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Content
2017, Volume 61, Issue C
- 102-112 Liberalization, bankers’ motivation and productivity: A simple model with an application
by Luintel, Kul B. & Selim, Sheikh & Bajracharya, Pushkar
- 113-125 Dynamic asset allocation and consumption under inflation inequality: The impacts of inflation experiences and expectations
by Li, Shaoyu & Wei, Lijia & Xu, Zhiwei
- 126-136 Aggregation bias-correcting approach to the health–income relationship: Life expectancy and GDP per capita in 148 countries, 1970–2010
by Linden, Mikael & Ray, Devdatta
- 137-146 A green winner's curse? Investor behavior in the market for eco-certified office buildings
by Fuerst, Franz & Gabrieli, Tommaso & McAllister, Patrick
- 147-155 Forecasting house prices using dynamic model averaging approach: Evidence from China
by Wei, Yu & Cao, Yang
- 156-168 Productivity differences and inter-state migration in the U.S.: A multilateral gravity approach
by Chakrabarti, Anindya S. & Sengupta, Aparna
- 169-180 Volatility spillovers and determinants of contagion: Exchange rate and equity markets during crises
by Leung, Henry & Schiereck, Dirk & Schroeder, Florian
- 181-192 A panel stationarity test with gradual structural shifts: Re-investigate the international commodity price shocks
by Nazlioglu, Saban & Karul, Cagin
- 193-206 Gender and central banking
by Diouf, Ibrahima & Pépin, Dominique
- 207-223 Equitable fiscal consolidations
by Ferrara, Maria & Tirelli, Patrizio
- 224-234 Optimal fiscal decentralization: Redistribution and welfare implications
by Aslim, Erkmen Giray & Neyapti, Bilin
- 235-247 A simple dynastic economy with parental time investment in children’s patience
by Haruyama, Tetsugen & Park, Hyun
- 248-259 Stock price synchronicity to oil shocks across quantiles: Evidence from Chinese oil firms
by Peng, Cheng & Zhu, Huiming & Jia, Xianghua & You, Wanhai
- 260-272 Return and volatility spillovers effects: Evaluating the impact of Shanghai-Hong Kong Stock Connect
by Huo, Rui & Ahmed, Abdullahi D.
- 273-292 Differential effects of trade openness on Indian manufacturing firms
by Mukherjee, Subhadip & Chanda, Rupa
- 293-311 Managing external macroeconomic imbalances in the EU: the welfare cost of scoreboard-based constraints
by Torój, Andrzej
- 312-320 International environmental agreements with ancillary benefits: Repeated games analysis
by Takashima, Nobuyuki
- 321-338 Macroeconomic impacts of fiscal policy shocks in the UK: A DSGE analysis
by Bhattarai, Keshab & Trzeciakiewicz, Dawid
- 339-350 Credit expansion and financial stability in Malaysia
by Koong, Seow Shin & Law, Siong Hook & Ibrahim, Mansor H.
- 351-375 Does trend inflation make a difference?
by Loberto, Michele & Perricone, Chiara
- 376-387 Decomposing changes in the conditional variance of GDP over time
by Amini, Shahram & Battisti, Michele & Parmeter, Christopher F.
