Contact information of Elsevier
Corrections
All material on this site has been provided by the respective publishers and authors. You can help
correct errors and omissions. When requesting a correction, please mention this item's handle: RePEc:eee:ecmode. See general information about how to correct material in RePEc.
For technical questions regarding this item, or to correct its authors, title, abstract, bibliographic or download information, contact: Catherine Liu (email available below). General contact details of provider: http://www.elsevier.com/locate/inca/30411 .
Content
2020, Volume 91, Issue C
- 326-340 On the relationship between body mass index and marital dissolution
by Bellido, Héctor & Marcén, Miriam
- 341-346 Can product differentiation mitigate conflicts of interest between principal stakeholders? A cournot-bertrand comparison
by Le Pape, Nicolas & Wang, Yongying
- 347-357 The innovation effect of dual-class shares: New evidence from US firms
by Cao, Xiaping & Leng, Tiecheng & Goh, Jeremy & Malatesta, Paul
- 358-385 Structural change in a growing open economy: Attitudes and institutions in Latin America and Asia
by Dávila-Fernández, Marwil J. & Sordi, Serena
- 386-402 Forecast performance in times of terrorism
by Benchimol, Jonathan & El-Shagi, Makram
- 403-420 Does rice farming shape audit quality: Evidence from signing auditors level analysis
by Xiong, Hao & Hou, Fei & Li, Hanwen & Wang, Huabing
- 421-427 Pure rent taxation and allocation of capital in a two-sector open economy: A long-run analysis
by Petrucci, Alberto
- 428-444 Prediction of volatility based on realized-GARCH-kernel-type models: Evidence from China and the U.S
by Wang, Jiazhen & Jiang, Yuexiang & Zhu, Yanjian & Yu, Jing
- 445-454 Liquidity shocks: A new solution to the forward premium puzzle
by Kumar, Vikram
- 455-462 Cross market predictions for commodity prices
by Ding, Shusheng & Zhang, Yongmin
- 463-468 Smoothing and forecasting mixed-frequency time series with vector exponential smoothing models
by Seong, Byeongchan
- 469-486 Mixed data sampling expectile regression with applications to measuring financial risk
by Xu, Qifa & Chen, Lu & Jiang, Cuixia & Yu, Keming
- 487-501 The impact of product market regulation on productivity through firm churning: Evidence from European countries
by Anderton, Robert & Di Lupidio, Benedetta & Jarmulska, Barbara
- 502-533 On the credit and exchange rate channels of central bank asset purchases in a monetary union
by Darracq Pariès, Matthieu & Papadopoulou, Niki X.
- 534-549 TFP growth in Chinese cities: The role of factor-intensity and industrial agglomeration
by Wei, Wei & Zhang, Wan-Li & Wen, Jun & Wang, Jun-Sheng
- 550-558 Inequality and credit growth in Russian regions
by El-Shagi, Makram & Fidrmuc, Jarko & Yamarik, Steven
- 559-567 The impact of macroeconomic factors on income inequality: Evidence from the BRICS
by Berisha, Edmond & Gupta, Rangan & Meszaros, John
- 568-578 Wealth inequality and financial inclusion: Evidence from South African tax and survey records
by von Fintel, Dieter & Orthofer, Anna
- 579-600 Technical change in U.S. industries
by Hossain, A K M Nurul & Serletis, Apostolos
- 601-612 Market competition and firms' social performance
by Leong, Chee Kian & Yang, Yung Chiang
- 613-632 Unemployment duration, Fiscal and monetary policies, and the output gap: How do the quantile relationships look like?
