Content
January 2024, Volume 51, Issue 9
- 137-147 Environmental awareness and firm creation
by K. Peren Arin & Alessandro De Iudicibus & Nagham Sayour & Nicola Spagnolo - 148-176 Time-varying parameters in monetary policy rules: a GMM approach
by Christina Anderl & Guglielmo Maria Caporale
February 2024, Volume 51, Issue 9
- 177-199 Strategic flexibility in healthcare: an exploration of real options
by Felipa de Mello-Sampayo - 200-211 A three-period extension of the CAPM
by Helga Habis
March 2024, Volume 51, Issue 9
- 212-231 Networks, ownership and productivity does firm age play a moderating role?
by Francesco Aiello & Paola Cardamone & Lidia Mannarino & Valeria Pupo
November 2023, Volume 51, Issue 9
- 75-111 Cross country comparisons of environmental efficiency under institutional quality. Evidence from European economies
by Cristian Barra & Pasquale Marcello Falcone
August 2023, Volume 51, Issue 9
- 36-58 The role of relatedness in firm interrelationships
by Daragh O'Leary & Justin Doran & Bernadette Power
December 2023, Volume 51, Issue 9
June 2023, Volume 51, Issue 9
- 21-35 The salience of informed risk: an experimental analysis
by Marco Santorsola & Rocco Caferra & Andrea Morone
September 2023, Volume 51, Issue 9
- 59-74 Property tax incentives to divorce strategically
by Raffaella Santolini
May 2023, Volume 51, Issue 9
- 1-20 Financial development, growth and productivity
by Cosimo Magazzino & Fabio Gaetano Santeramo
August 2023, Volume 51, Issue 3
- 569-586 Asymmetric causality between Bitcoin and tech stocks in the US market using mixed frequency data
by Abbas Valadkhani - 609-630 Effect of military service on fertility: evidence from the 2001 draft suspension in Spain
by Stefani Milovanska-Farrington - 631-648 Asymmetric effects of monetary policy on non-bank financial intermediation (NBFI) assets: a panel quantile regression approach
by Mugabil Isayev & Farid Irani & Amirreza Attarzadeh - 649-666 Has the heterogeneity of culture, investor sentiment and uncertainty altered bank stock returns in the MENA region?
by Syed Faisal Shah - 667-691 The non-linear impact of financial development on income inequality: evidence from dynamic panel threshold model
by Shobhana Sikhawal - 692-711 The effect of NPLs management in the PIIGS banking efficiency: an approach using non-parametric partial order-m frontiers
by Emmanouil G. Chalampalakis & Ioannis Dokas & Eleftherios Spyromitros - 712-729 Climate change and agricultural productivity in Asian and Pacific countries: how does research and development matter?
by Cong Minh Huynh
July 2023, Volume 51, Issue 3
- 501-527 Unpacking the dynamics of military spending in a globalized world: economic impacts with a network GVAR model
by Claire Economidou & Dimitris Karamanis & Alexandra Kechrinioti & Konstantinos N. Konstantakis & Panayotis G. Michaelides - 528-545 From pandemic to war: dynamics of volatility spillover between BRICS exchange and stock markets
by Mohit Kumar - 546-568 The dance of dependence: a macro-perspective on financial instability and its complex influence on the Euro-American green markets
by Brahim Gaies & Najeh Chaâbane - 587-608 Monetary policy and nonperforming loan ratios in a monetary union; a counterfactual study
by Ayuba Napari & Rasim Ozcan & Asad Ul Islam Khan
September 2023, Volume 51, Issue 2
- 394-407 Shirking and capital accumulation under oligopolistic competition
by Haiwen Zhou & Ruhai Zhou
June 2023, Volume 51, Issue 2
- 287-318 The real exchange rate and economic growth: a meta-analysis
by Masagus M. Ridhwan & Affandi Ismail & Peter Nijkamp - 319-337 Current earnings, persistence and schooling returns
by Corrado Andini & José Eusébio Santos - 338-356 Analyzing the impact of positive and negative remittance inflow shocks on economic growth of India
