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Content
2019, Volume 80, Issue C
- 260-274 Combining the minimum-variance and equally-weighted portfolios: Can portfolio performance be improved?
by Jiang, Chonghui & Du, Jiangze & An, Yunbi
- 275-283 UK's stock market reaction to Brexit process: A tale of two halves
by Shahzad, Khurram & Rubbaniy, Ghulame & Lensvelt, M.A.P.E. & Bhatti, Tariq
- 284-293 A risk index to model uncertain portfolio investment with options
by Wang, Xuting & Huang, Xiaoxia
- 294-302 Types of patents and driving forces behind the patent growth in China
by Chen, Zhiyuan & Zhang, Jie
- 303-319 Role of cash and costs of inflation for different income groups in the U.S
by Kakar, Venoo & Daniels, Gerald Eric
- 320-327 Optimal social security tax with myopic agents
by Chu, Hsun & Cheng, Chu-chuan
- 328-338 Feedback effects between credit ratings and financial markets
by Jorge, José
- 339-351 Tariffs and privatization policy in a bilateral trade with corporate social responsibility
by Xu, Lili & Lee, Sang-Ho
- 352-382 Does international oil volatility have directional predictability for stock returns? Evidence from BRICS countries based on cross-quantilogram analysis
by Zhou, Zhongbao & Jiang, Yong & Liu, Yan & Lin, Ling & Liu, Qing
- 383-391 Modelling the spreading process of extreme risks via a simple agent-based model: Evidence from the China stock market
by Ji, Jingru & Wang, Donghua & Xu, Dinghai
- 392-399 Overnight exchange rate risk based on multi-quantile and joint-shock CAViaR models
by Peng, Wei & Zeng, Yufeng
- 400-406 Level of development and income inequality in the United States: Kuznets hypothesis revisited once again
by Blanco, German & Ram, Rati
- 407-428 Assessing the macroeconomic impact of alternative macroprudential policies
by Davis, E. Philip & Liadze, Iana & Piggott, Rebecca
- 429-440 Research and development and trade policies for product innovation in the presence of foreign competition
by Buryi, Pavlo & Lahiri, Sajal
- 441-452 Do more subsidies promote greater innovation? Evidence from the Chinese electronic manufacturing industry
by Liu, Dayong & Chen, Tong & Liu, Xiaoyang & Yu, Yongze
- 453-466 The impact of foreign direct investment on productivity: New evidence for developing countries
by Li, Chengchun & Tanna, Sailesh
2019, Volume 79, Issue C
- 1-14 Performance and productivity in Islamic and conventional banks: Evidence from the global financial crisis
by Alexakis, Christos & Izzeldin, Marwan & Johnes, Jill & Pappas, Vasileios
- 15-27 Monetary and fiscal policy transmission in Poland
by Haug, Alfred A. & Jędrzejowicz, Tomasz & Sznajderska, Anna
- 28-46 Impacts of China's crash on Asia-Pacific financial integration: Volatility interdependence, information transmission and market co-movement
by Ahmed, Abdullahi D. & Huo, Rui
- 47-56 Economic policy uncertainty in the US and China and their impact on the global markets
by Zhang, Dayong & Lei, Lei & Ji, Qiang & Kutan, Ali M.
- 57-73 Does the relationship between income and child health differ across income groups? Evidence from India
by Swaminathan, Harini & Sharma, Anurag & Shah, Narendra G.
- 74-85 Consumption, welfare, and stochastic population dynamics when technology shocks are (Un)tied
by Tsuboi, Mizuki
- 86-97 Multiplicity and stagnation under the Romer model with increasing returns of R&D
by Kuwahara, Shiro
- 98-117 Modelling the dynamics of corruption and unemployment with heterogeneous labour
by Lim, King Yoong
- 118-129 Volatility spillovers of unconventional monetary policy to emerging market economies
by Apostolou, Apostolos & Beirne, John
- 130-140 Stochastic investor sentiment, crowdedness and deviation of asset prices from fundamentals
by Zhou, Liyun & Yang, Chunpeng
- 141-153 Remittances and household expenditure behaviour: Evidence from Senegal∗
by Randazzo, Teresa & Piracha, Matloob
- 154-172 Do better institutions offset the adverse effect of a financial crisis on investment? Evidence from East Asia
by Eslamloueyan, Karim & Jafari, Mahboubeh
- 173-185 The role of monetary policy credibility in explaining the decline in exchange rate pass-through in South Africa
by Kabundi, Alain & Mlachila, Montfort
- 186-197 Effects of the Chinese arable land fallow system and land-use change on agricultural production and on the economy
by Wang, Can & Siriwardana, Mahinda & Meng, Samuel
- 198-210 Technological changes and population growth: The role of land in England
by Loupias, Claire & Wigniolle, Bertrand
- 211-225 Fiscal transparency, government effectiveness and government spending efficiency: Some international evidence based on panel data approach
by Montes, Gabriel Caldas & Bastos, Júlio Cesar Albuquerque & de Oliveira, Ana Jordânia
- 226-241 Price convergence in the European Union – What has changed?