by Zamanzadeh, Akbar & Chan, Marc K. & Ehsani, Mohammad Ali & Ganjali, Mojtaba
- 633-645 Collateral rehypothecation, safe asset scarcity, and unconventional monetary policy
by Grilli, Ruggero & Giri, Federico & Gallegati, Mauro
- 646-658 Measuring systemic risk in the U.S. Banking system
by Kolari, James W. & López-Iturriaga, Félix J. & Sanz, Ivan Pastor
- 659-669 Service sharing, profit mode and coordination mechanism in the Online-to-Offline retail market
by Xu, Qi & Fu, Guanghua & Fan, Dandan
- 670-678 Trade openness, internet finance development and banking sector development in China
by Fu, Junhui & Liu, Yufang & Chen, Rongda & Yu, Xiaojian & Tang, Wen
- 679-686 Can entrepreneurship bring happiness? Evidence from China
by Zhao, Daping & Jiang, Jialing & Yin, Zhichao
- 687-693 When should firms choose a risky new technology? An oligopolistic analysis
by Zhang, Yanfang
- 696-704 Rational cost inefficiency and convergence in Chinese banks
by Matthews, Kent & Xiao, Zhiguo
- 705-719 Banking integration in ASEAN-6: An empirical investigation
by Ha, Dao & Gillet, Philippe & Le, Phuong & Vo, Dinh-Tri
- 720-735 Credit creation under multiple banking regulations: The impact of balance sheet diversity on money supply
by Xing, Xiaoyun & Wang, Mingsong & Wang, Yougui & Stanley, H. Eugene
- 736-758 Monetary policy and systemic risk-taking in the euro area banking sector
by Kabundi, Alain & De Simone, Francisco Nadal
- 759-768 Macroeconomic adjustment with managed exchange rates and capital controls: Some lessons from China
by Lai, Jennifer & Chen, Hongyi & McNelis, Paul D.
- 769-778 Trend inflation and macroeconomic stability in a small open economy
by Zhang, Bo & Dai, Wei
- 779-789 Interest rate policy and interbank market breakdown
by Nückles, Marc
- 790-803 Threshold effect of economic openness on bank risk-taking: Evidence from emerging markets
by Bui, Tung Duy & Bui, Hoai Thi Mai
- 804-818 Cash policy and the bank-firm relationship
by Cui, Weihan & Cuong, Ly Kim & Shimizu, Katsutoshi
- 819-834 Overcapacities in banking: Measurement, trends and determinants
by Gardó, Sándor & Klaus, Benjamin
- 835-851 Does corporate social responsibility reduce financial distress risk?
by Boubaker, Sabri & Cellier, Alexis & Manita, Riadh & Saeed, Asif
2020, Volume 90, Issue C
- 1-10 From command-and-control to market-based environmental policies: Optimal transition timing and China’s heterogeneous environmental effectiveness
by Tang, Maogang & Li, Xiuzhen & Zhang, Yun & Wu, Yingtao & Wu, Baijun
- 11-20 Can foreign equity funds outperform their benchmarks? New evidence from fund-holding data for China
by Zhang, Jinhua & Wang, Guipu & Yan, Cheng
- 21-31 Trade uncertainty, income, and democracy
by Tian, Jilin & Sim, Nicholas & Yan, Wenshou & Li, Yanyun
- 32-42 Asymmetric signals and skewness
by Zhen, Fang
- 43-53 Enrollment expansion and quality differentiation across higher education systems
by Meier, Volker & Schiopu, Ioana
- 54-65 Do policy burdens induce excessive managerial perks? Evidence from China’s stated-owned enterprises
by Jian, Jianhui & Li, Huaqian & Meng, Leah & Zhao, Chunxiang
- 66-78 The provision of long-term credit and firm growth in developing countries
by Léon, Florian
- 79-91 Sovereign debt and the length of economic depressions
by Guo, Minjie & McDermott, John
- 92-107 On the complex relationship between different aspects of social capital and group loan repayment
by Al-Azzam, Moh’d & Parmeter, Christopher F. & Sarangi, Sudipta
- 108-116 High-speed rail, tourist mobility, and firm value
by Zhang, Anqi & Liu, Lihua & Liu, Guangqiang
