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Content
2013, Volume 31, Issue C
- 223-237 Population, land, and growth
by Loupias, Claire & Wigniolle, Bertrand
- 238-244 A structural VAR model of the Fiji Islands
by Narayan, Seema
- 245-252 An economic manufacturing quantity model with probabilistic deterioration in a production system
by Sarkar, Mitali & Sarkar, Biswajit
- 253-264 Assessing macro-financial linkages: A model comparison exercise
by Gerke, R. & Jonsson, M. & Kliem, M. & Kolasa, M. & Lafourcade, P. & Locarno, A. & Makarski, K. & McAdam, P.
- 265-275 Long memory revisit in Chinese stock markets: Based on GARCH-class models and multiscale analysis
by Lin, Xiaoqiang & Fei, Fangyu
- 276-285 Testing for Granger causality in distribution tails: An application to oil markets integration
by Candelon, Bertrand & Joëts, Marc & Tokpavi, Sessi
- 286-296 Inflation and interest rates in the presence of a cost channel, wealth effect and agent heterogeneity
by Ali, Syed Zahid & Anwar, Sajid
- 297-307 Patent licensing under cost asymmetry among firms
by Wang, Kuang-Cheng Andy & Liang, Wen-Jung & Chou, Pin-Shu
- 308-322 Uncertainty, inequality and consumption preferences in urban China
by Zhou, Jingkui
- 323-334 A fractal version of the Hull–White interest rate model
by Hainaut, Donatien
- 335-343 Revisiting the FDI-led growth Hypothesis: The case of China
by Yalta, A. Yasemin
- 344-350 Finding the cointegration and causal linkages between the electricity production and economic growth in Pakistan
by Zeshan, Muhammad
- 351-358 Fuzzy order quantity inventory model with fuzzy shortage quantity and fuzzy promotional index
by De, Sujit Kumar & Sana, Shib Sankar
- 359-369 Political stability, corruption and trust in politicians
by Schumacher, Ingmar
- 370-382 Diffusion and directed technological knowledge, human capital and wages
by Afonso, Oscar
- 383-388 Modeling the impact of education on the economic growth: Evidence from aggregated and disaggregated time series data of Pakistan
by Jalil, Abdul & Idrees, Muhammad
- 389-400 Forward looking dynamics in spatial CGE modelling
by Bröcker, Johannes & Korzhenevych, Artem
- 401-404 Hopf bifurcation in the Clarida, Gali, and Gertler model
by Barnett, William A. & Eryilmaz, Unal
- 405-413 The asymmetric impacts of monetary policy on housing prices: A viewpoint of housing price rigidity
by Tsai, I-Chun
- 414-422 Oil price and exchange rates: A wavelet based analysis for India
by Tiwari, Aviral Kumar & Dar, Arif Billah & Bhanja, Niyati
- 423-432 Does Bayesian shrinkage help to better reflect what happened during the subprime crisis?
by Kaabia, Olfa & Abid, Ilyes & Guesmi, Khaled
- 433-439 Absorptive capacity and R&D strategy in mixed duopoly with labor-managed and profit-maximizing firms
by Luo, Jianli
- 440-446 Modeling China's inflation dynamics: An MRSTAR approach
by Zhang, Lingxiang
- 447-452 Real option, human capital investment returns and higher educational policy
by Hwang, Wei-Yei & Liao, Shu-Yi & Huang, Mao-Lung
- 453-459 The impact of mean reversion model on portfolio investment strategies: Empirical evidence from emerging markets
by Akarim, Yasemin Deniz & Sevim, Serafettin
- 460-466 Time-spectral density and wavelets approaches. Comparative study. Applications to SP500 returns and US GDP
by Ahamada, Ibrahim & Jolivaldt, Philippe
- 467-473 Do real interest rates converge across East Asian countries based on China?
by Liu, Yan & Chang, Hsu-Ling & Su, Chi-Wei
- 474-483 Modeling of the impact of the financial crisis and China's accession to WTO on China's exports to Germany
by Guo, Zhichao & Feng, Yuanhua
- 484-491 Detecting sudden changes in volatility estimated from high, low and closing prices
by Kumar, Dilip & Maheswaran, S.