by Hałka, Aleksandra & Leszczyńska-Paczesna, Agnieszka
- 242-246 Rationality tests in the presence of instabilities in finite samples
by El-Shagi, Makram
- 247-261 Financing R&D in Chinese private firms: Business associations or political connection?
by Zhang, Dongyang & Guo, Yumei
- 262-275 Growth in a time of external imbalances
by Camarero, Mariam & Peiró-Palomino, Jesús & Tamarit, Cecilio
- 276-285 Does the higher education expansion in the UK reduce the returns to education? A comparison of returning-from-work versus fresh out-of-school graduates
by Huang, Bin & Xu, Lei & Zhu, Yu
- 286-294 From households to national statistics: Macroeconomic effects of Women's empowerment
by San Vicente Portes, Luis & Atal, Vidya & Juárez Torres, Miriam
2019, Volume 78, Issue C
- 1-10 Importance of a victim-oriented recovery policy after major disasters
by Hosoya, Kei
- 11-31 Predatory cells and puzzling financial crises: Are toxic products good for the financial markets?
by Mesly, Olivier & Chkir, Imed & Racicot, François-Éric
- 32-39 Forecasting stock returns: Do less powerful predictors help?
by Zhang, Yaojie & Zeng, Qing & Ma, Feng & Shi, Benshan
- 40-46 The impact of pre-IPO performance pressure on research and development investments of an IPO firm: Evidence from China
by Zhou, Mingshan & Xiao, Dacheng & Chan, Kam C. & Fung, Hung-Gay
- 47-59 An endogenous structural credit risk model incorporating with moral hazard and rollover risk
by Niu, Huawei & Hua, Wei
- 60-72 The labor market effects of trade union heterogeneity
by de Pinto, Marco & Michaelis, Jochen
- 73-97 Hedge fund return higher moments over the business cycle
by Racicot, François-Éric & Théoret, Raymond
- 98-107 Firms' confidence and Okun's law in OECD countries
by de Mendonça, Helder Ferreira & de Oliveira, Diego S.P.
- 108-117 Asset bubbles, banking stability and economic growth
by Wang, Shengquan & Chen, Langnan & Xiong, Xiong
- 118-133 The macro determinants of firms' and households' investment: Evidence from Italy
by Giordano, Claire & Marinucci, Marco & Silvestrini, Andrea
- 134-149 Revisiting global economic activity and crude oil prices: A wavelet analysis
by Dong, Minyi & Chang, Chun-Ping & Gong, Qiang & Chu, Yin
- 150-161 Pricing flexibility under rate-of-return regulation: Effects on network infrastructure investment
by Oliver, Matthew E.
- 162-171 Adding cycles into the neoclassical growth model
by Donadelli, M. & Paradiso, A. & Livieri, G.
- 172-179 Economic freedom and bilateral direct investment
by Xu, Tao
- 180-191 Too small to be independent? On the influence of ECB monetary policy on interest rates of the EEA countries
by Goczek, Łukasz & Partyka, Karol J.
- 192-208 The German labor market during the Great Recession: Shocks and institutions
by Gehrke, Britta & Lechthaler, Wolfgang & Merkl, Christian
- 209-224 Exchange rates and fundamentals: A bootstrap panel data analysis
by Xie, Zixiong & Chen, Shyh-Wei
- 225-239 Quota removal and firm-level offshoring: Theory and evidence
by Tan, Yong & An, Liwei
- 240-261 Understanding the gender wage-gap differential between the public and private sectors in Italy: A quantile approach
by Castagnetti, Carolina & Giorgetti, Maria Letizia
- 262-274 The effect of environmentally sustainable practices on firm R&D: International evidence
by Banerjee, Rajabrata & Gupta, Kartick
- 275-292 Culture, business environment and SMEs' profitability: Evidence from European Countries
by Gaganis, Chrysovalantis & Pasiouras, Fotios & Voulgari, Fotini
- 293-308 Modelling distribution of aggregate expenditure on tourism
by Gómez–Déniz, E. & Pérez–Rodríguez, J.V.