- 117-134 The role of Provincial Government Spending Composition in growth and convergence in China
by Luintel, Kul B & Matthews, Kent & Minford, Lucy & Valentinyi, Akos & Wang, Baoshun
- 135-142 Holdup and wage dispersion
by Lang, Youze & Zhu, Weichao
- 143-158 Volatility forecasting using related markets’ information for the Tokyo stock exchange
by Jayawardena, Nirodha I. & Todorova, Neda & Li, Bin & Su, Jen-Je
- 159-167 Stabilization policy and indeterminacy in a small open economy
by Zhang, Yan
- 168-181 Does board gender diversity influence firm profitability? A control function approach
by Đặng, Rey & Houanti, L’Hocine & Reddy, Krishna & Simioni, Michel
- 182-189 Testing linear relationships between non-constant variances of economic variables
by Hirukawa, Junichi & Raïssi, Hamdi
- 190-208 A worldwide analysis of trend in crop yields and yield variability: Evidence from FAO data
by Arata, Linda & Fabrizi, Enrico & Sckokai, Paolo
- 209-220 Fancy Bitcoin and conventional financial assets: Measuring market integration based on connectedness networks
by Zeng, Ting & Yang, Mengying & Shen, Yifan
- 221-234 Should a central bank react to food inflation? Evidence from an estimated model for Chile
by Ginn, William & Pourroy, Marc
- 235-253 Research and development, productive structure and economic effects: Assessing the role of public financing in Brazil
by Betarelli Junior, Admir Antonio & Faria, Weslem Rodrigues & Gonçalves Montenegro, Rosa Livia & Bahia, Domitila Santos & Gonçalves, Eduardo
- 254-272 Labor shares in the old and new EU member states - Sectoral effects and the role of relative prices
by Kónya, István & Krekó, Judit & Oblath, Gábor
- 273-287 Air conditioning and electricity expenditure: The role of climate in temperate countries
by Randazzo, Teresa & De Cian, Enrica & Mistry, Malcolm N.
- 288-301 Does formal financial development crowd in informal financing? Evidence from Chinese private enterprises
by Hou, Liming & Hsueh, Shao-Chieh & Zhang, Shuoxun
- 302-321 The macroeconomic effects of tax changes: Evidence using real-time data for the European Union
by van der Wielen, Wouter
- 322-330 Can Chinese aid win the hearts and minds of Africa’s local population?
by Xu, Zhicheng Phil & Zhang, Yu
- 331-373 Volatility spillovers and the global financial cycle across economies: Evidence from a global semi-structural model
by Gómez-Pineda, Javier G.
- 374-385 Executives’ preference for integrity and product quality: Evidence from the Chinese food industry
by Zhang, Zhihong & Wang, Pin & Xu, Huichao
- 386-396 The heterogeneity of beauty premium in China: Evidence from CFPS
by Peng, Langchuan & Wang, Xi & Ying, Shanshan
- 397-405 Aggregate labor market fluctuations under news shocks
by Zhao, Ningru & Shi, Yukun & Sun, Yang & Miao, Jiaming
- 406-416 Fiscal policy and stock market efficiency: An ARDL Bounds Testing approach
by Stoian, Andreea & Iorgulescu, Filip
- 417-427 Mandate-based welfare policies and the effect on real wage – The case of Taiwan
by Ying, Yung-hsiang & Lee, Wenli & Chang, Koyin
- 428-444 Heterogeneity within the euro area: New insights into an old story
by Coudert, Virginie & Couharde, Cécile & Grekou, Carl & Mignon, Valérie
- 445-464 The changing nature of the real exchange rate: The role of central bank preferences
by Caputo, Rodrigo & Pedersen, Michael
- 465-479 Distribution shocks in a Kaleckian model with hysteresis and monetary policy
by Nishi, Hiroshi & Stockhammer, Engelbert
- 480-493 Firm-specific information and systemic risk
by Clements, A.E. & Liao, Y.