- 492-501 The impact of the Indonesian income tax reform: A CGE analysis
by Amir, Hidayat & Asafu-Adjaye, John & Ducpham, Tien
- 502-510 The dynamic linkages of fiscal and current account deficits: New evidence from five highly indebted European countries accounting for regime shifts and asymmetries
by Trachanas, Emmanouil & Katrakilidis, Constantinos
- 511-517 Between cointegration and multicointegration: Modelling time series dynamics by cumulative error correction models
by Scheiblecker, Marcus
- 518-527 Is there an environmental Kuznets curve for water use? A panel smooth transition regression approach
by Duarte, Rosa & Pinilla, Vicente & Serrano, Ana
- 528-540 How can transportation policies affect growth? A theoretical analysis of the long-term effects of alternative mobility systems
by Bonatti, Luigi & Campiglio, Emanuele
- 541-547 Competitiveness and R&D competition revisited
by Matsumura, Toshihiro & Matsushima, Noriaki & Cato, Susumu
- 548-556 Variable deterioration and demand—An inventory model
by Sarkar, Biswajit & Sarkar, Sumon
- 557-565 Optimal bank interest margins under capital regulation in a call-option utility framework
by Tsai, Jeng-Yan
- 566-573 Domestic and foreign sources of volatility spillover to South African asset classes
by Duncan, Andrew S. & Kabundi, Alain
- 574-577 The competition of investments for endogenous transportation costs in a spatial model
by Hou, Haiyang & Wu, Xiaobo & Zhou, Weihua
- 578-585 Bank ownership, performance, and the politics: Evidence from Taiwan
by Chen, Pei-Fen & Liu, Ping-Chin
- 586-589 On complex dynamics of monopoly market
by Askar, S.S.
- 590-597 International outsourcing of skill intensive tasks and wage inequality
by Anwar, Sajid & Sun, Sizhong & Valadkhani, Abbas
- 598-605 Variance risk-premia in CO2 markets
by Chevallier, Julien
- 606-613 The dynamic of bank lending channel: Basel regulatory constraint
by Said, Fathin Faizah
- 614-624 Interaction of formal and informal financial markets in quasi-emerging market economies
by Ngalawa, Harold & Viegi, Nicola
- 625-634 Some results on absolute ruin in the perturbed insurance risk model with investment and debit interests
by Yu, Wenguang
- 635-641 The impact of issuing warrant and debt on behavior of the firm's stock
by Xiao, Wei-Lin & Zhang, Wei-Guo & Yao, Zheng & Wang, Xiao-Hui
- 642-652 Estimating a small open economy DSGE model with indeterminacy: Evidence from China
by Zheng, Tingguo & Guo, Huiming
- 653-658 Globalization, decentralization and income inequality: The case of China
by Mah, Jai S.
- 659-663 Fixed versus variable rate loans under state-dependent preferences
by Wong, Kit Pong
- 664-671 Market structure and the cost of capital
by El Hedi Arouri, Mohamed & Rault, Christophe & Sova, Anamaria & Sova, Robert & Teulon, Frédéric
- 672-683 Macroeconomic determinants of the credit risk in the banking system: The case of the GIPSI
by Castro, Vítor
- 684-689 Are distance effects really a puzzle?
by Lin, Faqin
- 690-696 Cartels in the unidirectional Hotelling model
by Colombo, Stefano
- 697-716 The relationship between audit committees, compensation incentives and corporate audit fees in Pakistan
by Rustam, Sehrish & Rashid, Kashif & Zaman, Khalid
- 717-722 Integrating bank profit and risk-avoidance decisions for selected European countries: A micro–macro analysis
by Gander, James P.
