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Content
1994, Volume 3, Issue 3
1994, Volume 3, Issue 2
- 133-151 Evaluating a neglected dimension of economic development: Mortality, risk aversion and uncertainty
by Bishop, John A. & Formby, John P. & Zeager, Lester A.
- 153-172 An empirical investigation of the existence of market discipline of off-balance sheet banking risk
by Hassan, M. Kabir
- 173-181 The stability of the cournot solution under adaptive expectation: A further generalization
by Szidarovsky, Ferenc & Rassenti, Stephen & Yen, Jerome
- 183-193 Imperfect information and agency cost models: Further empirical tests
by Bernstein, David
- 195-220 Macroeconomic policies, exchange rate regimes and national stock markets
by Dropsy, Vincent & Nazarian-Ibrahimi, Fatemeh
- 221-231 Dollar value and stock returns
by Fang, Hsing & Loo, Jean C. H.
- 233-237 A note on the newly created Budapest commodity exchange
by Murphy, A. & Sabov, Z.
- 239-243 International trade and trade policy : Direct all correspondence to: Henry Thompson, Department of Economics, Auburn University, Auburn, AL 36849
by Thompson, Henry
- 245-247 Dynamic optimization. The calculus of variations and optimal control in economics and management : by Morton I. Kamien and Nancy L. Schwartz. Second Edition. North-Holland (Advanced Textbooks in Economics), Amsterdam and New York, 1991. Pp. xvii+377. ISBN0-444- 01609-0
by Petit, Maria Luisa
1994, Volume 3, Issue 1
- 1-26 An American call on the difference of two assets
by Bjerksund, Petter & Stensland, Gunnar
- 27-44 Dynamic adjustments of inventories and money balances in Non-Walrasian economics
by Hsu, Chen-Min
- 45-56 Expected returns and volatility in European stock markets
by Corhay, Albert & Rad, Alireza Tourani
- 57-72 Inflation variability and money demand in developing countries
by Deutsch, Joseph & Zilberfarb, Ben-Zion
- 73-92 International diversification: New evidence on market segmentation
by Glassman, Debra A. & Riddick, Leigh A.
- 93-105 Production and trade with sector specific international capital
by Thompson, Henry
- 107-118 A note on reserve requirements and public finance
by Bacchetta, Philippe & Caminal, Ramon
- 119-123 A note on the implications of traded options on the pricing of the underlying stock
by Berglund, Tom & Ringbom, Staffan
- 125-128 A reply to "a note on the implications of traded options on the pricing of the underlying stock"
by Duan, Jin-Chuan & Moreau, Arthur F. & Sealey, C. W.
- 129-131 Game theory : Drew Fudenberg and Jean Tirole
by Prasad, Kislaya
1993, Volume 2, Issue 4
- 327-348 A multicriteria approach to country risk evaluation: With an example employing Japanese data
by Cook, Wade D. & Hebner, Kevin J.
- 349-363 Speculative behavior in an experimental cash/asset portfolio
by Ansic, David & Hey, John D.
- 365-375 Production and savings under uncertainty
by Saha, Atanu & Innes, Robert & Pope, Rulon
- 377-386 Bond market seasonality and business cycles
by Chan, Kam C. & Wu, H. K.
- 387-401 International factor flow policy under free trade between diversified economies
by Firoozi, Fathali
- 403-415 Exploiting volatility movements in the Sydney futures exchange's bank bill contract
by Hunt, B. F. & Bhar, R.
- 417-424 Constrained sales maximization under a linear technology
by J. Panik, Michael
- 425-427 New Keynesian economics, volume 2 : Edited by N. Gregory Mankiw and David Romer, MIT Press, 1991, 450 pp
by Lastrapes, William D.
- 429-432 Economic behavior and institutions : by Thrainn Eggertsson. Cambridge: Cambridge University Press, 1990, xv + 385 pp. (cloth)
by Khalil, Elias L.
1993, Volume 2, Issue 3
- 213-232 Variable labor supply in a general equilibrium model of production under uncertainty
by Yu, Eden S. H. & Ingene, Charles A.
- 233-249 The private value of having access to derivative securities: An example using commodity options
by Bullock, David W. & Hayes, Dermot J.
- 251-265 Stock prices, efficiency and cointegration: The case of the UK
by MacDonald, R. & Power, D.
- 267-285 The missing fisher effect: A theory with some tests using UK data
by Coleman, William
- 287-292 Segmented markets, differential information, and asset return dynamics
by Badrinath, S. G. & Kale, Jayant R. & Noe, Thomas H.
- 293-316 A comparison of the balance sheet strategies of foreign-owned and domestic-owned U.S. banks
by Haslem, John A. & Scheraga, Carl A. & Bedingfield, James P.
- 317-326 Specifying an economic model combining mixed expectations and random coefficient models
by Hoque, Asraul
1993, Volume 2, Issue 2
- 103-114 Trade, knowledge and government research policy
by Zhang, Wei-Bin
- 115-127 Analytic approximation for the valuation of American put options on stocks with known dividends
by Fischer, Edwin O.
- 129-147 Anticipated inflation and capital in a multisector monetary economy
by Marquis, Milton H. & Reffett, Kevin L.
- 149-162 Testing market efficiency with information on individual investor performance
by Gabriel, Paul E. & Marsden, James R. & Stanton, Timothy J.
- 163-179 Strategic trade policies under instability
by Bigman, David & Karp, Larry S.
- 181-193 The reaction of foreign stock markets to U.S. discount rate changes
by Johnson, Robert R. & Jensen, Gerald R.
