 Direct proofs of order independence
by Krzysztof R. Apt
- 116-121 Voluntary agreements with Industries - participation incentives with industry-wide targets: a comment
by Anne-sarah Chiambretto & Hubert Stahn
- 122-133 Relationship between financing facilities and small and medium industries: empirical evidence from ARDL bound testing approach
by Mori Kogid & Kasim Mansur & Dullah Mulok & Julian P. Sidin
- 134-146 Are EU-15 and CEEC agricultural exports in competition? Evidence for 1995-2005
by Marie-Line Duboz & Julie Le Gallo
- 147-155 Innovation and Growth in the Grossman-Helpman's 1991 Model with Increasing Returns
by Giulio Guarini
- 156-166 A note on horizontal mergers in vertically related industries
by Marie-Laure Allain & Saïd Souam
- 167-176 The Porter hypothesis and hyperbolic discounting
by Prabal Roy Chowdhury
- 177-188 Discriminating strategic reciprocity and acquired trust in the repeated trust-game
by Sacha Bourgeois-gironde & Anne Corcos
- 189-207 Are Fruit and Vegetable Prices Non-linear Stationary? Evidence from Smooth Transition Autoregressive Models
by Jhih-Hong Zeng & Chun-ping Chang & Chien-chiang Lee
- 208-217 Human resource management on dairy farms: Does investing in people matter?
by Jeffrey Hyde & Sarah A. Cornelisse & Lisa A. Holden
- 218-232 Estimating Tax-Elasticities of Foreign Direct Investment: The Importance of Tax Havens
by Peter Schwarz
- 233-244 The Cournot-Bertrand profit differential in a differentiated duopoly with unions and labour decreasing returns
by Luciano Fanti & Nicola Meccheri
- 245-254 Individual and institutional determinants of the male female wage gap among U.S. economics faculty
by Todd L Cherry & Garey C. Durden & Patricia E. Gaynor
- 255-272 Anticipating correlations between EUAs and CERs: a Dynamic Conditional Correlation GARCH model
by Julien Chevallier
- 273-285 Fair wages, Urban Unemployment and Welfare in a Developing Economy
by Hamid Beladi & Chi-chur Chao & Daniel Hollas
- 286-296 Coalition Stability with Heterogeneous Agents
by Alejandro Caparrós & Eric Giraud-Héraud & Abdelhakim Hammoudi & Tarik Tazdaït
- 297-308 A flexible CO2 targeting regime
by Peter Karpestam & Fredrik NG Andersson
- 309-314 Profitability, success probabilities, and incentives for cooperative R&D
by Wen-chung Guo
- 315-323 Financial Confidence Among Retirees: The Role of Financial Advice and Planning Duration
by Swarnankur Chatterjee & John R. Salter & Nathaniel J. Harness
- 324-341 Health and Early Retirement: Evidence from French Data for individuals
by Thomas Barnay & Karine Briard
- 342-357 Threshold Effect and Financial Intermediation in Economic Development
by Laurent Augier & Wahyoe Soedarmono
- 358-366 The European fiscal framework: What lessons can we learn from the crisis?
by Christophe Schalck
- 367-374 Long-run Determinants of Sovereign Yields
by Christophe Rault & António Afonso
- 375-387 A note on poor-institution traps in international fiscal policy games
by Pierre Faure
- 388-395 The gains from commitment when inflation persistence and data uncertainty coexist
by Daisuke Ida
- 396-403 The Bus Rapid Transit Project in Bangkok: A Case of Traffic Misallocations?
by Thiraphong Vikitset
- 404-415 Has fiscal discretion during good times and bad times changed in the euro area countries?
by Florence Huart
- 416-425 Economic Growth and Government Size in OECD Countries: New Evidence from the Quantile Regression Approach
by Sheng-Tung Chen & Chi-Chung Chen & Yoonbai Kim
- 426-435 Heterogeneity in a Class of Two-Player Games
by Charles Figuières & Frédéric Rychen
- 436-441 A gender-adjusted measure of literacy
by Sreenivasan Subramanian
- 442-452 Identifying efficiency drivers in the greek sausage industry: a double bootstrap DEA approach
by Ioanna Keramidou & Angelos Mimis & Evangelia Pappa
- 453-465 Governance and Foreign Aid in ASIAN Countries
by Aviral Kumar Tiwari & Mamoni Kalita
- 466-472 Estimating the size of the trade sector in the Economic Freedom of the World index
by Joshua C Hall & Robert Lawson & Chuck Skipton
- 473-484 The Long-Run Relationship Between Inflation and the Markup in the U.S
by Sandeep Mazumder
- 485-492 A note on the existence of monetary equilibrium in a stochastic OLG model with a finite state space
by Eisei Ohtaki