by Imran Khan - 357-374 Herding behavior before and after COVID-19 pandemic: evidence from the Vietnam stock market
by Yen Vy Bao Nguyen & An Hoang Kim Vo - 375-393 Shadow economy–financial sustainability nexus: the case of Palestine
by Mohammad Kamal Abuamsha & Lana Majdi Hattab - 408-423 Business activity and business confidence: a new volatility transmission relationship
by Athanasios Tsagkanos & Dimitrios Koumanakos & Michalis Pavlakis - 424-436 Housing price convergence: new evidence from Indian cities
by Vaseem Akram & Rohan Mukherjee - 437-454 Pensions and retirement systems research: a retrospective assessment from 1910 to 2022 using bibliometric analysis
by Godfred Matthew Yaw Owusu & Regina Mensah Onumah & Amanda Efua Essel-Donkor
July 2023, Volume 51, Issue 2
- 261-286 Are green and socially responsible funds more efficient than conventional funds? A DEA approaches
by Maria Elisabete Duarte Neves & Maria do Castelo Gouveia & Adriana Martins & Joaquim Carlos da Costa Pinho - 455-470 Business cycles, stock market wealth, and gambling at the racetracks
by Cyrus A. Ramezani & James J. Ahern - 471-484 The effect of population aging on environmental degradation: new evidence and insights
by George Hondroyiannis & Evangelia Papapetrou & Pinelopi Tsalaporta - 485-498 On a regime switching illiquid high volatile prediction model for cryptocurrencies
by Youssef El-Khatib & Abdulnasser Hatemi-J
October 2023, Volume 51, Issue 1
- 1-23 Performance evaluation of commercial bank branches in dynamic competitive conditions: a network DEA model with serial and cross-shared resources
by Pejman Shabani & Mohsen Akbarpour Shirazi - 39-70 Monetary policy in a small open economy with non-separable government spending
by Haytem Troug & Ernil Sabaj
May 2023, Volume 51, Issue 1
- 96-110 Homeownership in the equilibrium unemployment theory
by Gaetano Lisi - 111-125 The impact of anti-COVID-19 restrictions and transitory unemployment insurance policies on unemployment in Russia
by Elena Kotyrlo - 126-144 Global impacts of oil price shocks: the trade effect
by Saeed Moshiri & Elham Kheirandish - 145-164 Macroeconomic impact of the supply shock during COVID-19 pandemic in India
by Apica Sharma & Paras Sachdeva - 165-184 Can market risk explain the systemic risk? Evidence from the US banking industry
by Panagiotis Tzouvanas - 185-201 The nonlinear nexus between renewable energy consumption and economic growth in OECD countries: evidence from PTR and PSTR estimates
by Afifa Ferhi & Helali Kamel - 238-260 Measuring the economic performance of transition economies: DEA-bootstrapping approach
by Milena Jakšić & Ana Krstić Srejović & Marina Milanović & Predrag Mimović
April 2023, Volume 51, Issue 1
- 24-38 Blockchain, sport and fan tokens
by David Vidal-Tomás
June 2023, Volume 51, Issue 1
- 202-221 The impacts of reforming agricultural policy support on cereal prices: a CGE modeling approach
by Harold Glenn A. Valera & Badri Narayanan Gopalakrishnan & Sumathi Chakravarthy & Sindhu Bharathi & Jean Balié & Valerien Olivier Pede - 222-237 Inflation and energy poverty: threshold effect of governance quality in Africa
by John Kweku Mensah Mawutor & Freeman Christian Gborse & Richard Agbanyo & Ernest Sogah
September 2023, Volume 51, Issue 1
- 71-95 Asymmetry in the prices of crude oil and diesel and gasoline prices in Brazil
by Gerrio Barbosa & Daniel Sousa & Cássio da Nóbrega Besarria & Robson Lima & Diego Pitta de Jesus
April 2023, Volume 50, Issue 8
- 1748-1774 A model of collusion formation and measurement in the open ascending bid auctions in the agricultural markets
by Dipankar Das - 1775-1788 Do oil price shocks differently matter for oil exporter and importer developing countries?