- 388-408 Parameter instability, stochastic volatility and estimation based on simulated likelihood: Evidence from the crude oil market
by Nonejad, Nima
- 409-419 Does foreign direct investment crowd in or crowd out private domestic investment in China? The effect of entry mode
by Chen, George S. & Yao, Yao & Malizard, Julien
- 420-431 Trade-induced productivity gains reduce incentives to impose strategic tariffs
by Hübler, Michael & Pothen, Frank
- 432-438 Indeterminacy, capital maintenance expenditures and the business cycle
by Jiang, Dou
- 439-447 Green versus brown: Comparing the employment impacts of energy efficiency, renewable energy, and fossil fuels using an input-output model
by Garrett-Peltier, Heidi
- 448-461 Asymmetric effects of fiscal policy in EU and OECD countries
by Mencinger, Jernej & Aristovnik, Aleksander & Verbič, Miroslav
- 462-477 Financial frictions and optimal stabilization policy in a monetary union
by Palek, Jakob & Schwanebeck, Benjamin
- 478-494 The demand of energy from an optimal portfolio choice perspective
by Umar, Zaghum
- 495-509 GHG mitigation schemes and energy policies: A model-based assessment for the Italian economy
by Annicchiarico, Barbara & Battles, Susan & Di Dio, Fabio & Molina, Pierfrancesco & Zoppoli, Pietro
- 510-528 Assessing the efficacy of borrower-based macroprudential policy using an integrated micro-macro model for European households
by Gross, Marco & Población, Javier
2017, Volume 60, Issue C
- 1-10 How are Africa's emerging stock markets related to advanced markets? Evidence from copulas
by Mensah, Jones Odei & Alagidede, Paul
- 11-23 Interval-valued time series forecasting using a novel hybrid HoltI and MSVR model
by Xiong, Tao & Li, Chongguang & Bao, Yukun
- 24-28 Time-varying leads and lags across frequencies using a continuous wavelet transform approach
by Funashima, Yoshito
- 29-38 Effective timing of tourism policy: The case of Singapore
by Agiomirgianakis, George & Serenis, Dimitrios & Tsounis, Nicholas
- 39-50 Effects of education externalities on schooling
by Fukumura, Koichi
- 51-70 Inflation targeting and financial stability in emerging markets
by Armand Fouejieu,
- 71-80 Beauty contest, bounded rationality, and sentiment pricing dynamics
by Liang, Hanchao & Yang, Chunpeng & Cai, Chuangqun
- 81-97 Fiscal policy in Europe: The importance of making it predictable
by Cavallari, Lilia & Romano, Simone
- 98-107 Transaction costs and recorded remittances in the post-Soviet economies: Evidence from a new dataset on bilateral flows
by Kakhkharov, Jakhongir & Akimov, Alexandr & Rohde, Nicholas
- 108-121 The sources of contagion risk in a banking sector with foreign ownership
by Fiala, Tomas & Havranek, Tomas
- 122-131 The source of global stock market risk: A viewpoint of economic policy uncertainty
by Tsai, I-Chun
- 132-137 Inflation-targeting and real interest rate parity: A bias correction approach
by Ding, Hui & Kim, Jaebeom
- 138-150 The impact of fiscal consolidations on the functional components of government expenditures
by Castro, Vítor
- 151-161 R&D networks among suppliers and manufacturers
by Tran, Tat Thanh & Zikos, Vasileios
- 162-168 How does issuing contingent convertible bonds improve bank's solvency? A Value-at-Risk and Expected Shortfall approach
by Jaworski, Piotr & Liberadzki, Kamil & Liberadzki, Marcin
- 169-179 Effect of labor market policies on unemployment when firms adapt their recruitment strategy
by Sengul, Gonul
- 180-193 Universal banking, asymmetric information and the stock market
by Banerji, Sanjay & Basu, Parantap
- 194-210 How credible is inflation targeting in Asia? A quantile unit root perspective
by Valera, Harold Glenn A. & Holmes, Mark J. & Hassan, Gazi M.
- 211-230 Asymmetric determinants of CDS spreads: U.S. industry-level evidence through the NARDL approach
by Shahzad, Syed Jawad Hussain & Nor, Safwan Mohd & Ferrer, Roman & Hammoudeh, Shawkat
- 231-243 Financial intermediation, consumption dynamics, and business cycles
by Yépez, Carlos A.
- 244-252 Regulations and productivity: Long run effects and nonlinear influences
by Papaioannou, Sotiris K.
- 253-270 Does urbanization reduce rural poverty? Evidence from Vietnam
by Arouri, Mohamed & Ben Youssef, Adel & Nguyen, Cuong
- 271-280 Real estate price and heterogeneous investment behavior in China
by Wang, Ren & Hou, Jie & He, Xiaobei
- 281-296 Is central bank conservatism desirable under learning?
by André, Marine Charlotte & Dai, Meixing
- 297-312 Expectations-driven cycles in the housing market
by Lambertini, Luisa & Mendicino, Caterina & Punzi, Maria Teresa
- 313-323 Euro or not? Vulnerability of Czech and Slovak economies to regional and international turmoil
by Kliber, Agata & Płuciennik, Piotr
- 324-333 Simple measures of endogenous free-riding in protectionist lobbies
by Magee, Stephen & Lee, Hak Loh & Lee, Hongshik
- 334-343 The case for fiscal rules
by Badinger, Harald & Reuter, Wolf Heinrich
- 344-351 The impact of unsuccessful pirate attacks on financial markets: Evidence in support of Leeson's reputation-building theory
by Belasen, Ariel R. & Kutan, Ali M. & Belasen, Alan T.