- 723-733 Do economic reforms matter for manufacturing productivity? Evidence from the Indian experience
by Ghosh, Saibal
- 734-738 Competitive investing equilibrium under a procurement mechanism
by Zhang, Heng & Yang, Ming & Bao, Jiye & Gong, Pu
- 739-751 Factors causing movements of yield curve in India
by Kanjilal, Kakali
- 759-765 Impact of health aid in developing countries: The public vs. the private channels
by Afridi, Muhammad Asim & Ventelou, Bruno
- 766-774 Oman's trade and opportunities of integration with the Asian economies
by Gani, Azmat & Al Mawali, Nasser Rashid
- 775-782 Impact of fiscal policy in an intertemporal CGE model for South Africa
by Mabugu, Ramos & Robichaud, Veronique & Maisonnave, Helene & Chitiga, Margaret
- 783-788 Sales team's initiatives and stock sensitive demand — A production control policy
by Sana, Shib Sankar
- 789-795 Increasing returns, land use controls and housing prices in China
by Zhang, Dingsheng & Cheng, Wenli & Ng, Yew-Kwang
- 796-803 Input–output research in structural equivalence: Extracting paths and similarities
by García Muñiz, Ana Salomé
- 804-816 Business cycles and economic crisis in Greece (1960–2011): A long run equilibrium analysis in the Eurozone
by Michaelides, Panayotis G. & Papageorgiou, Theofanis & Vouldis, Angelos T.
2013, Volume 30, Issue C
- 1-9 Dependence of defaults and recoveries in structural credit risk models
by Schäfer, Rudi & Koivusalo, Alexander F.R.
- 10-21 Public debt management and credibility: Evidence from an emerging economy
by de Mendonça, Helder Ferreira & Machado, Marcelo Rangel
- 22-29 Tax avoidance, human capital accumulation and economic growth
by Freire-Serén, María Jesús & Panadés i Martí, Judith
- 30-35 A note on the use of fractional Brownian motion for financial modeling
by Rostek, S. & Schöbel, R.
- 36-41 Kinetics of jobs in multi-link cities with migration-driven aggregation process
by Sun, Ruoyan
- 42-51 Convergence dynamics of output: Do stochastic shocks and social polarization matter?
by Parhi, Mamata & Diebolt, Claude & Mishra, Tapas & Gupta, Prashant
- 52-60 Asymmetries in the revenue–expenditure nexus: A tale of three countries
by Paleologou, Suzanna-Maria
- 61-66 Risk index based models for portfolio adjusting problem with returns subject to experts' evaluations
by Huang, Xiaoxia & Ying, Haiyao
- 67-72 Real or spurious long memory characteristics of volatility: Empirical evidence from an emerging market
by Yalama, Abdullah & Celik, Sibel
- 73-78 Robust delegation with uncertain monetary policy preferences
by Sorge, Marco M.
- 79-89 Governments under influence: Country interactions in discretionary fiscal policy
by Cassette, Aurélie & Creel, Jérôme & Farvaque, Etienne & Paty, Sonia
- 90-116 The changing international transmission of U.S. monetary policy shocks: Is there evidence of contagion effect on OECD countries
by Kazi, Irfan Akbar & Wagan, Hakimzadi & Akbar, Farhan
- 117-125 Can Google data help predict French youth unemployment?
by Fondeur, Y. & Karamé, F.
- 126-135 Assessing structural changes in the Malaysian economy: I–O approach
by Bekhet, Hussain Ali
- 136-148 Structural versus matching estimation: Transmission mechanisms in Armenia
by Poghosyan, Karen & Boldea, Otilia
- 149-156 Non-linearities in inflation–growth nexus in the SADC region: A panel smooth transition regression approach
by Seleteng, Monaheng & Bittencourt, Manoel & van Eyden, Reneé
- 157-166 Consumption and precautionary saving: An empirical analysis under both financial and environmental risks
by Baiardi, Donatella & Manera, Matteo & Menegatti, Mario
- 167-174 Do corporate executives have accurate predictions for the economy? A directional analysis
by Tsuchiya, Yoichi
- 175-182 The loss from uncertainty on policy targets
by Di Giorgio, Giorgio & Traficante, Guido
- 183-192 Resource scarcity, effort allocation and environmental security: An agent-based theoretical approach
by Hassani-Mahmooei, Behrooz & Parris, Brett W.