by Süleyman Değirmen & Cengiz Tunç & Ömür Saltık & Wasim ul Rehman - 1789-1823 Why do households repay their debt in UK during the COVID-19 crisis?
by Emmanuel Mamatzakis & Mike G. Tsionas & Steven Ongena - 1824-1846 Russia–Ukraine conflict and its impact on global inflation: an event study-based approach
by Prince Kumar Maurya & Rohit Bansal & Anand Kumar Mishra - 1847-1865 When does self-employment equalise income? Evidence from developing countries
by Sridevi Yerrabati - 1866-1888 Twitter sentiment and stock market: a COVID-19 analysis
by Apostolos G. Katsafados & Sotirios Nikoloutsopoulos & George N. Leledakis - 1889-1907 Revisiting the trade openness–unemployment nexus: an application of the novel JKS panel causality test with static and dynamic panel models
by Mudaser Ahad Bhat & Mirza Nazrana Beg - 1926-1938 Business cycle transmission between France and United Kingdom
by Mateusz Dadej
March 2023, Volume 50, Issue 8
- 1637-1646 Does happiness raise test scores – does fear lower them – experimental evidence
by Charles N. Noussair & Kierstin Seaback - 1647-1671 The Financial Conditions Index as an additional tool for policy-makers in developing countries: the Mexican case
by Salvatore Capasso & Oreste Napolitano & Ana Laura Viveros Jiménez - 1710-1729 Inflation in Iran: an empirical assessment of the key determinants
by Maryam Hemmati & Saleh S. Tabrizy & Yashar Tarverdi - 1730-1747 Income inequality and polity – an empirical analysis of political Kuznets curve
by Yongseung Han & Myeong Hwan Kim
February 2023, Volume 50, Issue 8
- 1585-1600 Economic network dynamics: a structural analysis of the international connectivity of Chinese manufacturing firms
by Michele Lo Re & Eleonora Veglianti & Fabrizio Parente & Umberto Monarca & Cosimo Magazzino - 1618-1636 Does COVID-19 disrupt competition? Evidence from Iran
by Kowsar Yousefi & Ali Taiebnia - 1672-1693 Credit quality determinants of banks: how important are bankruptcy reforms?
by Saibal Ghosh - 1694-1709 Growing older and growing apart? Population age structure and trade
by Joseph Kopecky
May 2023, Volume 50, Issue 8
- 1908-1925 Public subsidies for credit support, democracy and European female-led SMEs
by Graziella Bonanno & Nadia Fiorino & Giampaolo Garzarelli & Stefania Patrizia Sonia Rossi
January 2023, Volume 50, Issue 8
- 1601-1617 Does climate change concern alter individual tax preferences? Evidence from an Italian survey
by Alessandro Cascavilla
January 2023, Volume 50, Issue 7
- 1346-1374 Accept or reject a ride? This is the problem
by Elaheh Fatemi Pour & Seyed Ali Madnanizdeh & Hosein Joshaghani - 1413-1427 The effects of conventional and unconventional monetary policy on the unemployment rate in the US
by Pradyumna Dash - 1428-1449 Should the monetary authorities be sensitive to inequality concerns? Empirical evidence for a panel of 62 countries
by Juan Ignacio Martín-Legendre & Pablo Castellanos-García & José Manuel Sánchez-Santos - 1467-1484 The financial market's ability to forecast economic growth: information from sectoral movements
by Hardik Marfatia - 1485-1500 Economic policy uncertainty and the UK demand for money: evidence from the inter-war period
by Taufiq Choudhry - 1501-1525 Dynamic association of economic policy uncertainty with oil, stock and gold: a wavelet-based approach
by Rajat Kumar Soni & Tanuj Nandan & Niti Nandini Chatnani - 1526-1548 Measurement and determinants of corruption across Indian states
by Kumar Shaurav & Badri Narayan Rath - 1549-1569 Average-profit efficiency and optimal scale sizes with integer data and undesirable outputs
by Somayye Karimi Omshi & Sohrab Kordrostami & Alireza Amirteimoori & Armin Ghane Kanafi - 1570-1584 High short interest stocks performance during the Covid-19 crisis: an informational efficacy measure based on permutation-entropy approach
by Fotios Siokis
January 2023, Volume 50, Issue 5
- 1073-1086 Revisiting the finance-growth nexus in Hong Kong: fresh insights from nonparametric analysis
by Hamza Almassri & Huseyin Ozdeser & Andisheh Saliminezhad
March 2023, Volume 50, Issue 5
- 1027-1047 When should central banks engage in private sector securities purchases?