- 494-500 Purchasing power parity vs. uncovered interest rate parity for NAFTA countries: The value of incorporating time-varying parameter model
by Yoon, Jong Cheol & Min, Dai Hong & Jei, Sang Young
- 501-515 Public debt dynamics with tax revenue constraints
by Casalin, Fabrizio & Dia, Enzo & Hughes Hallett, Andrew
- 516-526 Superior firm performance under conditional communication between top hierarchy and the subordinates
by Wang, Peng
- 527-535 Does a firm’s supplier concentration affect its cash holding?
by Zhang, Xindong & Zou, Meifeng & Liu, Weimin & Zhang, Yuefei
- 536-551 How much profit shifting do European banks do?
by Fatica, Serena & Gregori, Wildmer Daniel
2020, Volume 89, Issue C
- 1-9 Is the exchange rate a shock absorber or a source of shocks? Evidence from the U.S
by De, Kuhelika & Sun, Wei
- 10-18 Voluntary environmental regulation and firm innovation in China
by Bu, Maoliang & Qiao, Zhenzi & Liu, Beibei
- 19-31 Regulation and innovation: Examining outcomes in Chinese pollution control policy areas
by Zhuge, Liqun & Freeman, Richard B. & Higgins, Matthew T.
- 32-42 International talent inflow and R&D investment: Firm-level evidence from China
by Wei, Hao & Yuan, Ran & Zhao, Laixun
- 43-54 Estimating domestic content in China’s exports: Accounting for a dual-trade regime
by Chen, Quanrun & Chen, Xikang & Pei, Jiansuo & Yang, Cuihong & Zhu, Kunfu
- 55-71 T+1 trading mechanism causes negative overnight return
by Zhang, Bing
- 72-87 Making sense of Brexit losses: An in-depth review of macroeconomic studies
by Latorre, María C. & Olekseyuk, Zoryana & Yonezawa, Hidemichi & Robinson, Sherman
- 88-100 The Tobit cointegrated vector autoregressive model: An application to the currency market
by Grabowski, Wojciech & Welfe, Aleksander
- 101-107 Growth with many agents and wages paid ex ante
by Borissov, Kirill & Dubey, Ram Sewak
- 108-121 Employment effects of introducing a minimum wage: The case of Germany
by Holtemöller, Oliver & Pohle, Felix
- 122-141 Can monetary policy stabilise food inflation? Evidence from advanced and emerging economies
by Bhattacharya, Rudrani & Jain, Richa
- 142-152 Macroeconomic effects of monetary policy in Korea: A time-varying coefficient VAR approach
by Han, Jong-Suk & Hur, Joonyoung
- 153-165 Macroeconomic determinants of wealth inequality dynamics
by Berisha, Edmond & Meszaros, John
- 166-188 Financial frictions and stabilization policies
by de Blas, Beatriz & Malmierca, María
- 189-200 The economics of TV tune-in
by Chen, Linfeng & Hu, Qibing & Lv, Qiang
- 201-214 Do cash flow imbalances facilitate leverage adjustments of Chinese listed firms? Evidence from a dynamic panel threshold model
by Zhang, Jianhua & Zhao, Zhao & Jian, Wenqing
- 215-231 The transmission of financial shocks in an estimated DSGE model with housing and banking
by Ge, Xinyu & Li, Xiao-Lin & Zheng, Ling
- 232-244 Balance-of-Payments constrained growth dynamics: An empirical investigation
by Kvedaras, Virmantas & Garcimartín, Carlos & Astudillo, Jhonatan
- 245-255 Central bank's liquidity provision and firms' financial constraints
by Chundakkadan, Radeef & Sasidharan, Subash
- 256-272 Cross-country evidence on the relationship between regulations and the development of the life insurance sector
by Gaganis, Chrysovalantis & Hasan, Iftekhar & Pasiouras, Fotios
- 273-303 The transition of China's monetary policy regime: Before and after the four trillion RMB stimulus
by Fu, Buben & Wang, Bin
- 304-314 Tax cuts and enterprises’ R&D intensity: Evidence from a natural experiment in China
by Lan, Fei & Wang, Wei & Cao, Qingzi
- 315-336 When old meets young? Germany's population ageing and the current account
by Schön, Matthias & Stähler, Nikolai
- 337-350 The rationality of irrationality in times of financial crises
by Huck, Nicolas & Mavoori, Hareesh & Mesly, Olivier
- 351-366 Taylor Rule implementation of the optimal policy at the zero lower bound: Does the cost channel matter?