- 193-195 The interaction among production, hedging and investment decisions
by Alghalith, Moawia
- 196-204 Conditional market beta for REITs: A comparison of modeling techniques
by Zhou, Jian
- 205-211 Efficient bargaining versus right to manage: A stability analysis in a Cournot duopoly with trade unions
by Fanti, Luciano & Gori, Luca
- 212-216 Realized volatility or price range: Evidence from a discrete simulation of the continuous time diffusion process
by Degiannakis, Stavros & Livada, Alexandra
- 217-224 Optimal R&D subsidies in a model with physical capital, human capital and varieties
by Gómez, Manuel A. & Sequeira, Tiago N.
- 225-234 Religion, income inequality, and the size of the government
by Elgin, Ceyhun & Goksel, Turkmen & Gurdal, Mehmet Y. & Orman, Cuneyt
- 235-244 Modelling the economic impact of sports events: The case of the Beijing Olympics
by Li, ShiNa & Blake, Adam & Thomas, Rhodri
- 245-252 Revisiting the mean reversion of inflation rates for 22 OECD countries
by Chang, Tsangyao & Ranjbar, Omid & Tang, D.P.
- 253-260 Optimal contract strategies for two stage supply chain
by Sana, Shib Sankar
- 261-273 Effects of financial liberalization on financial market development and economic performance of the SSA region: An empirical assessment
by Ahmed, Abdullahi D.
- 274-280 Endogenous fluctuations with procyclical R&D
by Shinagawa, Shunsuke
- 281-294 The consequences of revenue gap in Pakistan: Unveiling the reality
by Salar, Laleena & Zaman, Khalid & Khilji, Bashir Ahmad & Khan, Muhammad Mushtaq & Lodhi, Mohammad Saeed
- 295-305 Applying engineering and fleet detail to represent passenger vehicle transport in a computable general equilibrium model
by Karplus, Valerie J. & Paltsev, Sergey & Babiker, Mustafa & Reilly, John M.
- 306-310 An inventory model with variable demand, component cost and selling price for deteriorating items
by Sarkar, Biswajit & Saren, Sharmila & Wee, Hui-Ming
- 311-316 The exact linkage between the Beveridge–Nelson decomposition and other permanent-transitory decompositions
by Sbrana, Giacomo
- 317-321 Wavelet based outlier correction for power controlled turning point detection in surveillance systems
by Li, Yushu
- 322-333 Time stability of the beta convergence among EU countries: Bayesian model averaging perspective
by Próchniak, Mariusz & Witkowski, Bartosz
- 334-342 Integrated paradigm for sustainable development: A panel data study
by Abou-Ali, Hala & Abdelfattah, Yasmine M.
- 343-355 How an export boom affects unemployment
by Gaston, Noel & Rajaguru, Gulasekaran
- 356-365 Foreign aid and tax revenue in Uganda
by Hisali, Eria & Ddumba-Ssentamu, John
- 366-374 Is the value added tax a useful macroeconomic stabilization instrument?
by Claus, Iris
- 375-393 The relationship between growth–inequality–poverty triangle and pro-poor growth policies in Pakistan: The twin disappointments
by Zaman, Khalid & Khilji, Bashir Ahmad
- 394-404 On the dynamics of convergence in cross-country incomes
by Hashemi, Fariba
- 405-419 Monetary policy channels in Brazil through the lens of a semi-structural model
by Minella, André & Souza-Sobrinho, Nelson F.
