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Content
2014, Volume 38, Issue C
- 196-203 The nexus of market concentration and privatization policy in mixed oligopoly
by Hsu, Su-Ying & Lo, Chu-Ping & Wu, Shih-Jye
- 204-210 External debt growth nexus: Role of macroeconomic polices
by Ramzan, Muhammad & Ahmad, Eatzaz
- 211-219 EU membership, institutions and growth: The case of Turkey
by Hisamoglu, Ebru
- 220-226 Relationship between the benchmark interest rate and a macroeconomic indicator
by Duan, Qihong & Wei, Ying & Chen, Zhiping
- 227-237 The nexus between electricity consumption and economic growth in Bahrain
by Hamdi, Helmi & Sbia, Rashid & Shahbaz, Muhammad
- 238-245 Model structure or data aggregation level: Which leads to greater bias of results?
by Brockmeier, Martina & Bektasoglu, Beyhan
- 246-257 A barrier option framework for rescue package designs and bank default risks
by Chang, Chuen-Ping
- 258-269 Conditional Markov regime switching model applied to economic modelling
by Goutte, Stéphane
- 270-281 What does MENA region initially need: Grow output or mitigate CO2 emissions?
by Farhani, Sahbi & Shahbaz, Muhammad & Sbia, Rashid & Chaibi, Anissa
- 282-287 Consumption externality and indeterminacy under increasing returns to scale and endogenous capital depreciation
by Wang, Gaowang & Zou, Heng-fu
- 288-295 Integration of current account imbalances in the OECD
by Narayan, Seema
- 296-304 Determinants of wage stickiness in a developing economy
by Ahmed, Waqas & Choudhary, M. Ali & Khan, Sajawal & Naeem, Saima & Zoega, Gylfi
- 305-310 Return and volatility transmission between oil prices and oil-exporting and oil-importing countries
by Guesmi, Khaled & Fattoum, Salma
- 311-315 Pedestrian fatality and natural light: Evidence from South Africa using a Bayesian approach
by Das, Sonali
- 316-327 The conditional equity premium, cross-sectional returns and stochastic volatility
by Fung, Ka Wai Terence & Lau, Chi Keung Marco & Chan, Kwok Ho
- 328-340 Modelling the distribution of returns on higher education: A microsimulation approach
by Courtioux, Pierre & Gregoir, Stéphane & Houeto, Dede
- 341-350 A recursive formula for a participating contract embedding a surrender option under regime-switching model with jump risks: Evidence from stock indices
by Lin, Shih-Kuei & Lin, Chien-Hsiu & Chuang, Ming-Che & Chou, Chia-Yu
- 351-356 On the self-fulfilling prophecy of changes in sovereign ratings
by Schumacher, Ingmar
- 357-366 A simple endogenous growth model of financial intermediation with multiplicity and indeterminacy
by Eggoh, Jude C. & Villieu, Patrick
- 367-371 Environment and labor movement of skilled labor and unskilled labor between sectors
by Li, Xiaochun & Xu, Yuanting & Wang, Dianshuang
- 372-380 Modelling the dynamics of European carbon futures price: A Zipf analysis
by Zhu, Bangzhu & Ma, Shujiao & Chevallier, Julien & Wei, Yiming
- 381-384 Re-examining the Turkish stock market efficiency: Evidence from nonlinear unit root tests
by Gozbasi, Onur & Kucukkaplan, Ilhan & Nazlioglu, Saban
- 385-391 Media exposure and individual choices: Evidence from lottery players
by De Paola, Maria & Scoppa, Vincenzo
- 392-403 Building a financial conditions index for the euro area and selected euro area countries: What does it tell us about the crisis?
by Angelopoulou, Eleni & Balfoussia, Hiona & Gibson, Heather D.
- 404-416 Is the natural resource production a blessing or curse for China's urbanization? Evidence from a space–time panel data model
by Liu, Yaobin
- 417-425 Deunionization and pay inequality in OECD Countries: A panel Granger causality approach
by Töngür, Ünal & Elveren, Adem Yavuz
- 426-434 CO2 emissions, output, energy consumption, and trade in Tunisia
by Farhani, Sahbi & Chaibi, Anissa & Rault, Christophe
- 435-442 Asymmetric contracts, cash flows and risk taking of mutual funds
by Sheng, Jiliang & Wang, Jian & Wang, Xiaoting & Yang, Jun
- 443-450 Cronyism and education performance
by Coco, Giuseppe & Lagravinese, Raffaele
- 451-462 Long-run determinants of current accounts in OECD countries: Lessons for intra-European imbalances
by Gossé, Jean-Baptiste & Serranito, Francisco
- 463-469 The persistence and asymmetric volatility in the Nigerian stock bull and bear markets
by Yaya, OlaOluwa S. & Gil-Alana, Luis A.