by Chattopadhyay, Siddhartha & Ghosh, Taniya
- 367-377 Consumer confidence and consumption expenditure in Indonesia
by Juhro, Solikin M. & Iyke, Bernard Njindan
- 378-396 Religiosity and the adoption of formal financial services
by Ji, Yaling
- 397-413 Price volatility spillovers between supply chain and innovation of financial pledges in China
by Hu, Haiqing & Chen, Di & Sui, Bo & Zhang, Lang & Wang, Yinyin
- 414-426 Directors’ and officers’ liability insurance and firm innovation
by Wang, Jialong & Zhang, Jian & Huang, Haoyue & Zhang, Fan
- 427-443 Structural analysis with mixed-frequency data: A model of US capital flows
by Bacchiocchi, Emanuele & Bastianin, Andrea & Missale, Alessandro & Rossi, Eduardo
- 444-463 Foreign aid, institutional quality and economic growth: Evidence from the developing world
by Maruta, Admasu Asfaw & Banerjee, Rajabrata & Cavoli, Tony
- 464-475 Does top management Team’s academic experience promote corporate innovation? Evidence from China
by Shen, Huayu & Lan, Fengyun & Xiong, Hao & Lv, Jun & Jian, Jianhui
- 476-483 Household-level analysis of the impacts of electricity consumption on welfare and the environment in Cambodia: Empirical evidence and policy implications
by Han, Phoumin & Kimura, Fukunari & Sandu, Suwin
- 484-501 On the cross-sectional relation between exchange rates and future fundamentals
by Kharrat, Sabrine & Hammami, Yacine & Fatnassi, Ibrahim
- 502-511 Paying for freedom: Indentured labour and strategic default
by Bose, Pinaki & Compton, Ryan A. & Basu, Arnab K.
- 512-522 Modelling income distribution using the log Student’s t distribution: New evidence for European Union countries
by Callealta Barroso, Francisco Javier & García-Pérez, Carmelo & Prieto-Alaiz, Mercedes
- 523-545 Technological spillover through industrial and regional linkages: Firm-level evidence from China
by Hu, Yong & Fisher-Vanden, Karen & Su, Baozhong
- 546-558 Macro-uncertainty and financial stress spillovers in the Eurozone
by Cipollini, Andrea & Mikaliunaite, Ieva
- 559-576 Dividend policy and investor pressure
by Driver, Ciaran & Grosman, Anna & Scaramozzino, Pasquale
- 577-589 Exploring GDP growth volatility spillovers across countries
by Abosedra, Salah & Arayssi, Mahmoud & Ben Sita, Bernard & Mutshinda, Crispin
- 590-600 Economic policy uncertainty and mergers and acquisitions: Evidence from China
by Sha, Yezhou & Kang, Chenlei & Wang, Zilong
- 601-610 The role of gender and its potential channels to affect self-employment in Taiwan
by Lo, Kuang-Ta & Pan, Jiun-Nan & Peng, Shi-Shu
2020, Volume 88, Issue C
- 1-13 Wealth inequality, governance and economic growth
by Islam, Md. Rabiul & McGillivray, Mark
- 14-24 Are cyclical patterns of international housing markets interdependent?