- 420-434 Quantile regression and structural change in the Italian wage equation
by Furno, Marilena
- 435-441 Financial development and energy consumption nexus in Malaysia: A multivariate time series analysis
by Islam, Faridul & Shahbaz, Muhammad & Ahmed, Ashraf U. & Alam, Md. Mahmudul
- 442-448 OWA-based ANFIS model for TAIEX forecasting
by Cheng, Ching-Hsue & Wei, Liang-Ying & Liu, Jing-Wei & Chen, Tai-Liang
- 449-455 Guns, highways and economic growth in the United States
by Kollias, Christos & Paleologou, Suzanna-Maria
- 456-461 Devaluation, pass-through and foreign reserves dynamics in a tourism economy
by Chao, Chi-Chur & Lu, Lee-Jung & Lai, Ching-Chong & Hu, Shih-Wen & Wang, Vey
- 462-467 Sentiment asset pricing model with consumption
by Yang, Chunpeng & Zhang, Rengui
- 468-491 The relationship between growth and poverty in forecasting framework: Pakistan's future in the year 2035
by Zaman, Khalid & Khilji, Bashir Ahmad
- 492-500 Multi-period mean–variance asset–liability management with uncontrolled cash flow and uncertain time-horizon
by Yao, Haixiang & Zeng, Yan & Chen, Shumin
- 501-509 Which stock exchanges are more attractive? The competition analysis of listing and trading performance
by Lo, Shih-Fang
- 510-513 On innovation cycles in a finite discrete R&D game
by Luckraz, Shravan
- 514-520 D-GMDH: A novel inductive modelling approach in the forecasting of the industrial economy
by Zhang, Mingzhu & He, Changzheng & Gu, Xin & Liatsis, Panos & Zhu, Bing
- 521-538 Pricing and production decisions in a dual-channel supply chain when production costs are disrupted
by Huang, Song & Yang, Chao & Liu, Hui
- 539-545 Impact of heterogeneous beliefs and short sale constraints on security issuance decisions
by Wang, Yahua & Xu, Feng & Hu, Angang
- 546-564 Low-inflation-targeting monetary policy and differential unemployment rate: Is monetary policy to be blamed for the financial crisis? — Evidence from major OECD countries
by Jean Louis, Rosmy & Balli, Faruk
- 565-578 Cognitive skills, innovation and technology diffusion
by Messinis, George & Ahmed, Abdullahi D.
- 579-585 Factor mobility and skilled–unskilled wage inequality in the presence of internationally traded product varieties
by Zhang, Jingjing
- 586-594 Dynamic optimal capital growth with risk constraints
by Yong, Luo & Bo, Zhu & Yong, Tang
- 595-601 Has the structural break slowed down growth rates of stock markets?
by Narayan, Paresh Kumar & Narayan, Seema & Mishra, Sagarika
- 602-611 Environmental Kuznets curve: Evidence from the British Household Panel Survey
by Giovanis, Eleftherios
- 612-622 Macroeconomic Variables and South African Stock Return Predictability
by Gupta, Rangan & Modise, Mampho P.
- 623-635 A new sustainable human development indicator for small island developing states: A reappraisal from data envelopment analysis
by Blancard, Stéphane & Hoarau, Jean-François
- 636-642 Oil prices and the macroeconomy reconsideration for Germany: Using continuous wavelet
by Tiwari, Aviral Kumar
- 643-662 The effects of fiscal spending shocks on the performance of simple monetary policy rules
by Malik, Ali K.
- 663-669 Strategic correlativity and network games
by Yang, Jianxia & Wu, John
- 670-684 Credibility and monetary transmission channels under inflation targeting: An econometric analysis from a developing country
by Montes, Gabriel Caldas
- 685-697 Heterogeneous technology and the technological catching-up hypothesis: Theory and assessment in the case of MENA countries
by Serranito, Francisco
- 698-705 North American trade and US monetary policy
by Laganà, Gianluca & Sgro, Pasquale Michael
- 706-714 Simulation model to forecast the consequences of changes introduced into the 2nd pillar of the Polish pension system
by Mielczarek, Bożena
- 715-720 Is parity good? Externalities in professional sports
by Biner, Burhan
- 721-728 Robust monetary policy under model uncertainty and inflation persistence
by Qin, Li & Sidiropoulos, Moïse & Spyromitros, Eleftherios
- 729-732 Foreign penetration and undesirable competition
by Wang, Leonard F.S. & Lee, Jen-yao
- 733-742 Regional divergence and club convergence in India
by Ghosh, Madhusudan & Ghoshray, Atanu & Malki, Issam
- 743-753 A comparison of spatial error models through Monte Carlo experiments
by Kato, Takafumi
- 754-769 Stock market response to monetary and fiscal policy shocks: Multi-country evidence
by Chatziantoniou, Ioannis & Duffy, David & Filis, George
- 770-775 Irreversibility, mean reversion, and investment timing
by Wong, Kit Pong & Yi, Long
- 776-791 Translating financial integration into correlation risk: A weekly reporting's viewpoint for the volatility behavior of stock markets
by Gatfaoui, Hayette
- 792-798 Dynamic transmission effects between the interest rate, the US dollar, and gold and crude oil prices
by Wang, Yu Shan & Chueh, Yen Ling
- 799-813 Markups and oil prices in Canada
by Khan, Hashmat & Kim, Bae-Geun
- 814-824 Joint determinants of fiscal policy, income inequality and economic growth
by Muinelo-Gallo, Leonel & Roca-Sagalés, Oriol
- 825-834 Economic growth and polluting resources: Market equilibrium and optimal policies
by Silva, Susana & Soares, Isabel & Afonso, Oscar
- 835-843 Work now, pay later? An empirical analysis of the pension–pay trade off
by Haynes, Jonathan B. & Sessions, John G.