- 470-485 Energy portfolio risk management using time-varying extreme value copula methods
by Ghorbel, Ahmed & Trabelsi, Abdelwahed
- 486-494 Revisiting the shock and volatility transmissions among GCC stock and oil markets: A further investigation
by Jouini, Jamel & Harrathi, Nizar
- 495-503 Modelling under ambiguity with dynamically consistent Choquet random walks and Choquet–Brownian motions
by Kast, Robert & Lapied, André & Roubaud, David
- 504-511 Persistence and cycles in US hours worked
by Caporale, Guglielmo Maria & Gil-Alana, Luis A.
- 512-521 Fertility and mortality changes in an overlapping-generations model with realistic demography
by Lau, Sau-Him Paul
- 522-532 Impact of Chinese growth and trade on labor in developed countries
by Mirza, Tasneem & Narayanan, Badri & van Leeuwen, Nico
- 533-540 Energy consumption, carbon emissions, and economic growth in India: Evidence from directed acyclic graphs
by Yang, Zihui & Zhao, Yongliang
- 541-554 Smooth transition, non-linearity and current account sustainability: Evidence from the European countries
by Chen, Shyh-Wei
- 555-563 A recovery mechanism for a two echelon supply chain system under supply disruption
by Hishamuddin, Hawa & Sarker, Ruhul A. & Essam, Daryl
- 564-571 Elasticities of substitution between energy and non-energy inputs in China power sector
by Zha, Donglan & Ding, Ning
- 572-580 The different impacts of home countries characteristics in FDI on Chinese spillover effects: Based on one-stage SFA
by Zhang, Cheng & Guo, Bingnan & Wang, Jianke
- 581-591 Urbanization and renewable and non-renewable energy consumption in OECD countries: An empirical analysis
by Salim, Ruhul A. & Shafiei, Sahar
- 592-603 An alternative measure of structural unemployment
by Aysun, Uluc & Bouvet, Florence & Hofler, Richard
- 604-608 A multivariate approach in measuring socio-economic development of MENA countries
by Milenkovic, Nemanja & Vukmirovic, Jovanka & Bulajic, Milica & Radojicic, Zoran
- 609-618 Modeling volatility and conditional correlations between socially responsible investments, gold and oil
by Sadorsky, Perry
- 619-626 Forecasting with a state space time-varying parameter VAR model: Evidence from the Euro area
by Bekiros, Stelios
- 627-632 State dependent asymmetric loss and the consensus forecast of real U.S. GDP growth
by Higgins, Matthew L. & Mishra, Sagarika
- 633-639 PSO-based high order time invariant fuzzy time series method: Application to stock exchange data
by Egrioglu, Erol
- 640-647 Estimating entrants' productivity when prices are unobserved
by Kılınç, Umut
2014, Volume 37, Issue C
- 1-15 Testing for fiscal sustainability: New evidence from the G-7 and some European countries
by Chen, Shyh-Wei
- 16-22 Rent seeking opportunities and economic growth in transitional economies
by Iqbal, Nasir & Daly, Vince
- 23-31 Long-term growth driven by a sequence of general purpose technologies
by Schaefer, Andreas & Schiess, Daniel & Wehrli, Roger
- 32-40 Forecasting exchange rates using panel model and model averaging
by Garratt, Anthony & Mise, Emi
- 41-52 Foreign aid, external debt and governance
by Qayyum, Unbreen & Din, Musleh-ud & Haider, Adnan
- 53-64 Optimal risk and dividend control problem with fixed costs and salvage value: Variance premium principle
by Yao, Dingjun & Yang, Hailiang & Wang, Rongming
- 65-78 China's potential future growth and gains from trade policy bargaining: Some numerical simulation results
by Li, Chunding & Whalley, John
- 79-88 Real convergence and its illusions
by Kolasa, Marcin
- 89-102 Conditional heteroscedasticity with leverage effect in stock returns: Evidence from the Chinese stock market
by Long, Ling & Tsui, Albert K. & Zhang, Zhaoyong
- 103-112 A dynamic duopoly model with bounded rationality based on constant conjectural variation
by Yu, Weisheng & Yu, Yu
- 113-119 Should the US streamline its tax system? Analysis on an endogenous growth model
by Gómez, Manuel A. & Sequeira, Tiago N.