- 309-318 Relationships among regional housing markets: Evidence on adjustments of housing burden
by Tsai, I-Chun
2019, Volume 77, Issue C
- 2-11 Environmental awareness and environmental Kuznets curve
by Chen, Xudong & Huang, Bihong & Lin, Chin-Te
- 12-20 Is nuclear energy clean? Revisit of Environmental Kuznets Curve hypothesis in OECD countries
by Lau, Lin-Sea & Choong, Chee-Keong & Ng, Cheong-Fatt & Liew, Feng-Mei & Ching, Suet-Ling
- 21-33 Do shale gas and oil productions move in convergence? An investigation using unit root tests with structural breaks
by Hu, Haiqing & Wei, Wei & Chang, Chun-Ping
- 34-41 Modelling the social funding and spill-over tax for addressing the green energy financing gap
by Yoshino, Naoyuki & Taghizadeh–Hesary, Farhad & Nakahigashi, Masaki
- 42-54 How markets will drive the transition to a low carbon economy
by Linnenluecke, Martina K. & Han, Jianlei & Pan, Zheyao & Smith, Tom
- 55-69 Climate policy vs. agricultural productivity shocks in a dynamic computable general equilibrium (CGE) modeling framework: The case of a developing economy
by Pradhan, Basanta K. & Ghosh, Joydeep
- 70-80 Driving forces of global carbon emissions: From time- and spatial-dynamic perspectives
by Chang, Chun-Ping & Dong, Minyi & Sui, Bo & Chu, Yin
- 81-91 Oil price and Gulf Corporation Council stock indices: New evidence from time-varying copula models
by Fenech, Jean-Pierre & Vosgha, Hamed
- 92-112 Testing commodity futures market efficiency under time-varying risk premiums and heteroscedastic prices
by Kuruppuarachchi, Duminda & Lin, Hai & Premachandra, I.M.
- 113-123 Tail risk under price limits
by Oh, Sekyung & Kee, Hyukdo & Park, Kinam
- 124-132 Liquidity pull-back and predictability of government security yield volatility
by Chundakkadan, Radeef & Sasidharan, Subash
- 133-146 Return spillovers around the globe: A network approach
by Lyócsa, Štefan & Výrost, Tomáš & Baumöhl, Eduard
- 147-163 Spillovers from Japan's Unconventional Monetary Policy: A global VAR Approach
by Ganelli, Giovanni & Tawk, Nour
- 164-173 A multivariate time series analysis of energy consumption, real output and pollutant emissions in a developing economy: New evidence from Nepal
by Nepal, Rabindra & Paija, Nirash
- 174-186 On the reduced macroeconomic volatility of the Australian economy: Good policy or good luck?
by Cross, Jamie
- 187-203 Analysis of shock transmissions to a small open emerging economy using a SVARMA model
by Raghavan, Mala & Athanasopoulos, George
- 204-215 What global economic factors drive emerging Asian stock market returns? Evidence from a dynamic model averaging approach
by Dong, Xiyong & Yoon, Seong-Min
- 216-233 Distributive cycles and endogenous technical change in a BoPC growth model
by Dávila-Fernández, Marwil J. & Sordi, Serena
- 234-252 Household debt, macroprudential rules, and monetary policy
by Turdaliev, Nurlan & Zhang, Yahong
- 253-265 Self-employment and the Okun's law
by Porras-Arena, M. Sylvina & Martín-Román, Ángel L.