- 352-363 Strategic carbon taxation and energy pricing under the threat of climate tipping events
by Zhang, Xiao-Bing & Zhu, Lei
- 364-379 Searching for empirical linkages between demographic structure and economic growth
by Wongboonsin, Kua & Phiromswad, Piyachart
- 380-390 What keeps long-term U.S. interest rates so low?
by Akram, Tanweer & Li, Huiqing
- 391-401 Stock return autocorrelations and predictability in the Chinese stock market—Evidence from threshold quantile autoregressive models
by Xue, Wen-Jun & Zhang, Li-Wen
- 402-407 Is the price of gold to gold mining stocks asymmetric?
by Batten, Jonathan A. & Ciner, Cetin & Kosedag, Arman & Lucey, Brian M.
- 408-423 Efficient estimation of macroeconomic equations with unobservable states
by Morrisy, Stephen D.
- 424-438 Growth versus equity: A CGE analysis for effects of factor-biased technical progress on economic growth and employment
by Jung, Sungmoon & Lee, Jeong-Dong & Hwang, Won-Sik & Yeo, Yeongjun
- 439-447 Tariff induced licensing contracts, consumers’ surplus and welfare
by Kabiraj, Abhishek & Kabiraj, Tarun
- 448-461 Do R&D activities matter for productivity? A regional spatial approach assessing the role of human and social capital
by Bengoa, Marta & Román, Valeriano Martínez-San & Pérez, Patricio
- 462-472 Trade creation, trade diversion and imbalances in the EMU
by Esposito, Piero
2016, Volume 59, Issue C
- 1-8 Robust random effects tests for two-way error component models with panel data
by Wu, Jianhong
- 9-22 Returns, correlations, and volatilities in equity markets: Evidence from six OECD countries during the US financial crisis
by Kim, Hyun-Seok & Min, Hong-Ghi & McDonald, Judith A.
- 23-31 Testing threshold cointegration in Wagner's Law: The role of military spending
by Cavicchioli, Maddalena & Pistoresi, Barbara
- 32-45 On interactions between remittance outflows and Saudi Arabian macroeconomy: New evidence from wavelets
by Hathroubi, Salem & Aloui, Chaker
- 46-66 Migration and FDI: Reconciling the standard trade theory with empirical evidence
by Jayet, H. & Marchal, L.
- 67-73 Determinants of U.S. health expenditure: Evidence from autoregressive distributed lag (ARDL) approach to cointegration
by Murthy, Vasudeva N.R. & Okunade, Albert A.
- 74-92 A novel jump diffusion model based on SGT distribution and its applications
by Xu, Weijun & Liu, Guifang & Li, Hongyi
- 93-101 Emerging market sovereign bond spreads, credit ratings and global financial crisis
by Özmen, Erdal & Doğanay Yaşar, Özge
- 102-115 Impact of trade liberalisation on labour market and poverty in Sri Lanka. An integrated macro-micro modelling approach
by Liyanaarachchi, Tilak S. & Naranpanawa, Athula & Bandara, Jayatilleke S.
- 116-123 Non-linearities in euro area inflation persistence
by Kanellopoulos, Nikolaos C. & Koutroulis, Aristotelis G.
- 124-130 Environmental finance: A research agenda for interdisciplinary finance research
by Linnenluecke, Martina K. & Smith, Tom & McKnight, Brent
- 131-142 Information advantage, short sales, and stock returns: Evidence from short selling reform in China
by Feng, Xunan & Chan, Kam C.