- 120-126 Fiscal deficit and inflation: New evidences from Pakistan using a bounds testing approach
by Jalil, Abdul & Tariq, Rabbia & Bibi, Nazia
- 127-136 Short-run dynamics in bank credit: Assessing nonlinearities in cyclicality
by Bouvatier, Vincent & López-Villavicencio, Antonia & Mignon, Valérie
- 137-142 How integrated are real estate markets with the world market? Evidence from case-wise bootstrap analysis
by Hatemi-J, Abdulnasser & Roca, Eduardo & Al-Shayeb, Abdulrahman
- 143-148 Optimal run time for EPQ model with scrap, rework and stochastic breakdowns: A note
by Chiu, Yuan-Shyi Peter & Chang, Huei-Hsin
- 149-163 The impact of real exchange rates adjustments on global imbalances: A multilateral approach
by Allegret, Jean-Pierre & Sallenave, Audrey
- 164-174 The relations among accounting conservatism, institutional investors and earnings manipulation
by Lin, Fengyi & Wu, Chung-Min & Fang, Tzu-Yi & Wun, Jheng-Ci
- 175-183 An ensemble-based model for two-class imbalanced financial problem
by Liao, Jui-Jung & Shih, Ching-Hui & Chen, Tai-Feng & Hsu, Ming-Fu
- 184-192 International factor mobility, informal interest rate and capital market imperfection: A general equilibrium analysis
by Chaudhuri, Sarbajit & Gupta, Manash Ranjan
- 193-201 Assessing the effectiveness of monetary policy in Kenya: Evidence from a macroeconomic model
by Were, Maureen & Nyamongo, Esman & Kamau, Anne W. & Sichei, Moses M. & Wambua, Joseph
- 202-215 Corruption and growth: The role of governance, public spending, and economic development
by Dzhumashev, Ratbek
- 216-223 Calendar anomalies in cash and stock index futures: International evidence
by Floros, Christos & Salvador, Enrique
- 224-237 An integrated multi-objective model for allocating the limited sources in a multiple multi-stage lean supply chain
by Safaei, Mehdi
- 238-240 Optimal contract under brand name collaboration
by Basak, Debasmita & Mukherjee, Arijit
- 241-250 Working poverty, social exclusion and destitution: An empirical study
by Gangopadhyay, Partha & Shankar, Sriram & Rahman, Mustafa A.
- 251-254 Controls of the complex dynamics of a multi-market Cournot model
by Ahmed, E. & Elettreby, M.F.
- 255-270 Assessing fiscal episodes
by Afonso, António & Jalles, João Tovar
- 271-279 Trends in the extraction of non-renewable resources: The case of fossil energy
by Nyambuu, Unurjargal & Semmler, Willi
- 280-290 Oil price risk in the Spanish stock market: An industry perspective
by Moya-Martínez, Pablo & Ferrer-Lapeña, Román & Escribano-Sotos, Francisco
- 291-295 The time-dependent characteristics of relative mobility
by Huang, Jing & Wang, Yougui
- 296-305 Pricing foreign equity options with regime-switching
by Fan, Kun & Shen, Yang & Siu, Tak Kuen & Wang, Rongming
- 306-319 Speculative and hedging interaction model in oil and U.S. dollar markets with financial transaction taxes
by Carfí, David & Musolino, Francesco
- 320-331 Determinants of terrorism in Pakistan: An empirical investigation
by Ismail, Aisha & Amjad, Shehla
- 332-339 Growth and Foreign Direct Investment in the Pacific Island countries
by Feeny, Simon & Iamsiraroj, Sasi & McGillivray, Mark
- 340-349 The dynamics of a banking duopoly with capital regulations
by Fanti, Luciano
- 350-361 The macroeconomic and food security implications of price interventions in the Philippine rice market
by Mariano, Marc Jim M. & Giesecke, James A.