by Chang, Kuang-Liang
- 25-38 Price connectedness between green bond and financial markets
by Reboredo, Juan C. & Ugolini, Andrea
- 39-46 Economies of scope and scale in the Norwegian electricity industry
by Mydland, Ørjan & Kumbhakar, Subal C. & Lien, Gudbrand & Amundsveen, Roar & Kvile, Hilde Marit
- 47-58 A new investor sentiment indicator (ISI) based on artificial intelligence: A powerful return predictor in China
by Ruan, Qingsong & Wang, Zilin & Zhou, Yaping & Lv, Dayong
- 59-81 Fiscal devaluation and economic activity in the EU
by Ciżkowicz, Piotr & Radzikowski, Bartosz & Rzońca, Andrzej & Wojciechowski, Wiktor
- 82-97 Progressive taxation and human capital as determinants of inflation persistence
by Geronikolaou, George & Spyromitros, Eleftherios & Tsintzos, Panagiotis
- 98-112 Heterogeneous firms, corporate taxes and export behavior: A firm-level investigation for Italy
by Federici, Daniela & Parisi, Valentino & Ferrante, Francesco
- 113-131 Economic uncertainty in South Africa
by Binge, Laurie H. & Boshoff, Willem H.
- 132-150 Cross-country fiscal policy spillovers and capital-skill complementarity in integrated capital markets
by Davoine, Thomas & Molnar, Matthias
- 151-162 Optimum government size and economic growth in case of Indian states: Evidence from panel threshold model
by Akram, Vaseem & Rath, Badri Narayan
- 163-180 Credit constraints and productivity of SMEs: Evidence from Canada
by Cao, Shutao & Leung, Danny
- 181-187 Lack of commitment to future privatization policies may lead to worst welfare outcome
by Haraguchi, Junichi & Matsumura, Toshihiro
- 188-199 On the impact of public policies and wage formation on business investment in research and development
by Buyse, Tim & Heylen, Freddy & Schoonackers, Ruben
- 200-210 Assessing downside and upside risk spillovers across conventional and socially responsible stock markets
by Ben Ameur, Hachmi & Jawadi, Fredj & Jawadi, Nabila & Cheffou, Abdoulkarim Idi
- 211-222 Wage and price differences, technology gap and labor flow dynamics
by Li, Shang-ao & Gong, Liutang & Pan, Shan & Luo, Feng
- 223-243 A two-sector Kaleckian model of growth and distribution with endogenous productivity dynamics
by Nishi, Hiroshi
- 244-262 Wage rigidities and unemployment fluctuations in a small open economy
by Rhee, Hyuk Jae & Song, Jeongseok
- 263-279 Environmentally aware households
by Delis, Manthos D. & Iosifidi, Maria
- 280-292 The effect of observables, functional specifications, model features and shocks on identification in linearized DSGE models
by Ivashchenko, Sergey & Mutschler, Willi
- 293-311 Should monetary policy lean against the wind? Simulations based on a DSGE model with an occasionally binding credit constraint
by Zacek, Jan
- 312-319 Capacity investment and green R&D in a dynamic oligopoly under the potential shift in environmental damage
by Ni, Jian & Huang, Hongzhi & Wang, Peipei & Zhou, Wei
- 320-340 Is the slope of the Phillips curve time-varying? Evidence from unobserved components models
by Fu, Bowen
- 341-355 Improving forecast accuracy of financial vulnerability: PLS factor model approach
by Kim, Hyeongwoo & Ko, Kyunghwan
- 356-375 Evaluating sovereign risk spillovers on domestic banks during the European debt crisis
by Keddad, Benjamin & Schalck, Christophe
- 376-385 How does reinsurance and derivatives usage affect financial performance? Evidence from the UK non-life insurance industry
by Shiu, Yung-Ming
- 386-397 Expectile CAPM
by Hu, Wei & Zheng, Zhenlong
- 398-407 European country heterogeneity in financial distress prediction: An empirical analysis with macroeconomic and regulatory factors