- 844-855 A ridge bootstrap method for analyzing APT effects on the mortgage loan market
by Sjölander, Pär
- 856-862 Does the exchange rate matter to bilateral trade between Korea and Japan? Evidence from commodity trade data
by Baek, Jungho
- 863-874 Response of the term structure of forward exchange rate to jump in the interest rate
by Li, Xiao-Ping & Feng, Yun & Wu, Chong-Feng & Xu, Wei-Dong
- 875-878 An alternative approach to income taxation
by An, Zhiyong
- 879-887 A study on three different dimensional facility location problems
by Sarkar, Biswajit & Majumder, Arunava
- 888-899 Utilitarianism and unequal longevities: A remedy?
by Leroux, Marie-Louise & Ponthiere, Gregory
- 900-910 Income–happiness paradox in Australia: Testing the theories of adaptation and social comparison
by Paul, Satya & Guilbert, Daniel
- 911-923 The asymmetric reaction of monetary policy to inflation and the output gap: Evidence from Canada
by Komlan, Fiodendji
- 924-932 An improved inventory model with partial backlogging, time varying deterioration and stock-dependent demand
by Sarkar, Biswajit & Sarkar, Sumon
- 933-940 Pricing bond options under a Markovian regime-switching Hull–White model
by Shen, Yang & Siu, Tak Kuen
- 941-953 Price-level targeting rules and financial shocks: The case of Canada
by Dib, Ali & Mendicino, Caterina & Zhang, Yahong
2012, Volume 29, Issue 6
- 2071-2089 Interest rate volatility, asymmetric interest rate pass through and the monetary transmission mechanism in the Caribbean compared to US and Asia
by Haughton, Andre Yone & Iglesias, Emma M.
- 2090-2094 On the dynamics of an inflation IS‐LM model
by Guirao, Juan L.G. & García‐Rubio, Raquel & Vera, Juan A.
- 2095-2103 Using BS-PSD-LDA approach to measure operational risk of Chinese commercial banks
by Wang, Zongrun & Wang, Wuchao & Chen, Xiaohong & Jin, Yanbo & Zhou, Yanju
- 2104-2114 The impact of defense expenditure on economic productivity in OECD countries
by Wang, Tung-Pao & Shyu, Stacy Huey-Pyng & Chou, Han-Chung
- 2115-2124 Price setting behaviour in Latvia: Econometric evidence from CPI micro data
by Benkovskis, Konstantins & Fadejeva, Ludmila & Kalnberzina, Krista
- 2125-2143 Effect of oil prices on trade balance: New insights into the cointegration relationship from Pakistan
by Hassan, Syeda Anam & Zaman, Khalid
- 2144-2154 Trade policy reform and international trade tax revenue in Uganda
by Hisali, Eria
- 2155-2162 Institutions, governance and technology catch-up in North Africa
by Drine, Imed
- 2163-2173 Stylized facts of business cycles in a transition economy in time and frequency
by Caraiani, Petre
- 2174-2182 Nowcasting the French index of industrial production: A comparison from bridge and factor models
by Brunhes-Lesage, Véronique & Darné, Olivier
- 2183-2189 Foreign direct investment and income inequality: Does the relationship vary with absorptive capacity?
by Wu, Jyun-Yi & Hsu, Chih-Chiang
- 2190-2197 Risk and regret aversions on optimal bank interest margin under capital regulation
by Tsai, Jeng-Yan
- 2198-2204 Beta-convergence and sigma-convergence in corporate governance in Europe
by Matos, Pedro Verga & Faustino, Horácio C.