- 362-367 Dynamic sentiment asset pricing model
by Yang, Chunpeng & Zhang, Rengui
- 368-376 Wage-setting and capital in unionized markets: Evidence from South Europe
by Kazanas, Thanassis & Miaouli, Natasha
- 377-385 Gender differences in social capital investment: Theory and evidence
by Leeves, Gareth.D. & Herbert, Ric.
- 386-394 Financial development, trade openness and economic growth in African countries: New insights from a panel causality approach
by Menyah, Kojo & Nazlioglu, Saban & Wolde-Rufael, Yemane
- 395-407 Modeling structural change in the European metropolitan areas during the process of economic integration
by Longhi, Christian & Musolesi, Antonio & Baumont, Catherine
- 408-416 Stock market integration and risk premium: Empirical evidence for emerging economies of South Asia
by Abid, Ilyes & Kaabia, Olfa & Guesmi, Khaled
- 417-427 Determinants of the link between financial and economic development: Evidence from a functional coefficient model
by Herwartz, Helmut & Walle, Yabibal M.
- 428-438 Effects of direct pricing of retail payment methods in Norway
by Hromcová, Jana & Callado-Muñoz, Francisco J. & Utrero-González, Natalia
- 439-450 Extremes, return level and identification of currency crises
by Qin, Xiao & Liu, Liya
- 451-463 Time-varying exchange rate exposure and exchange rate risk pricing in the Canadian Equity Market
by Al-Shboul, Mohammad & Anwar, Sajid
- 464-475 Revisiting the inflation–output gap relationship for France using a wavelet transform approach
by Tiwari, Aviral Kumar & Oros, Cornel & Albulescu, Claudiu Tiberiu
- 476-484 External income shocks and Turkish exports: A sectoral analysis
by Berument, M. Hakan & Dincer, N. Nergiz & Mustafaoglu, Zafer
- 485-491 Factors that influence female labor force supply in China
by Chen, Jianxian & Shao, Xiaokuai & Murtaza, Ghulam & Zhao, Zhongxiu
- 492-499 Is fiscal policy stationary in China? A regional study by local government
by Liu, Tie-Ying & Su, Chi-Wei & Jiang, Xu-Zhao
- 500-506 Spatial patterns of flypaper effects for local expenditure by policy objective in Japan: A Bayesian approach
by Kakamu, Kazuhiko & Yunoue, Hideo & Kuramoto, Takashi
- 507-517 Is per capita real GDP stationary in China? Sequential panel selection method
by Lee, Kuei-Chiu
- 518-530 The 2007 financial crisis and the UK residential housing market: Did the relationship between interest rates and house prices change?
by Tse, Chin-Bun & Rodgers, Timothy & Niklewski, Jacek
2014, Volume 36, Issue C
- 1-7 Two-period trading sentiment asset pricing model with information
by Yang, Chunpeng & Li, Jinfang
- 8-17 Extreme value statistics and recurrence intervals of NYMEX energy futures volatility
by Xie, Wen-Jie & Jiang, Zhi-Qiang & Zhou, Wei-Xing
- 18-22 Asymmetric generalized impulse responses with an application in finance
by Hatemi-J, Abdulnasser
- 23-29 Corruption and decisions on opening up markets
by Dong, Quan & Bárcena-Ruiz, Juan Carlos
- 30-36 Solving a vendor–buyer integrated problem with rework and a specific multi-delivery policy by a two-phase algebraic approach
by Tseng, Chao-Tang & Wu, Mei-Fang & Lin, Hong-Dar & Chiu, Yuan-Shyi Peter
- 37-43 Purchasing power parity for 15 Latin American countries: Panel SURKSS test with a Fourier function
by He, Huizhen & Chou, Ming Che & Chang, Tsangyao
- 44-50 Forecasting growth during the Great Recession: is financial volatility the missing ingredient?