by Fernández-Gámez, Manuel Ángel & Soria, Juan Antonio Campos & Santos, José António C. & Alaminos, David
- 408-419 Optimal investment and consumption with return predictability and execution costs
by Ma, Guiyuan & Siu, Chi Chung & Zhu, Song-Ping
- 420-430 A Copula Nonlinear Granger Causality
by Kim, Jong-Min & Lee, Namgil & Hwang, Sun Young
- 431-446 A tool for fiscal policy planning in a medium-term fiscal framework: The FMM-MTFF model
by Suescun, Rodrigo
2020, Volume 87, Issue C
- 1-7 International production fragmentation, trade in intermediate goods and environment
by Zhang, Jingjing
- 8-23 Inflation literacy and inflation expectations: Evidence from Austrian household survey data
by Rumler, Fabio & Valderrama, María Teresa
- 24-33 Economic policy uncertainty and the Chinese stock market volatility: Novel evidence
by Li, Tao & Ma, Feng & Zhang, Xuehua & Zhang, Yaojie
- 34-58 Culture and the capital–performance nexus in dual banking systems
by Bitar, Mohammad & Hassan, M. Kabir & Saad, Wadad
- 59-71 Political incentives and local government spending multiplier: Evidence for Chinese provinces (1978–2016)
by Zhang, Wen
- 72-91 Macroeconomic implications of modeling the Internal Revenue Code in a heterogeneous-agent framework
by Moore, Rachel & Pecoraro, Brandon
- 92-108 Limited attention, salience of information and stock market activity
by Ramos, Sofia B. & Latoeiro, Pedro & Veiga, Helena
- 109-120 Does state-level per capita income affect juvenile delinquency? An empirical analysis for Indian states
by Dutta, Nabamita & Jana, Dipparna & Kar, Saibal
- 121-130 Policy choice for end-of-pipe abatement technology adoption under technological uncertainty
by Zeng, Bingxin & Zhu, Lei & Yao, Xing
- 131-147 The path to shared prosperity: Leveraging financial services outreach to create decent jobs in developing countries
by Coulibaly, Aïssata & Yogo, Urbain Thierry
- 148-157 Does measurement error matter in volatility forecasting? Empirical evidence from the Chinese stock market
by Wang, Yajing & Liang, Fang & Wang, Tianyi & Huang, Zhuo
- 158-171 The effects of technological development on the labor share of national income
by Ergül, Özgür & Göksel, Türkmen
- 172-184 Welfare and equity impacts of cross-border factor mobility in Bangladesh: A general equilibrium analysis
by Hossain, Sharif M. & Hosoe, Nobuhiro
- 185-196 Capital accumulation through studying abroad and return migration
by Naito, Takumi & Zhao, Laixun
- 197-211 Time-varying money demand and real balance effects
by Benchimol, Jonathan & Qureshi, Irfan
- 212-224 Safe haven, hedge and diversification for G7 stock markets: Gold versus bitcoin
by Hussain Shahzad, Syed Jawad & Bouri, Elie & Roubaud, David & Kristoufek, Ladislav
- 225-237 A test for inflation persistence in Nigeria using fractional integration & fractional cointegration techniques
by Tule, Moses K. & Salisu, Afees A. & Ebuh, Godday U.
- 238-253 Domestic and global output gaps as inflation drivers: What does the Phillips curve tell?
by Jašová, Martina & Moessner, Richhild & Takáts, Előd
- 254-266 Consumption aspirations in dirty and clean goods and economic growth
by Chen, Jhy-hwa & Yang, Chih-yu & Shieh, Jhy-yuan & Chang, Juin-jen
- 267-279 Macroeconomic implications of dynamically inconsistent preferences
by Choi, Yoonseok
- 280-306 A dynamic CGE model for jointly accounting ageing population, automation and environmental tax reform. European Union as a case study
by Costantini, Valeria & Sforna, Giorgia
- 307-321 What do we know about fiscal sustainability across Indian states?