by Bryane Michael & Viktoria Dalko
December 2022, Volume 50, Issue 7
- 1336-1345 Deal or No Deal: comparing individual and group choices in a risky context
by Andrea Morone & Marco Santorsola & Paola Tiranzoni - 1375-1398 Economic growth, poverty traps and cycles: productive capacitiesversusinefficiencies
by Germana Giombini & Francesca Grassetti & Edgar Sanchez Carrera - 1399-1412 A Russian carol: impact and dependence on global equity markets during the Ukraine invasion
by Victoria Ferrández-Serrano & Pedro L. Angosto-Fernández - 1450-1466 Governmental stability and emigration in Sub-Saharan Africa: the role of skills and gender
by Cristian Barra & Nazzareno Ruggiero
November 2022, Volume 50, Issue 7
- 1317-1335 Investor bias, risk and price volatility
by Ali Yavuz Polat
November 2022, Volume 50, Issue 6
- 1260-1280 Financial sector development, trade and income inequality: regional perspectives using evidence from macro and firm-specific data
by Biruk Birhanu Ashenafi & Yan Dong - 1281-1296 Tertiary education for all and wage inequality: policy insights from quantile regression
by Corrado Andini
December 2022, Volume 50, Issue 6
- 1297-1316 From the “age of instability” to the “age of responsibility”: economic uncertainty and sustainable investments
by Rocco Caferra & Pasquale Marcello Falcone
October 2022, Volume 50, Issue 6
- 1105-1120 The real exchange rate and services export diversification
by Sèna Kimm Gnangnon - 1121-1129 The impact of declining birth rates on future infrastructure maintenance costs per capita
by John D. McCollough & Gevorg Sargsyan & Zhe Luo - 1130-1157 Does financial development has (a)symmetric effect on environmental quality: insights from South Africa
by James Temitope Dada & Titus Ayobami Ojeyinka & Mamdouh Abdulaziz Saleh Al-Faryan - 1158-1170 Government failures and non-performing loans in Asian countries
by Maria Daniela Giammanco & Lara Gitto & Ferdinando Ofria - 1171-1189 The relationship between city size, decentralisation and economic growth
by John Paul Clifford & Justin Doran & Frank Crowley & Declan Jordan - 1190-1209 Gaining more, producing less: the link between an obese workforce and firm-level productivity
by Ummad Mazhar - 1210-1225 College student loan debt and income inequality in the US: national and regional evidence
by Nicholas Apergis - 1226-1244 Granular inflation spillovers
by Leon Esquierro & Sergio Da Silva - 1245-1259 Model comparison in German stock returns
by Michael O'Connell
September 2022, Volume 50, Issue 5
- 1008-1026 COVID-19, lockdown measures and their impact on food and healthcare prices: empirical evidence using a dynamic ARDL model
by Bisharat Hussain Chang & Raheel Gohar & Omer Faruk Derindag & Emmanuel Uche - 1063-1072 Abnormal returns and anti-leverage effect in the time of Russo-Ukrainian War 2022: evidence from oil, wheat and natural gas markets
by Evangelos Vasileiou
October 2022, Volume 50, Issue 5
August 2022, Volume 50, Issue 5
- 881-895 The non-linear effects of fixed broadband on economic growth in Africa
by Jean C. Kouam & Simplice Asongu - 896-920 COVID lessons: was there any way to reduce the negative effect of COVID-19 on the United States economy?