- 143-163 International contagion through financial versus non-financial firms
by Akhtaruzzaman, Md & Shamsuddin, Abul
- 164-173 Personal carbon trading and subsidies for hybrid electric vehicles
by Fan, Jin & He, Haonan & Wu, Yanrui
- 174-181 Fundamentals and rational bubbles in the Korean housing market: A modified present-value approach
by Kim, Jan R. & Lim, Gieyoung
- 182-195 Optimal reinsurance policies with two reinsurers in continuous time
by Meng, Hui & Zhou, Ming & Siu, Tak Kuen
- 196-209 Modelling the long-run economic impact of leaving the European Union
by Ebell, Monique & Hurst, Ian & Warren, James
- 210-223 State of confidence, overborrowing and macroeconomic stabilization in out-of-equilibrium dynamics
by Cavallaro, Eleonora & Maggi, Bernardo
- 224-236 Contagion in the world's stock exchanges seen as a set of coupled oscillators
by Bellenzier, Lucia & Vitting Andersen, Jørgen & Rotundo, Giulia
- 237-248 A dead-end tunnel or the light at the end of it: The role of BRICs in European exports
by Fedoseeva, Svetlana & Zeidan, Rodrigo
- 249-261 Financial crises and dynamic linkages across international stock and currency markets
by Dua, Pami & Tuteja, Divya
- 262-270 Convergence in income distributions: Evidence from a panel of countries
by Chambers, Dustin & Dhongde, Shatakshee
- 271-277 Modelling the extreme variability of the US Consumer Price Index inflation with a stable non-symmetric distribution
by Chronis, George A.
- 278-284 How does a mixed ownership firm license a patent?
by Gelves, Juan Alejandro & Heywood, John S.
- 285-296 An improved framework for approximating option prices with application to option portfolio hedging
by Mozumder, Sharif & Dempsey, Michael & Kabir, M. Humayun & Choudhry, Taufiq
- 297-313 Real estate global beta and spillovers: An international study
by Liow, Kim Hiang & Newell, Graeme
- 314-328 Asymmetric oil product pricing in India: Evidence from a multiple threshold nonlinear ARDL model
by Pal, Debdatta & Mitra, Subrata K.
- 329-334 On oil-US exchange rate volatility relationships: An intraday analysis
by Jawadi, Fredj & Louhichi, Waël & Ameur, Hachmi Ben & Cheffou, Abdoulkarim Idi
- 335-351 Commodity prices and fiscal policy in a commodity exporting economy
by Medina, Juan Pablo & Soto, Claudio
- 352-360 Optimal tax structure and public expenditure composition in a simple model of endogenous growth
by Zhang, Lifeng & Ru, Yucong & Li, Jingkui
- 361-369 Economic growth and insurance development: The role of institutional environments
by Lee, Chien-Chiang & Chang, Chi-Hung & Arouri, Mohamed & Lee, Chi-Chuan
- 370-386 Do stock market trading activities forecast recessions?
by Chatterjee, Ujjal K.
- 387-401 Islamic banking: Good for growth?
by Imam, Patrick & Kpodar, Kangni
- 402-415 New stylized facts on occupational employment and their implications: Evidence from consistent employment data
by Shim, Myungkyu & Yang, Hee-Seung
- 416-424 Endogenous labour market imperfection, foreign direct investment and external terms-of-trade shocks in a developing economy
by Chaudhuri, Sarbajit & Biswas, Anindya
- 425-435 North–South FDI and directed technical change
by Li, Shang-ao & Pan, Shan & Chi, Shawn
- 436-447 A large CVaR-based portfolio selection model with weight constraints
by Xu, Qifa & Zhou, Yingying & Jiang, Cuixia & Yu, Keming & Niu, Xufeng
- 448-462 The relationship between judicial efficiency and corporate cash holdings: An international study
by Shah, Hamid Ali & Shah, Attaullah
- 463-472 Reducing unwanted consequences of aggregation in large-scale economic models - A systematic empirical evaluation with the GTAP model
by Britz, Wolfgang & van der Mensbrugghe, Dominique
- 473-483 Cyclical fiscal rules for oil-exporting countries
by Snudden, Stephen
- 484-494 Do Spanish fiscal regimes follow the euro-area trends? Evidence from Markov-Switching fiscal rules
by Ricci-Risquete, Alejandro & Ramajo, Julián & de Castro, Francisco
- 495-507 Desperately seeking cash: Evidence from bank output measurement
by Groslambert, Bertrand & Chiappini, Raphaël & Bruno, Olivier
- 508-519 An analysis of government loan guarantees and direct investment through public-private partnerships
by Soumaré, Issouf & Lai, Van Son
- 520-528 Tax reform, fiscal decentralization, and regional economic growth: New evidence from China
by Yang, Zhou
- 529-545 Revisiting the bull and bear markets notions in the Tunisian stock market: New evidence from multi-state duration-dependence Markov-switching models
by Bejaoui, Azza & Karaa, Adel
- 546-569 Modelling the business cycle of a small open economy: The Reserve Bank of New Zealand's DSGE model
by Kamber, Gunes & McDonald, Chris & Sander, Nick & Theodoridis, Konstantinos
- 570-582 Coordinating macroprudential policies within the Euro area: The case of Spain
by Rubio, Margarita & Carrasco-Gallego, José A.