- 266-275 Fiscal consolidation by intergovernmental transfers cuts? The unpleasant effect on expenditure arrears
by Chiades, Paolo & Greco, Luciano & Mengotto, Vanni & Moretti, Luigi & Valbonesi, Paola
- 276-288 Dynamics of monetary policy spillover: The role of exchange rate regimes
by Rohit, Abhishek Kumar & Dash, Pradyumna
- 289-300 The influence of cultural distance on the volatility of the international stock market
by Zhou, Xiaoguang & Cui, Yadi & Wu, Shihwei & Wang, Weiqing
2019, Volume 76, Issue C
- 1-13 How can a strong currency or drop in oil prices raise inflation and the black-market premium?
by Cerra, Valerie
- 14-30 Hierarchically spatial autoregressive and moving average error model
by Ye, Qianting & Liang, Huajie & Lin, Kuan-Pin & Long, Zhihe
- 31-49 Unemployment dynamics in emerging countries: Monetary policy and external shocks
by Horvath, Jaroslav & Zhong, Jiansheng
- 50-62 Finance constraints and technology spillovers from foreign to domestic firms
by Eapen, Alex & Yeo, Jihye & Sasidharan, Subash
- 63-80 Modeling and forecasting return jumps using realized variation measures
by Liu, Yi & Liu, Huifang & Zhang, Lei
- 81-100 Unveiling the objectives of central banks: Tales of four Latin American countries
by Gómez, Marcos & Medina, Juan Pablo & Valenzuela, Gonzalo
- 101-116 Twin deficits and fiscal spillovers in the EMU's periphery. A Keynesian perspective
by Gaysset, Isabelle & Lagoarde-Segot, Thomas & Neaime, Simon
- 117-127 Different compositions of aggregate sentiment and their impact on macroeconomic stability
by Franke, Reiner & Westerhoff, Frank
- 128-134 Sentiment and bias in performance evaluation by impartial arbitrators
by Lenten, Liam J.A. & Crosby, Paul & McKenzie, Jordi
- 135-152 On the asymmetric impact of macro–variables on volatility
by Amendola, Alessandra & Candila, Vincenzo & Gallo, Giampiero M.
- 153-171 Improving the predictability of the oil–US stock nexus: The role of macroeconomic variables
by Salisu, Afees A. & Swaray, Raymond & Oloko, Tirimisiyu F.
- 172-181 Oil price and automobile stock return co-movement: A wavelet coherence analysis
by Pal, Debdatta & Mitra, Subrata K.
- 182-191 The productivity impact of climate change: Evidence from Australia's Millennium drought
by Sheng, Yu & Xu, Xinpeng
- 192-198 Persistence and stochastic convergence of euro area unemployment rates
by Krištić, Irena Raguž & Dumančić, Lucija Rogić & Arčabić, Vladimir
- 199-215 Dismiss the output gaps? To use with caution given their limitations
by Pichette, Lise & Robitaille, Marie-Noëlle & Salameh, Mohanad & St-Amant, Pierre
- 216-230 Modeling asymmetric price transmission in the European food market
by Rezitis, Anthony N. & Tsionas, Mike
- 231-242 Testing the white noise hypothesis of stock returns
by Hill, Jonathan B. & Motegi, Kaiji
- 243-259 The double trap: Institutions and economic development
by Kar, Sabyasachi & Roy, Amrita & Sen, Kunal
- 260-269 Measuring comparative advantages in the Euro Area
by Konstantakopoulou, Ioanna & Tsionas, Mike G.
- 270-280 Convergence of labor productivity across the US states
by Kinfemichael, Bisrat & Morshed, A.K.M. Mahbub
- 281-292 Modeling, analysis and mitigation of contagion in financial systems
by Cheng, Xian & Zhao, Haichuan
- 293-304 ‘To sell or not to sell’: Licensing versus selling by an outside innovator
by Banerjee, Swapnendu & Poddar, Sougata
- 305-318 Do political factors influence banking crisis?
by Hasanov, Rashad & Bhattacharya, Prasad Sankar
- 319-329 Intraday momentum and stock return predictability: Evidence from China
by Zhang, Yaojie & Ma, Feng & Zhu, Bo
- 330-338 Persistence of prices in the Eurozone capital cities: Evidence from the Economist Intelligence Unit City Data
by Ogrokhina, Olena
2018, Volume 75, Issue C
- 1-9 Assessing the economic impact of mega events using Computable General Equilibrium models: Promises and compromises
by Massiani, Jérôme
- 10-22 Does interbank market matter for business cycle fluctuation? An estimated DSGE model with financial frictions for the Euro area
by Giri, Federico
- 23-37 Fiscal policy within the DSGE-VAR framework
by Babecký, Jan & Franta, Michal & Ryšánek, Jakub
- 38-69 The case for NIT+FT in Europe. An empirical optimal taxation exercise
by Islam, Nizamul & Colombino, Ugo
- 70-80 Using empirical Armington and demand elasticities in computable equilibrium models: An illustration with the CAPRI model
by Wunderlich, A.C. & Kohler, A.