by Ferrara, Laurent & Marsilli, Clément & Ortega, Juan-Pablo
- 51-57 Vertical product differentiation under demand uncertainty
by Cheng, Yi-Ling
- 58-68 Macroeconomic equilibrium and welfare under simple monetary and switching fiscal policy rules
by Danciulescu, Cristina
- 69-78 Multi-period Markowitz's mean–variance portfolio selection with state-dependent exit probability
by Wu, Huiling & Zeng, Yan & Yao, Haixiang
- 79-87 Open Innovation in a dynamic Cournot duopoly
by Hasnas, Irina & Lambertini, Luca & Palestini, Arsen
- 88-98 Optimal exchange rate policy for a small oil-exporting country: A dynamic general equilibrium perspective
by Al-Abri, Almukhtar Saif
- 99-107 Globalization and economic growth: Evidence from two decades of transition in CEE
by Gurgul, Henryk & Lach, Łukasz
- 108-119 Do business and public sector research and development expenditures contribute to economic growth in Central and Eastern European Countries? A dynamic panel estimation
by Pop Silaghi, Monica Ioana & Alexa, Diana & Jude, Cristina & Litan, Cristian
- 120-129 Real interest rate parity hypothesis in post-Soviet countries: Evidence from unit root tests
by Öge Güney, Pelin & Hasanov, Mübariz
- 130-135 Analyses of retirement benefits with options
by Lin, Chung-Gee & Yang, Wei-Ning & Chen, Shu-Chuan
- 136-141 A novel time-series model based on empirical mode decomposition for forecasting TAIEX
by Cheng, Ching-Hsue & Wei, Liang-Ying
- 142-148 Flexible Fourier unit root test of unemployment for PIIGS countries
by Cheng, Shu-Ching & Wu, Tsung-pao & Lee, Kuei-Chiu & Chang, Tsangyao
- 149-156 Firm heterogeneity, R&D, and economic growth
by Chun, Hyunbae & Ha, Joonkyung & Kim, Jung-Wook
- 157-160 Economic growth and multiple equilibria: A critical note
by Gaspar, J. & Vasconcelos, P.B. & Afonso, O.
- 161-171 Does Purchasing Power Parity hold? New evidence from wild-bootstrapped nonlinear unit root tests in the presence of heteroskedasticity
by Su, Jen-Je & Cheung, Adrian (Wai-Kong) & Roca, Eduardo
- 172-175 Regret theory and the competitive firm
by Wong, Kit Pong
- 176-190 Volatility forecasting using high frequency data: Evidence from stock markets
by Çelik, Sibel & Ergin, Hüseyin
- 191-197 A contribution of foreign direct investment, clean energy, trade openness, carbon emissions and economic growth to energy demand in UAE
by Sbia, Rashid & Shahbaz, Muhammad & Hamdi, Helmi
- 198-203 Parameter identification for fractional Ornstein–Uhlenbeck processes based on discrete observation
by Zhang, Pu & Xiao, Wei-lin & Zhang, Xi-li & Niu, Pan-qiang
- 204-212 A real business cycle model with tradable and non-tradable goods for the Spanish economy
by Martín-Moreno, José M. & Pérez, Rafaela & Ruiz, Jesús
- 213-219 Multi-objective hedging model with the third central moment and the capital budget
by Fu, Junhui
- 220-228 Forecasting tourism demand to Catalonia: Neural networks vs. time series models
by Claveria, Oscar & Torra, Salvador
- 229-234 Volatility spillovers between the oil market and the European Union carbon emission market
by Reboredo, Juan C.
- 235-243 How to aggregate experts' discount rates: An equilibrium approach
by Jouini, Elyès & Napp, Clotilde
- 244-251 Continuous-time mean–variance portfolio selection with only risky assets
by Yao, Haixiang & Li, Zhongfei & Chen, Shumin
- 252-267 An empirical approach on labour segmentation. Applications with individual duration data
by Álvarez de Toledo, Pablo & Núñez, Fernando & Usabiaga, Carlos
- 268-281 Enriching U.S. labor results in a multi-regional CGE model
by Carrico, Caitlyn & Tsigas, Marinos
- 282-287 Coal consumption: An alternate energy resource to fuel economic growth in Pakistan
by Satti, Saqlain Latif & Hassan, Muhammad Shahid & Mahmood, Haider & Shahbaz, Muhammad
- 288-297 Sports and cultural habits by gender: An application using count data models
by Muñiz, Cristina & Rodríguez, Plácido & Suárez, María J.