- 2205-2221 Exchange rate pass-through in to inflation: New insights in to the cointegration relationship from Pakistan
by Naz, Farah & Mohsin, Asma & Zaman, Khalid
- 2222-2225 Financial constraints and international trade patterns
by Goksel, Turkmen
- 2226-2236 Gains and losses from potential bilateral US–China trade retaliation
by Dong, Yan & Whalley, John
- 2237-2244 Warrant pricing under GARCH diffusion model
by Wu, Xin-Yu & Ma, Chao-Qun & Wang, Shou-Yang
- 2245-2253 A study of Shanghai fuel oil futures price volatility based on high frequency data: Long-range dependence, modeling and forecasting
by Liu, Li & Wan, Jieqiu
- 2254-2268 Aid, spending strategies and productivity effects: A multi-sectoral CGE analysis for Zambia
by Clausen, Volker & Schürenberg-Frosch, Hannah
- 2269-2273 Tax competition for foreign direct investment under information uncertainty
by Zambujal-Oliveira, J.
- 2274-2282 Optimal replenishment order for uncertain demand in three layer supply chain
by Roy, Arpita & Sana, Shib Sankar & Chaudhuri, Kripasindhu
- 2283-2288 Multi-item EOQ model while demand is sales price and price break sensitive
by Pal, Brojeswar & Sana, Shib Sankar & Chaudhuri, Kripasindhu
- 2289-2297 Energy prices and exchange rates of the U.S. dollar: Further evidence from linear and nonlinear causality analysis
by Wang, Yudong & Wu, Chongfeng
- 2298-2309 The time-varying and asymmetric dependence between crude oil spot and futures markets: Evidence from the Mixture copula-based ARJI–GARCH model
by Chang, Kuang-Liang
- 2310-2319 Is energy consumption effective to spur economic growth in Pakistan? New evidence from bounds test to level relationships and Granger causality tests
by Shahbaz, Muhammad & Zeshan, Muhammad & Afza, Talat
- 2320-2324 A general framework for some economic problems with uncertainty and exogenous barriers
by Agliardi, R. & Popivanov, P. & Slavova, A.
- 2325-2339 Does trade openness affect long run growth? Cointegration, causality and forecast error variance decomposition tests for Pakistan
by Shahbaz, Muhammad
- 2340-2348 Government size, democracy, and corruption: An empirical investigation
by Kotera, Go & Okada, Keisuke & Samreth, Sovannroeun
- 2349-2361 Exploring determinants of housing prices: A case study of Chinese experience in 1999–2010
by Zhang, Yanbing & Hua, Xiuping & Zhao, Liang
- 2362-2370 LISREL growth model on direct and indirect effects using cross-country data
by Cavusoglu, Nevin
- 2371-2381 Inflation contract, central bank transparency and model uncertainty
by Dai, Meixing & Spyromitros, Eleftherios
- 2382-2391 Revisiting the core-periphery view of EMU
by Pentecôte, Jean-Sébastien & Huchet-Bourdon, Marilyne
- 2392-2406 The momentum effect on Chinese real estate stocks: Evidence from firm performance levels
by Lee, Jen-Sin & Huang, Gow-Liang & Kuo, Chin-Tai & Lee, Liang-Chien
- 2407-2416 The impact of convertible debt financing on investment timing
by Yagi, Kyoko & Takashima, Ryuta
- 2417-2426 Game theory and speculation on government bonds
by Carfì, David & Musolino, Francesco
- 2427-2434 On the economic factors of deforestation: What can we learn from quantile analysis?
by Damette, Olivier & Delacote, Philippe