- 81-92 The importance of hedging currency risk: Evidence from CNY and CNH
by Du, Jiangze & Wang, Jying-Nan & Hsu, Yuan-Teng & Lai, Kin Keung
- 93-104 Long run effect of public grants and tax credits on R&D investment: A non-stationary panel data approach
by Álvarez-Ayuso, Inmaculada C. & Kao, Chihwa & Romero-Jordán, Desiderio
- 105-116 Measuring the response of gold prices to uncertainty: An analysis beyond the mean
by Bouoiyour, Jamal & Selmi, Refk & Wohar, Mark E.
- 117-131 Time-varying information rigidities and fluctuations in professional forecasters' disagreement
by Hur, Joonyoung
- 132-141 Revisiting the returns of public infrastructure in Mexico: A limited information local likelihood estimation
by Mamatzakis, E. & Tsionas, M.
- 142-158 Does an aging population influence stock markets? Evidence from New Zealand
by Hettihewa, Samanthala & Saha, Shrabani & Zhang, Hanxiong
- 159-168 Inflation and health in a Schumpeterian growth model: Theory and evidence
by He, Qichun
- 169-180 How efficient are market-based instruments in mitigating climate change in small emitter South Asian economies?
by Dissanayake, Sumali & Mahadevan, Renuka & Asafu-Adjaye, John
- 181-195 The predictive power of the yield spread for future economic expansions: Evidence from a new approach
by Gebka, Bartosz & Wohar, Mark E.
- 196-220 Fossil fuels, alternative energy and economic growth
by Barreto, Raul A.
- 221-236 Group penalized unrestricted mixed data sampling model with application to forecasting US GDP growth
by Xu, Qifa & Zhuo, Xingxuan & Jiang, Cuixia & Liu, Xi & Liu, Yezheng
- 237-245 Forecasting the prices of crude oil using the predictor, economic and combined constraints
by Yi, Yongsheng & Ma, Feng & Zhang, Yaojie & Huang, Dengshi
- 246-255 Economic and statistical measurement of physical capital: From theory to practice
by Escribá-Pérez, F.J. & Murgui-García, M.J. & Ruiz-Tamarit, J.R.
- 256-267 Stochastic trends and fiscal policy
by Barhoumi, Karim & Cherif, Reda & Rebei, Nooman
- 268-280 International interest rates, the current account and housing markets
by Franjo, Luis
- 281-292 Time-consistent mean-variance portfolio selection with only risky assets
by Pun, Chi Seng
- 293-304 Existence and uniqueness of growth cycles in post Keynesian systems
by Murakami, Hiroki
- 305-319 Is the credit channel alive? Firm-level evidence on the sensitivity of borrowing spreads to monetary policy
by Aysun, Uluc & Jeon, Kiyoung & Kabukcuoglu, Zeynep
- 320-335 Why are labor markets in Spain and Germany so different?
by Casares, Miguel & Vázquez, Jesús
- 336-354 Dividend policy of Indonesian listed firms: The role of families and the state
by Duygun, Meryem & Guney, Yilmaz & Moin, Abdul
- 355-363 The role of behavioral choices in reducing wage inequality in developing countries
by Basu, Bharati
- 364-376 One size does not fit all… panel data: Bayesian model averaging and data poolability
by Desbordes, Rodolphe & Koop, Gary & Vicard, Vincent
- 377-396 The impacts of workers' remittances on human capital and labor supply in developing countries
by Azizi, SeyedSoroosh
- 397-421 Structural reforms in DSGE models: Output gains but welfare losses
by Campagne, Benoît & Poissonnier, Aurélien
- 422-431 High-dimensional covariance forecasting based on principal component analysis of high-frequency data
by Jian, Zhihong & Deng, Pingjun & Zhu, Zhican
- 432-440 Asymmetric import cost pass-through in GCC countries: Evidence from nonlinear panel analysis
by Alsamara, Mouyad & Mrabet, Zouhair & Dombrecht, Michel
- 441-457 Assessing the economic and social impact of tax and benefit reforms: A general-equilibrium microsimulation approach applied to Hungary
by Benczúr, Péter & Kátay, Gábor & Kiss, Áron
- 458-468 Does innovation facilitate firm survival? Evidence from Chinese high-tech firms
by Zhang, Dongyang & Zheng, Wenping & Ning, Lutao
2018, Volume 74, Issue C
- 1-9 On the sources of the Great Moderation: Role of monetary policy and intermediate inputs
by Batabyal, Sourav & Islam, Faridul & Khaznaji, Maher
- 10-23 Wage differential between caste groups: Are younger and older cohorts different?