2016, Volume 58, Issue C
- 1-8 Do production managers predict turning points? A directional analysis
by Tsuchiya, Yoichi
- 9-21 Government spending on education, human capital accumulation, and growth
by Dissou, Yazid & Didic, Selma & Yakautsava, Tatsiana
- 22-33 How is China's coke price related with the world oil price? The role of extreme movements
by Guo, Yanfeng & Wen, Xiaoqian & Wu, Yanrui & Guo, Xiumei
- 34-51 Forecasting structural change and fat-tailed events in Australian macroeconomic variables
by Cross, Jamie & Poon, Aubrey
- 52-63 Modeling the short-run effect of fiscal stimuli on GDP: A new semi-closed input–output model
by Chen, Quanrun & Dietzenbacher, Erik & Los, Bart & Yang, Cuihong
- 64-74 Uninsured expense shocks and equity premia
by Wang, Qin & Ren, Yu & Zou, Yiheng
- 75-82 Does the digital divide across countries lead to convergence? New international evidence
by Rath, Badri Narayan
- 83-92 Determinants of sovereign bond yield spreads and contagion in the peripheral EU countries
by Silvapulle, Param & Fenech, Jean Pierre & Thomas, Alice & Brooks, Rob
- 93-103 Unemployment–inflation trade-offs in OECD countries
by Bhattarai, Keshab
- 104-115 Volatility risk premium implications of GARCH option pricing models
by Papantonis, Ioannis
- 116-125 Trend inflation, firms' backward-looking behavior, and inflation gap persistence
by Kim, Insu & Yie, Myung-Soo
- 126-132 Regret, rejoicing, and mixed insurance
by Fujii, Yoichiro & Okura, Mahito & Osaki, Yusuke
- 133-140 Exchange rate volatility and international trade: International evidence from the MINT countries
by Asteriou, Dimitrios & Masatci, Kaan & Pılbeam, Keith
- 141-153 Estimating the Indian natural interest rate: A semi-structural approach
by Goyal, Ashima & Arora, Sanchit
- 154-158 Does public investment stimulate private investment? Evidence for the euro area
by Dreger, Christian & Reimers, Hans-Eggert
- 159-166 Short selling constraints and stock returns volatility: Empirical evidence from the German stock market
by Bohl, Martin T. & Reher, Gerrit & Wilfling, Bernd
- 167-181 Assessing the impact of the global financial crisis on the profit efficiency of Indian banks
by Gulati, Rachita & Kumar, Sunil
- 182-193 Dynamic scoring of tax reforms in a small open economy model
by Choi, Yoonseok & Kim, Sunghyun
- 194-202 Harsh occupations, life expectancy and social security
by Pestieau, Pierre & Racionero, Maria
- 203-218 The role of fiscal policy in Britain's Great Inflation
by Fan, Jingwen & Minford, Patrick & Ou, Zhirong
- 219-226 Evidence of cross-asset contagion in U.S. markets
by Chang, Guang-Di & Cheng, Po-Ching
- 227-236 The interactive impact of press freedom and media reach on corruption
by Dutta, Nabamita & Roy, Sanjukta
- 237-248 The effects of FDI, economic growth and energy consumption on carbon emissions in ASEAN-5: Evidence from panel quantile regression
by Zhu, Huiming & Duan, Lijun & Guo, Yawei & Yu, Keming
- 249-262 Exchange rate as a shock absorber in Poland and Slovakia: Evidence from Bayesian SVAR models with common serial correlation
by Dąbrowski, Marek A. & Wróblewska, Justyna
- 263-282 Does debt curb controlling shareholders' private benefits? Modelling in a contingent claim framework
by de La Bruslerie, Hubert
- 283-292 Gold price and stock markets nexus under mixed-copulas
by Nguyen, Cuong & Bhatti, M. Ishaq & Komorníková, Magda & Komorník, Jozef
- 293-307 Increasing the substitution elasticity can improve VAT compliance and social welfare
by Bognetti, Giuseppe & Santoni, Michele
- 308-316 Did the global financial crisis hit Africa? Insights from a multi-country firm level survey
by Duygun, Meryem & Isaksson, Anders & Kaulich, Florian
- 317-322 Inflation persistence: The path of labor market structural reforms
by Geronikolaou, George & Spyromitros, Eleftherios & Tsintzos, Panagiotis
- 323-338 International sign predictability of stock returns: The role of the United States
by Nyberg, Henri & Pönkä, Harri
- 339-350 Modelling events: The short-term economic impact of leaving the EU
by Baker, Jessica & Carreras, Oriol & Kirby, Simon & Meaning, Jack & Piggott, Rebecca
- 351-364 Shining a light on the shadows: Identifying robust determinants of the shadow economy
by Goel, Rajeev K. & Nelson, Michael A.