- 298-308 Cost efficiency of the Chinese banking sector: A comparison of stochastic frontier analysis and data envelopment analysis
by Dong, Yizhe & Hamilton, Robert & Tippett, Mark
- 309-315 Exploring Stackelberg profit ordering under asymmetric product differentiation
by Banerjee, Dyuti S. & Chatterjee, Ishita
- 316-331 1979–2001: A Greek great depression through the lens of neoclassical growth theory
by Gogos, Stylianos G. & Mylonidis, Nikolaos & Papageorgiou, Dimitris & Vassilatos, Vanghelis
- 332-340 The impact of trading volume, number of trades and overnight returns on forecasting the daily realized range
by Todorova, Neda & Souček, Michael
- 341-347 Estimation of demand function for natural gas in Iran: Evidences based on smooth transition regression models
by Kani, Alireza H. & Abbasspour, Madjid & Abedi, Zahra
- 348-353 Monopolistic screening and uninformed buyers
by Bose, Subir
- 354-362 Predicting restaurant financial distress using decision tree and AdaBoosted decision tree models
by Kim, Soo Y. & Upneja, Arun
- 363-369 Dynamic optimal control of pollution abatement under emissions permit banking
by Li, Shoude
- 370-377 A revalidation of the savings–growth nexus in Pakistan
by Tang, Chor Foon & Tan, Bee Wah
- 378-382 Response of inflation to shocks: New evidence from Sub-Saharan African countries
by Narayan, Paresh Kumar
- 383-390 Determinants of international transmission of business cycles to Turkish economy
by Erden, Lutfi & Ozkan, Ibrahim
- 391-397 Optimal project adjustment and selection
by Huang, Xiaoxia & Xiang, Lan & Islam, Sardar M.N.
- 398-404 Network externality and incentive to invest in network security
by Liao, Chun-Hsiung & Chen, Chun-Wei
- 405-412 Financial development and poverty reduction nexus: A cointegration and causality analysis in Bangladesh
by Uddin, Gazi Salah & Shahbaz, Muhammad & Arouri, Mohamed & Teulon, Frédéric
- 413-420 Intellectual capital and productivity of Malaysian general insurers
by Chen, Fu-Chiang & Liu, Z.-John & Kweh, Qian Long
- 421-431 Co-movements of GCC emerging stock markets: New evidence from wavelet coherence analysis
by Aloui, Chaker & Hkiri, Besma
- 432-440 Causality between consumer price and producer price: Evidence from Mexico
by Tiwari, Aviral Kumar & Suresh K.G., & Arouri, Mohamed & Teulon, Frédéric
- 441-446 Climate game analyses for CO2 emission trading among various world organizations
by Wu, Pei-Ing & Chen, Chai Tzu & Cheng, Pei-Ching & Liou, Je-Liang
- 447-454 The effect of capital gains taxation on small business transfers and start-ups
by Cho, Myeonghwan
- 455-465 High debt companies' leverage determinants in Spain: A quantile regression approach
by Sánchez-Vidal, F. Javier
- 466-473 Comparison of cosmetic earnings management for the developed markets and emerging markets: Some empirical evidence from the United States and Taiwan
by Lin, Fengyi & Wu, Sheng-Fu
- 474-483 The nexus between defense expenditure and economic growth: New global evidence
by Chen, Pei-Fen & Lee, Chien-Chiang & Chiu, Yi-Bin
- 484-494 Firm's objective function and product and process R&D
by Saha, Souresh
- 495-501 Wages in a factor proportions model with energy input
by Kim, Hyeongwoo & Thompson, Henry
- 502-510 Benchmarking an optimal pattern of pollution trading: The case of Cub River, Utah
by Caplan, Arthur J. & Sasaki, Yuya
- 511-516 Do emission subsidies reduce emission? In the context of environmental R&D organization
by Ouchida, Yasunori & Goto, Daisaku
- 517-537 The financial accelerator and the real economy: A small macroeconometric model for Norway with financial frictions
by Hammersland, Roger & Træe, Cathrine Bolstad
- 541-546 Volatility transmission in agricultural futures markets
by Beckmann, Joscha & Czudaj, Robert
- 547-556 Asymmetric effects in the Polish monetary policy rule
by Sznajderska, Anna
- 557-565 Multifactor consumption based asset pricing models using the US stock market as a reference: Evidence from a panel of developed economies
by Hunter, John & Wu, Feng
- 566-576 The sovereign spread in Asian emerging economies: The significance of external versus internal factors
by Banerji, Sanjay & Ventouri, Alexia & Wang, Zilong