by Akram, Vaseem & Rath, Badri Narayan
- 322-343 Balance sheet changes and the impact of financial sector risk-taking on fiscal multipliers
by Makrelov, Konstantin & Arndt, Channing & Davies, Rob & Harris, Laurence
- 344-357 Simulated economic impacts in applied trade modelling: A comparison of tariff aggregation approaches
by Himics, Mihaly & Listorti, Giulia & Tonini, Axel
- 358-371 Financial frictions and the futures pricing puzzle
by ap Gwilym, Rhys & Ebrahim, M. Shahid & El Alaoui, Abdelkader O. & Rahman, Hamid & Taamouti, Abderrahim
- 372-382 Quality differentiation and product innovation licensing
by Zou, Yuxiang & Chen, Tai-Liang
- 383-393 Inflation forecasting using the New Keynesian Phillips Curve with a time-varying trend
by McKnight, Stephen & Mihailov, Alexander & Rumler, Fabio
- 394-400 Growth, R&D, and uncertainty
by Tsuboi, Mizuki
- 401-415 Heterogeneity risks and negative externality
by Ba, Shusong & Li, Lu & Huang, Wenli & Yang, Chen
- 416-428 The role of income pooling and decision-making responsibilities in material deprivation
by Bárcena-Martín, Elena & Blázquez, Maite & Moro-Egido, Ana I.
- 429-446 What impact do differences in financial structure have on the macro effects of bank capital requirements in the United States and Australia?
by Nassios, Jason & Giesecke, James A. & Dixon, Peter B. & Rimmer, Maureen T.
- 447-460 Bank loan supply shocks and leverage adjustment
by Shikimi, Masayo
- 461-470 CEO international experience and foreign IPOs
by Duan, Tinghua & Hou, Wenxuan & Rees, William
- 471-479 Waiting as a signal: Why women are delaying fertility?
by Ng, Wung Lik & Wang, Yin-Chi
- 480-495 Bankruptcy regime and the banking system
by Stef, Nicolae & Dimelis, Sophia
- 496-510 Do mutual fund flows affect the French corporate bond market?
by Coudert, Virginie & Salakhova, Dilyara
2020, Volume 86, Issue C
- 1-9 Regime changes and fiscal sustainability in Kenya
by Irungu, William Nganga & Chevallier, Julien & Ndiritu, Simon Wagura
- 10-18 Does global value chains participation really promote skill-biased technological change? Theory and evidence from China
by Shen, Chunmiao & Zheng, Jianghuai
- 19-38 The effect of risk-taking behavior on profitability: Evidence from futures market
by Cheng, Teng Yuan & Lee, Chun I. & Lin, Chao Hsien
- 39-53 Does University-Industry collaboration improve innovation efficiency? Evidence from Chinese Firms⋄
by Shi, Xing & Wu, Yanrui & Fu, Dahai
- 54-68 Crude oil and BRICS stock markets under extreme shocks: New evidence
by Wang, Lu & Ma, Feng & Niu, Tianjiao & He, Chengting
- 69-87 A theory of economic development and dynamics of Chinese economy
by Lu, Saite & Shen, Jim H. & Li, Weiping & Zhang, Jun
- 88-100 Commercialization of a demand-enhancing innovation: The release of a new apple variety by a public university
by Akhundjanov, Sherzod B. & Gallardo, R. Karina & McCluskey, Jill J. & Rickard, Bradley J.
- 101-116 Foreign output shock in small open economies: A welfare evaluation of monetary policy regimes
by Alba, Joseph D. & Liu, Jingting & Chia, Wai-Mun & Park, Donghyun
- 117-132 A Keynesian Dynamic Stochastic Disequilibrium model for business cycle analysis
by Schoder, Christian
- 133-147 Time-varying dependence in European equity markets: A contagion and investor sentiment driven analysis
by Niţoi, Mihai & Pochea, Maria Miruna
- 148-169 Structural change, the push-pull hypothesis and the Spanish labour market
by Monteforte, Fabio