- 365-382 External shocks and exchange rate regimes in Southeast Asia: A DSGE analysis
by Sangaré, Ibrahima
- 383-393 The masquerade ball of the CEOs and the mask of excessive risk
by Citci, Sadettin Haluk & Inci, Eren
- 394-402 Do remittances improve income inequality? An instrumental variable quantile analysis of the Kenyan case
by Bang, James T. & Mitra, Aniruddha & Wunnava, Phanindra V.
- 403-412 Income growth and inequality: The threshold effects of trade and financial openness
by Lim, G.C. & McNelis, Paul D.
- 413-426 Regional bank efficiency and its effect on regional growth in “normal” and “bad” times
by Belke, Ansgar & Haskamp, Ulrich & Setzer, Ralph
- 427-441 The bank lending channel of unconventional monetary policy: The impact of the VLTROs on credit supply in Spain
by García-Posada, Miguel & Marchetti, Marcos
- 442-453 Euro, crisis and unemployment: Youth patterns, youth policies?
by Ghoshray, Atanu & Ordóñez, Javier & Sala, Hector
- 454-465 Homeward bound FDI: Are migrants a bridge over troubled finance?
by Cuadros, Ana & Martín-Montaner, Joan & Paniagua, Jordi
- 466-474 What drives interdependence of FDI among host countries? The role of geographic proximity and similarity in public debt
by Alamá-Sabater, Luisa & Heid, Benedikt & Jiménez-Fernández, Eduardo & Márquez-Ramos, Laura
- 475-481 On the isolated impact of copulas on risk measurement: Asimulation study
by Berger, Theo
- 482-493 Safe-haven demand for housing in London
by Eraslan, Sercan
- 494-511 The skewness risk premium in currency markets
by Broll, Michael
- 512-522 Is fiscal devaluation welfare enhancing?
by Hohberger, Stefan & Kraus, Lena
- 523-534 Robust tests for change in intercept and slope in linear regression models with application to manager performance in the mutual fund industry
by Pouliot, William
- 535-542 Fiscal and monetary policies in the BRICS: A panel VAR approach
by Jawadi, Fredj & Mallick, Sushanta K. & Sousa, Ricardo M.
- 543-555 Real estate investment: Market volatility and optimal holding period under risk aversion
by Amédée-Manesme, Charles-Olivier & Barthélémy, Fabrice & Prigent, Jean-Luc
- 556-568 How rational could VIX investing be?
by Bahaji, Hamza & Aberkane, Salah
- 569-579 Optimal funding and hiring/firing policies with mean reverting demand
by Bouasker, O. & Letifi, N. & Prigent, J.-L.