by Mohammadreza Mahmoudi - 921-946 Asymmetric and threshold effects of FinTech on poverty in SSA countries
by Noha Emara - 947-966 The relevance of national culture to policy uncertainty and firm performance: European evidence
by Tanveer Ahsan & Muhammad Azeem Qureshi & Ammar Ali Gull & Fazal Muhammad - 967-986 Trade effects of a negative export shock on direct exporters and wholesalers
by Mathias Juust - 987-1007 Time-varying predictability of financial stress on inequality in United Kingdom
by Edmond Berisha & David Gabauer & Rangan Gupta & Jacobus Nel - 1048-1062 Dynamics of national development and regional disparity: evidence from 184 countries
by Vivek Jadhav
June 2022, Volume 50, Issue 4
- 696-717 Equity market integration in emerging economies: a network visualization approach
by Aswini Kumar Mishra & Anand Theertha & Isha Mahesh Amoncar & Manogna R L - 734-751 Gold, crude oil, bitcoin and Indian stock market: recent confirmation from nonlinear ARDL analysis
by Suresh Kumar & Ankit Kumar & Gurcharan Singh - 773-789 Investigating the impact of ICT-trade nexus on competitiveness in Eastern and Western European countries
by Özgür Bayram Soylu & Bosede Ngozi Adeleye & Murat Ergül & Fatih Okur & Daniel Balsalobre Lorente - 790-805 Portfolio diversification impact of oil and asymmetric interaction between oil, equity and bonds in the global market: fresh evidence from alternative approaches
by Abdulnasser Hatemi-J & Eduardo Roca & Alan Mustafa
July 2022, Volume 50, Issue 4
- 718-733 Does hiring a manager improve efficiency – owner vs. non-owner management control of rice mills
by Eucabeth Majiwa & Boon Lee & Jonas Månsson & Clevo Wilson - 806-820 Social capital, poverty alleviation and complexity in Africa. Evidence from rural areas
by Raffaele Scuderi & Giuseppe Tesoriere & Vincenzo Fasone & Giulio Pedrini - 821-839 The impact of influential shareholders on corporate dividend policy: evidence from Russia
by Tatiana Ershova & Marina Zavertiaeva & Dmitry Kirpishchikov - 840-857 The dynamic relationship of cryptocurrencies with supply chain and logistics stocks – the impact of COVID-19
by Theodoros Daglis - 858-880 Financial services and firm performance, are there any differences by size? Worldwide evidence using firm-level data
by Zakaria Elouaourti & Elhadj Ezzahid
May 2022, Volume 50, Issue 4
- 645-673 Managing the job guarantee public policy schemes: a strategic approach
by Dipankar Das - 674-695 High-tech gazelle firms at various stages of evolution: performance and distinctive features
by Vladislav Spitsin & Darko Vukovic & Alexander Mikhalchuk & Lubov Spitsina & Daria Novoseltseva - 752-772 Spillover effects of corruption: evidence from China's anti-corruption campaign
by Daniel Sungyeon Kim & Lizhe Luo & Domenico Tarzia & Giovanni Vittorino & Andros Gregoriou
July 2022, Volume 50, Issue 3
- 561-577 The political determinants of country crises
by Alexandre Hilmário de Oliveira Siqueira
April 2022, Volume 50, Issue 3
- 480-505 Analysis of the prevalence of extreme poverty in Africa South of the Sahara: do geographical proximity and corruption spillovers matter?