by Arabsheibani, Gholamreza & Gupta, Prashant & Mishra, Tapas & Parhi, Mamata
- 24-44 Financial factors and labor market fluctuations
by Zhang, Yahong
- 45-60 Efficiency measurement and cross-country differences among schools: A robust conditional nonparametric analysis
by Cordero, Jose M. & Polo, Cristina & Santín, Daniel & Simancas, Rosa
- 61-76 Moment-based tests for random effects in the two-way error component model with unbalanced panels
by Wu, Jianhong & Li, Guodong & Xia, Qiang
- 77-87 Fiscal shocks and helicopter money in open economy
by Di Giorgio, Giorgio & Traficante, Guido
- 88-96 Modelling currency demand in a small open economy within a monetary union
by Rua, António
- 97-104 On the reverse causality between output and infrastructure: The case of China
by Feng, Qu & Wu, Guiying Laura
- 105-123 Modelling stock price–exchange rate nexus in OECD countries: A new perspective
by Salisu, Afees A. & Ndako, Umar B.
- 124-141 Are business and credit cycles synchronised internally or externally?
by Kurowski, Łukasz & Rogowicz, Karol
- 142-166 ETLA macro model for forecasting and policy simulations
by Lehmus, Markku
- 167-185 Return transmission and asymmetric volatility spillovers between oil futures and oil equities: New DCC-MEGARCH analyses
by Tsuji, Chikashi
- 186-193 Updating China's input-output tables series using MTT method and its comparison
by Zheng, Haitao & Fang, Qi & Wang, Cheng & Jiang, Yunyun & Ren, Ruoen
- 194-206 China's increasing global influence: Changes in international growth linkages
by Bataa, Erdenebat & Osborn, Denise R. & Sensier, Marianne
- 207-218 The effect of corruption on labour market outcomes
by Cooray, Arusha & Dzhumashev, Ratbek
- 219-229 Fiscal policy pro-cyclicality in Sub-Saharan African countries: The role of export concentration
by Ouedraogo, Rasmane & Sourouema, Windemanegda Sandrine
- 230-246 Exchange rate volatility and India's cross-border trade: A pooled mean group and nonlinear cointegration approach
by Sharma, Chandan & Pal, Debdatta
- 247-263 Service sector productivity and economic growth in Asia
by Lee, Jong-Wha & McKibbin, Warwick J.
- 264-274 The financial effects of Trumpism
by Pham, Huy Nguyen Anh & Ramiah, Vikash & Moosa, Nisreen & Huynh, Tam & Pham, Nhi
- 275-283 Geographical factors and business failure: An empirical study from the Madrid metropolitan area
by Maté-Sánchez-Val, Mariluz & López-Hernandez, Fernando & Rodriguez Fuentes, Christian Camilo
2018, Volume 73, Issue C
- 1-14 Active labour-market policies and output growth: Is there a causal relationship?
by Goulas, Eleftherios & Zervoyianni, Athina
- 15-29 Welfare analysis of bank capital requirements with endogenous default
by Garcia-Barragan, Fernando & Liu, Guangling
- 30-44 Endogeneity in household mortgage choice
by Dungey, Mardi & Doko Tchatoka, Firmin & Yanotti, María B.
- 45-54 Identifying the nonlinear correlation between business cycle and monetary policy rule: Evidence from China and the U.S
by Liu, Dayu & Xu, Ning & Zhao, Tingting & Song, Yang
- 55-70 Evaluating monetary policy rules under fundamental uncertainty: An info-gap approach
by Ben-Haim, Yakov & Demertzis, Maria & Van den End, Jan Willem
- 71-88 The pass-through of monetary policy rate to lending rates: The role of macro-financial factors
by Gregor, Jiří & Melecký, Martin
- 89-99 Convergence analysis for hierarchical longitudinal data
by Fazio, Giorgio & Piacentino, Davide
- 100-116 Discretionary fiscal policy and disagreement in expectations about fiscal variables empirical evidence from Brazil
by Montes, Gabriel Caldas & Luna, Paulo Henrique
- 117-128 Economic sanction games among the US, the EU and Russia: Payoffs and potential effects
by Dong, Yan & Li, Chunding
- 129-139 Substitution between private and government consumption in African economies
by Dawood, Taufiq Carnegie & Francois, John Nana
- 140-151 The real exchange rate in Taylor rules: A Re-Assessment
by Froyen, Richard T. & Guender, Alfred V.