- 580-587 Detecting nonlinear dependencies in eurozone peripheral equity markets: A multistep filtering approach
by Avdoulas, Christos & Bekiros, Stelios & Boubaker, Sabri
- 588-598 Solvency capital requirement for a temporal dependent losses in insurance
by Araichi, Sawssen & Peretti, Christian de & Belkacem, Lotfi
- 599-614 Structured products under generalized kappa ratio
by Hentati-Kaffel, Rania
- 615-626 A general theory of corporate international investment under incomplete information, short sales and taxes
by Bellalah, Mondher & Bradford, Marc & Zhang, Detao
- 627-641 Explicit solutions to dynamic portfolio choice problems: A continuous-time detour
by Legendre, François & Togola, Djibril
- 642-654 The dark side of the black gold shock onto Europe: One stock's joy is another stock's sorrow
by Kaabia, Olfa & Abid, Ilyes & Mkaouar, Farid
- 655-664 An efficient estimate and forecast of the implied volatility surface: A nonlinear Kalman filter approach
by Chen, Si & Zhou, Zhen & Li, Shenghong
2016, Volume 57, Issue C
- 1-12 The (strong) interdependence between intermediate producer services' attributes and manufacturing location
by Lanaspa, Luis & Sanz-Gracia, Fernando & Vera-Cabello, María
- 13-25 Impact of mega trade deals on China: A computational general equilibrium analysis
by Li, Chunding & Wang, Jing & Whalley, John
- 26-35 Analyzing the efficiency performance of major Australian mining companies using bootstrap data envelopment analysis
by Hosseinzadeh, Ahmad & Smyth, Russell & Valadkhani, Abbas & Le, Viet
- 36-46 Islamic financial markets and global crises: Contagion or decoupling?
by Kenourgios, Dimitris & Naifar, Nader & Dimitriou, Dimitrios
- 47-54 Peak-load pricing in duopoly
by Kim, Jeong-Yoo & Lee, Myeong Ho & Berg, Nathan
- 55-75 The labor market effects of skill-biased technological change in Malaysia
by Marouani, Mohamed A. & Nilsson, Björn
- 76-92 Beyond representative households: The macro–micro impact analysis of VAT designs applied to Niger
by de Quatrebarbes, Céline & Boccanfuso, Dorothée & Savard, Luc
- 93-105 Optimal value of a patent in an asymmetric Cournot duopoly market
by Sinha, Uday Bhanu
- 106-119 Stock market liquidity and economic cycles: A non-linear approach
by Switzer, Lorne N. & Picard, Alan
- 120-132 Business cycles in a balance-of-payments constrained growth framework
by Garcimartin, Carlos & Kvedaras, Virmantas & Rivas, Luis
- 133-152 Factor income taxation, growth, and investment specific technological change
by Bishnu, Monisankar & Ghate, Chetan & Gopalakrishnan, Pawan
- 153-163 Modeling heterogeneous inflation expectations: empirical evidence from demographic data?
by Xu, Yingying & Chang, Hsu-Ling & Lobonţ, Oana-Ramona & Su, Chi-Wei
- 164-170 Gold returns: Do business cycle asymmetries matter? Evidence from an international country sample
by Apergis, Nicholas & Eleftheriou, Sofia
- 171-179 Regional convergence within particular country — An approach based on the regional price deflators
by Rokicki, Bartlomiej & Hewings, Geoffrey J.D.
- 180-196 A bivariate Hawkes process for interest rate modeling
by Hainaut, Donatien
- 197-207 Financial development and the shadow economy: A panel VAR analysis
by Berdiev, Aziz N. & Saunoris, James W.
- 208-220 Global financial conditions and asset markets: Evidence from fragile emerging economies
by Yildirim, Zekeriya
- 221-237 A good career or a good marriage: The returns of higher education in France
by Courtioux, Pierre & Lignon, Vincent
- 238-247 Weathering the storm: ownership structure and performance of microfinance institutions in the wake of the global financial crisis
by Wijesiri, Mahinda
- 248-262 Youth unemployment and welfare gains from eliminating business cycles — The case of Poland
by Acedański, Jan
- 263-280 Do oil producing countries offer international diversification benefits? Evidence from GCC countries
by Mimouni, Karim & Charfeddine, Lanouar & Al-Azzam, Moh'd
- 281-293 How to regulate bank dividends? Is capital regulation an answer?
by Ashraf, Badar Nadeem & Bibi, Bushra & Zheng, Changjun
- 294-310 Endogenous environmental policy for small open economies with transboundary pollution
by Fünfgelt, Joachim & Schulze, Günther G.
- 311-323 Intervention time series analysis of crime rates: The case of sentence reform in Virginia
by Vujić, Sunčica & Commandeur, Jacques J.F. & Koopman, Siem Jan