by Olumide Olusegun Olaoye - 525-543 Financial stability and monetary policy of the Central Bank of West African Countries: a Markov-Switching model
by Honoré Sèwanoundé Houngbédji & Nassibou Bassongui - 544-560 On the differential response of loans to shocks in the USA
by Gianluca Cafiso - 625-641 Weather, mobility and the evolution of the Covid-19 pandemic
by Corinna Ghirelli & Andrea Gonzalez & Jose Luis Herrera & Samuel Hurtado
March 2022, Volume 50, Issue 3
- 385-406 The long-run equilibrium in the context of COVID-19 pandemic
by Agnieszka Lipieta & Artur Lipieta - 407-428 Interlinkages of cryptocurrency and stock markets during COVID-19 pandemic by applying a TVP-VAR extended joint connected approach
by Le Thanh Ha - 429-447 Bubble detection in Bitcoin and Ethereum and its relationship with volatility regimes
by Renan Diniz & Diogo de Prince & Leandro Maciel - 448-463 Credit-to-GDP ratios – non-linear trends and persistence: evidence from 44 OECD economies
by Juan Carlos Cuestas & Luis A. Gil-Alana & María Malmierca - 464-479 Symmetric or asymmetric: how is Nigeria's bilateral trade balance responding to oil price and exchange rate changes?
by Oliver E. Ogbonna & Hyacinth E. Ichoku - 506-524 The impact of trade unions and government party orientation on income inequality: evidence from 17 OECD economies
by Constantinos Alexiou & Emmanouil Trachanas
May 2022, Volume 50, Issue 3
- 578-600 Dividend policy, its asymmetric behavior and stock liquidity
by Fatima N. Ali Taher & Mohammad Al-Shboul - 601-624 Evaluating the interactive effect of domestic and global stock market variables on the depth of the financial system in Sub-Saharan African countries: a panel ARDL approach
by Ebere Ume Kalu & Augustine Chuck Arize & Sylvester Okechukwu Ilo & Ifeoma Ihegboro & Chiamaka Goodness Eze
February 2022, Volume 50, Issue 2
- 109-128 Commodity hedging benefits: analyses among different financial assets
by Dony Abdul Chalid & Rangga Handika - 147-172 Quadruple wavelet coherence and pairwise cointegration: comparative time-frequency analysis of bank deposit rate
by Alper Kirik & Tunc Oygur & Yaman Omer Erzurumlu - 173-200 News-based uncertainty measures and returns on prices of precious metals: evidence from regime switching and time-varying causality approach
by Opeoluwa Adeniyi Adeosun & Olumide Adeola Adeosun & Mosab I. Tabash & Suhaib Anagreh - 201-215 Benchmarking analysis in the health sector: the case of the Community of Madrid 2016–2018
by Justo De Jorge-Moreno & Fernando Martín Meana - 216-233 The impact of demographic structure, human capital, migration and environmental degradation on economic growth in Asia
by Yot Amornkitvikai & Charles Harvie & Rukchanok Karcharnubarn - 268-282 Competition, concentration and default-risk in the Indian banking industry
by Mohammad Azeem Khan & Wasim Ahmad - 283-299 Patterns of export shipments
by Xuebing Yang - 300-323 Job loss and food insecurity during the Covid-19 pandemic
by Stefani Milovanska-Farrington
March 2022, Volume 50, Issue 2
- 234-267 Understanding the choice of human resource and the artificial intelligence: “strategic behavior” and the existence of industry equilibrium
by Dipankar Das - 324-342 The role of wages, skills development and R&D on productivity: evidence from Thai manufacturing firms
by Yot Amornkitvikai & Charles Harvie & Piyapong Sangkaew - 343-356 Cash holdings and bank profits in periods of uncertainty
by Van Dan Dang - 357-382 Good looks and better outlooks: does satisfaction with physical appearance associate with future expectations?