- 152-162 Upward wage rigidity and Japan's dispatched worker system
by Chen, W.D.
- 163-173 Price level targeting and risk management
by Billi, Roberto M.
- 174-183 Subnational government tax revenue capacity and effort convergence: New evidence from sequential unit root tests
by Mahdavi, Saeid & Westerlund, Joakim
- 184-194 Productivity, financial constraints, and firms' global value chain participation: Evidence from China
by Lu, Yue & Shi, Huimin & Luo, Wei & Liu, Bin
- 195-207 Does infrastructure have a transitory or longer-term impact? Evidence from China
by Zhang, Yin-Fang & Ji, Shengbao
- 208-221 Monetary-fiscal policy interactions under asset purchase programs: Some comparative evidence
by Wang, Ling
- 222-239 Sectoral dynamics of financial contagion in Europe - The cases of the recent crises episodes
by Alexakis, Christos & Pappas, Vasileios
- 240-253 Growth in emerging economies: Is there a role for education?
by Lenkei, Balint & Mustafa, Ghulam & Vecchi, Michela
- 254-263 Assessing the strategic fit of potential M&As in Chinese banking: A novel Bayesian stochastic frontier approach
by Chen, Zhongfei & Wanke, Peter & Tsionas, Mike G.
- 264-278 The business cycle implications of bank discrimination in China
by Guo, Shen & Jiang, Zheng & Shi, Huimin
- 279-294 Modelling heterogeneous firms and non-tariff measures in free trade agreements using Computable General Equilibrium
by Jafari, Yaghoob & Britz, Wolfgang
- 295-305 A fundamentalist theory of real estate market outcomes
by Fowler, Stuart J. & Fowler, Jennifer J. & Seagraves, Philip A. & Beauchamp, Charles F.
- 306-316 Public spending, credit and natural capital: Does access to capital foster deforestation?
by Combes, Jean-Louis & Delacote, Philippe & Combes Motel, Pascale & Yogo, Thierry Urbain
- 317-328 Post-Brexit trade survival: Looking beyond the European Union
by Jackson, Karen & Shepotylo, Oleksandr
- 329-342 Teaching technologies, attendance, learning and the optimal level of access to online materials
by Gomis-Porqueras, Pedro & Rodrigues-Neto, José A.
- 343-353 Volatility spillover shifts in global financial markets
by BenSaïda, Ahmed & Litimi, Houda & Abdallah, Oussama
- 354-364 Bias-corrected estimation for speculative bubbles in stock prices
by Kruse, Robinson & Kaufmann, Hendrik & Wegener, Christoph
- 365-377 A dynamic double hurdle model for remittances: evidence from Germany
by Bettin, Giulia & Lucchetti, Riccardo & Pigini, Claudia
- 378-394 Testing extreme dependence in financial time series
by Chaudhuri, Kausik & Sen, Rituparna & Tan, Zheng
- 395-406 A comparison of the robust conditional order-m estimation and two stage DEA in measuring healthcare efficiency among California counties
by Gearhart, Richard S. & Michieka, Nyakundi M.
- 407-430 Estimating inflation persistence by quantile autoregression with quantile-specific unit roots
by Gaglianone, Wagner Piazza & Guillén, Osmani Teixeira de Carvalho & Figueiredo, Francisco Marcos Rodrigues
2018, Volume 72, Issue C
- 1-7 CSR in an oligopoly with foreign competition: Policy and welfare implications
by Liu, Qian & Wang, Leonard F.S. & Chen, Charlie L.
- 8-21 The effects of financial distress: Evidence from US GDP growth
by Inekwe, John Nkwoma & Jin, Yi & Valenzuela, Ma. Rebecca
- 22-30 Estimating concave substitution possibilities with non-stationary data using the dynamic linear logit demand model
by Considine, Timothy J.
- 31-41 The trade-off between profitability and outreach in microfinance
by Caserta, Maurizio & Monteleone, Simona & Reito, Francesco