- 577-591 Macroeconomic policy responses to financial crises in emerging European economies
by Josifidis, Kosta & Allegret, Jean-Pierre & Gimet, Céline & Pucar, Emilija Beker
- 592-599 Globalization and income inequality: A panel data econometric approach for the EU27 countries
by Asteriou, Dimitrios & Dimelis, Sophia & Moudatsou, Argiro
- 600-606 Licensing under vertical product differentiation: Price vs. quantity competition
by Nguyen, Xuan & Sgro, Pasquale & Nabin, Munirul
- 608-611 Optimal growth theory: Challenging problems and suggested answers
by La Grandville, O. de
- 612-621 R&D, innovation activity, and the use of external numerical flexibility
by Addessi, William & Saltari, Enrico & Tilli, Riccardo
- 622-628 A time series analysis of labor productivity. Italy versus the European countries and the U.S
by Calcagnini, Giorgio & Travaglini, Giuseppe
- 629-644 Preferences for social protection: Theory and empirics
by Di Gioacchino, Debora & Sabani, Laura & Tedeschi, Simone
- 645-657 Incomplete interest rate pass-through under credit and labor market frictions
by Ciccarone, Giuseppe & Giuli, Francesco & Liberati, Danilo
- 658-665 Does employment protection legislation affect firm investment? The European case
by Calcagnini, Giorgio & Ferrando, Annalisa & Giombini, Germana
- 666-672 The productivity effect of permanent and temporary labor contracts in the Italian manufacturing sector
by Addessi, William
2013, Volume 35, Issue C
- 1-9 The meta-technology cost ratio: An indicator for judging the cost performance of CO2 reduction
by Wu, Pei-Ing & Chen, Chai Tzu & Liou, Je-Liang
- 10-20 The selection of technology for late-starters: A case study of the energy-smart photovoltaic industry
by Ma, Daw & Chang, Chia-Chin & Hung, Shiu-Wan
- 21-29 An analysis of a causal relationship between economic growth and terrorism in Pakistan
by Shahbaz, Muhammad & Shabbir, Muhammad Shahbaz & Malik, Muhammad Nasir & Wolters, Mark Edward
- 30-34 Sentiment approach to negative expected return in the stock market
by Yang, Chunpeng & Yan, Wei & Zhang, Rengui
- 35-44 One crisis, two crises…the subprime crisis and the European sovereign debt problems
by Ureche-Rangau, Loredana & Burietz, Aurore
- 45-50 Testing volatility persistence on Markov switching stochastic volatility models
by Pan, Qi & Li, Yong
- 51-58 Are Asian technology gaps due to human capital quality differences?
by Ahmed, Elsadig Musa & Krishnasamy, Geeta
- 59-70 Policy effects of the elasticity of substitution across labor types in life cycle models
by Cassou, Steven P. & Gorostiaga, Arantza & Uribe-Zubiaga, Iker
- 71-77 Demographic change and economic growth: Theory and evidence from China
by Liu, Shenglong & Hu, Angang
- 78-87 Long memory and regime switching properties of current account deficits in the US
by Chen, Shyh-Wei
- 88-98 Modelling energy and labour linkages: A CGE approach with an application to Iran
by AlShehabi, Omar Hesham
- 99-111 Is electricity more important than natural gas? Partial liberalizations of the Western European energy markets
by Golombek, Rolf & Brekke, Kjell Arne & Kittelsen, Sverre A.C.
- 112-117 Joint determination of rotation cycle time and number of shipments for a multi-item EPQ model with random defective rate
by Chiu, Yuan-Shyi Peter & Huang, Chao-Chih & Wu, Mei-Fang & Chang, Huei-Hsin
- 118-125 Dynamic relationships between oil revenues, government spending and economic growth in an oil-dependent economy
by Hamdi, Helmi & Sbia, Rashid
- 126-133 Testing the relationships between energy consumption and income in G7 countries with nonlinear causality tests
by Ajmi, Ahdi Noomen & El Montasser, Ghassen & Nguyen, Duc Khuong
- 134-139 Competition, taxation and economic growth
by Yılmaz, Ensar
- 140-144 Balance-of-payments constrained growth model for the Turkish economy
by Gökçe, Atilla & Çankal, Erhan
- 145-152 Does financial development reduce CO2 emissions in Malaysian economy? A time series analysis
by Shahbaz, Muhammad & Solarin, Sakiru Adebola & Mahmood, Haider & Arouri, Mohamed
- 153-158 Government expenditures and trade deficits in Turkey: Time domain and frequency domain analyses
by Kayhan, Selim & Bayat, Tayfur & Yüzbaşı, Bahadir