by Maryam Dilmaghani
January 2022, Volume 50, Issue 2
- 129-146 Self-employment: a means to reduce poverty in developing countries?
by Sridevi Yerrabati
April 2022, Volume 50, Issue 1
- 18-36 Nonlinear effects of mobility on COVID-19 in the US: targeted lockdowns based on income and poverty
by Hakan Yilmazkuday
June 2022, Volume 50, Issue 1
- 37-48 CARES and crime
by Alexander Robert Henke & Linchi Hsu
September 2022, Volume 50, Issue 1
- 49-72 The economics of COVID-19: a systematic literature review
by Imalka Wasana Rathnayaka & Rasheda Khanam & Mohammad Mafizur Rahman
February 2022, Volume 50, Issue 1
January 2022, Volume 49, Issue 8
- 1566-1584 Macroeconomic fundamentals, institutional quality and shadow economy in OIC and non-OIC countries
by Shabeer Khan & Mohd Ziaur Rehman
December 2021, Volume 50, Issue 2
- 73-95 Financial globalization and income inequality nexus: panel quantile regression approach
by Jeleta Gezahegne Kebede & Vincent Tawiah - 96-108 Layoffs and stock market performance during the COVID-19 pandemic: evidence from the US
by Christos Floros & Maria Psillaki & Efstathios Karpouzis
November 2021, Volume 49, Issue 8
- 1321-1339 Rent index forecasting through neural networks
by Xiaojie Xu & Yun Zhang - 1340-1359 The effects of COVID-19 on trade, production, environmental quality and its implications for green economy
by Dinkneh Gebre Borojo & Jiang Yushi & Miao Miao - 1374-1386 Do consumer survey data help improve US vehicle sales forecasts?
by Hamid Baghestani - 1387-1421 Does intellectual property rights protection affect UK and US outward FDI and earnings from FDI? A sectoral analysis
by Glauco De Vita & Constantinos Alexiou & Emmanouil Trachanas & Yun Luo
December 2021, Volume 49, Issue 8
- 1360-1373 Does the short squeeze lead to market abnormality and antileverage effect? Evidence from the Gamestop case
by Evangelos Vasileiou - 1422-1452 Does the low-risk anomaly exist in the Indian equity market? A test using alternative risk measures
by Asgar Ali & K.N. Badhani & Ashish Kumar - 1453-1475 Non-linear pricing in E-commerce: an exploration
by Dipankar Das & Vivek Sharadadevi Jadhav - 1476-1490 Impact of COVID-19 on listed European electricity companies: a comparative analysis of investment in renewable and traditional electricity
by José Antonio Clemente-Almendros & Florin Teodor Boldeanu & Luis Alberto Seguí-Amórtegui - 1491-1501 How human capital affects labor income share at the sectoral level?: Evidence from the EU-13 countries and the UK
by Orkun Çelik - 1502-1523 Price extremes and asymmetric dependence structures in stock returns: the emerging market evidence
by Saji Thazhungal Govindan Nair - 1524-1547 Which professional skills value more under digital transformation?