- 195-206 Inflation, investment decisions and the Fisher Effect
by Zion, Uri Ben & Spiegel, Uriel & Yagil, Joseph
- 207-208 International Mergers & Acquisitions : Terence E. Cooke in association with Arthur Young International. Original book published in 1988 by Basil Blackwell Inc. 516 pp
by Gregory, Deborah W.
- 209-212 New Keynesian economics: Volume 1 imperfect competition and sticky prices : Edited by N. Gregory Mankiw and David Romer, 1991 MIT Press, 430 pp
by Davis, George K.
1993, Volume 2, Issue 1
- 1-16 An equilibrium model of international asset pricing and forward exchange rates
by Lai, Tsong-Yue
- 17-27 Exchange rate policy and the average rate of output in a simple nonlinear model
by Denton, Frank T. & Scarth, William M. & Xue, Wen
- 29-41 Risk premiums: Raising capital in foreign markets: : The case of Canada in the U.S. capital market
by Burnie, David A.
- 43-58 An analysis of tourists' consumption of non-traded goods and services on the welfare of the domestic consumers
by Hazari, Bharat R. & A-Ng
- 59-80 A measure of the strategic loan portfolio management of full service U.S. banks with foreign owners
by Stanley, Thomas O. & Roger, Craig & McManis, Bruce L.
- 81-86 A note on the inefficiency cost of non-optimal input mix
by Narayanan, Rangesan & Bhattacharyya, Arunava & Shane, Ronald L.
- 87-98 Money, income, and causality in Pacific-Basin countries
by Chen, Shaw K. & Lai, Gene C.
- 99-102 International financial markets, second edition : J. Orlin Grabbe, New York: Elsevier, 1991
by C.Y. Kwok, Chuck
1992, Volume 1, Issue 4
- 295-303 The problem of social costs revisited--the 'efficiency' of Laissez-Faire over Pigouvian interventions
by Wirl, Franz
- 305-314 The cost of capital for a multinational corporation
by Ang, James S. & Lai, Tsong-Yue
- 315-327 Do stock prices follow random walk?: : Some international evidence
by Lee, Unro
- 329-340 A maximum likelihood approach to estimating dynamic models with unobserved independent variables
by Hodges, Paul E.
- 341-345 Production decisions in the presence of options
by Machnes, Yaffa
- 347-369 Do concentrated shareholdings mitigate the agency problem of "free cash flow"? some evidence
by Garvey, Gerald
- 371-378 Technology and price in a non-cooperative framework
by Kabiraj, Tarun & Marjit, Sugata
- 379-387 Deficits and interest rates: : An analysis examining some neglected variables
by Cebula, Richard J. & Hung, Chao-Shun & Manage, Neela
- 389-391 Geography and trade : by Paul Krugman, Cambridge: The MIT Press, 1991, pp xi + 142
by Miyagiwa, Kaz
1992, Volume 1, Issue 3
- 195-202 Optimum tariff and production externalities
by Choi, Jai-Young & Yu, Eden S. H.
- 203-217 A bilinear paradigm test of the Arbitrage Pricing Theory
by Otuteye, Eben
- 219-234 An econometric study on the yen-pound exchange rate
by Parikh, Ashok
- 235-246 Immunizing bond portfolios in a multiple term structure economy
by Nawalkha, Sanjay K. & Lacey, Nelson J.
- 247-259 Petroleum demand, income feedback effects, and OPEC's pricing behavior: Some theoretical and empirical results
by Darrat, A. F. & Gilley, O. W. & Meyer, D. J.
- 261-270 Forecasting accuracy of alternative dividend models
by Lee, Cheng-Few & Liaw, K. Thomas & Wu, Chunchi
- 271-289 Industrial structure, factor intensity and the Leontief Paradox
by Austin, Kenneth E.
- 291-293 Antitrust economics on trial: A dialogue on the new laissez-faire : Walter Adams and James W. Brock, Princeton, New Jersey: Princeton University Press, 1991, xiv + 132
by Frasca, Ralph
1992, Volume 1, Issue 2
- 107-119 Non-reversed investment and borrowing, transaction costs, and covered interest parity
by Levi, Maurice D.
- 121-132 Imported materials prices, urban unemployment, and welfare
by Chao, Chi-Chur & Yu, Edens S. H.
- 147-157 Modeling the prime rate: An ordered-response approach
by Forbes, Shwan M. & Paul, Chris II
- 159-168 Investigation of the long-run Quantity Theory of Money relationship
by Karras, Georgios
- 169-176 Foreign exchange futures options: A parity-based test of learning effects
by Supapol, Atipol Bhanich & Schnabel, Jacques A.
- 177-187 Impact of the debt reduction plan on the value of LDC debt
by Madura, Jeff & Zarruk, Emilio R.
- 189-194 Velocity and money growth variability: Some further evidence
by Payne, James E.
1992, Volume 1, Issue 1
- 1-14 Some implications of traded options on the pricing of the underlying stock
by Duan, Jin-Chuan & Moreau, Arthur F. & Sealey, C. W.
- 15-32 Transfers, structural change, welfare, and unemployment in a North-South framework
by Hazari, Bharat R. & Sgro, Pasquale M.
- 33-41 Credit risk measurement
by Paroush, Jacob
- 43-54 Is relative risk aversion greater than one?
by Choi, E. Kwan & Menezes, Carmen F.
- 55-72 Discount rate policy under alternative operating procedures: An empirical investigation
by Hakkio, Craig S. & Pearce, Douglas K.
- 73-87 Capital gains preference and the prices of dividend paying securities: A test of the dividend tax aversion hypothesis
by Blose, Laurence E. & Martin, John D.
- 103-105 Foreign direct investment in the United States : Edward M. Graham and Paul R. Krugman, Washington, DC: Institute for International Economics, 1989, pp. xiii + 161
by Chotigeat, T.