by Sofia Paklina & Elena Shakina - 1548-1565 Market overreaction, firm-specific information and macroeconomic variables in US and Chinese markets during COVID-19
by Ooi Kok Loang & Zamri Ahmad - 1585-1608 A broad analysis of short-term overreactions in the market for cryptocurrencies
by Tobias Kellner & Dominik Maltritz
September 2021, Volume 49, Issue 7
- 1137-1158 Social welfare and bank performance: evidence from a stochastic neural hybrid MCDM approach
by Andrew Maredza & Peter Wanke & Jorge Antunes & Roberto Pimenta & Yong Tan
October 2021, Volume 49, Issue 7
- 1159-1180 A non-parametric framework for evaluating governance–efficiency–productivity associations in commercial banking
by Navendu Prakash & Shveta Singh & Seema Sharma - 1181-1196 Governance thresholds and the human capital–growth nexus
by Nicholas Apergis & Ghulam Mustafa & Muhammad Khan - 1197-1211 A cross-country analysis of the relationship between human capital and foreign direct investment
by Madhvi Sethi & Saina Baby & Aarti Mehta Sharma - 1212-1224 Real exchange rate synchronization in the NAFTA region
by Hamid Baghestani - 1269-1283 An empirical analysis of human trafficking in an era of globalization
by Yselle Flora Kuete Malah & Simplice Asongu
December 2021, Volume 49, Issue 7
- 1240-1268 The mechanisms linking the finance-growth relationship in view of the financial crisis: an empirical investigation of the EU countries
by Dimitrios Asteriou & Konstantinos Spanos - 1304-1319 Tornadoes, poverty and race in the USA: A five-decade analysis
by Russ D. Kashian & Tracy Buchman & Robert Drago
November 2021, Volume 49, Issue 7
- 1225-1239 Labor supply responses to income tax free and bracket expansions
by Panayiota Lyssiotou & Elena Savva - 1284-1303 Corn trade simulations of China: reduction in tariffs versus expansion in tariff-rate quotas
by Kai Liu & Masato Yamazaki & Atsushi Koike & Yueying Mu
December 2021, Volume 49, Issue 6
- 1092-1116 Public debt management and the interaction between fiscal and monetary policies
by Wellington Charles Lacerda Nobrega & Cássio da Nóbrega Besarria & Edilean Kleber da Silva Bejarano Aragón
July 2021, Volume 49, Issue 6
- 960-977 Monetary and macroprudential policies in the presence of external shocks: evidence from an emerging economy
by Alexander Lubis & Constantinos Alexiou & Joseph G. Nellis - 978-1001 Share price informativeness and dividend smoothing behavior in GCC markets
by Razaz Felimban & Sina Badreddine & Christos Floros
August 2021, Volume 49, Issue 6
- 937-959 Nonlinearities and asymmetric adjustment to PPP in an exchange rate model with inflation expectations
by Christina Anderl & Guglielmo Maria Caporale - 1002-1016 Testing the convergence and the divergence in five Asian countries: from a GMM model to a new Machine Learning algorithm
by Cosimo Magazzino & Marco Mele & Nicolas Schneider - 1017-1032 Nexus between oil price uncertainty and corporate social responsibility: evidence from US firms
by Guenichi Hassen & Khalfaoui Hamdi
September 2021, Volume 49, Issue 6
- 1033-1054 Natural resources, institutions and the quality-adjusted human capital
by Soran Mohtadi - 1055-1075 Model selection in time series analysis: using information criteria as an alternative to hypothesis testing
by R. Scott Hacker & Abdulnasser Hatemi-J - 1076-1091 Banking market structure and efficiency: an assessment of the USA and Canada
by Salah U-Din & David Tripe - 1117-1136 Effect of multilateral trade liberalization on services export diversification
by Sena Kimm Gnangnon
June 2021, Volume 49, Issue 5
- 793-808 Fiscal adjustments, income inequality and economic growth: an empirical analysis of Japanese prefectures
by Patricia Kako Ouraga - 809-820 Income and healthcare financing system in the United States: an asymmetric analysis
by Mehdi Barati & Hadiseh Fariditavana - 821-832 Assessing the impact of Covid-19 pandemic in Turkey with a novel economic uncertainty index
by Erhan Mugaloglu & Ali Yavuz Polat & Hasan Tekin & Edanur Kılıç - 833-849 Are firms' expectations on the availability of external finance rational, adaptive or regressive?
by Dimitrios Anastasiou & Stelios Giannoulakis
July 2021, Volume 49, Issue 5
- 773-792 Exploring the motivations of using companies registered in tax havens to invest in UK housing market
by Cornelia Agyenim-Boateng - 850-875 Liquidity management and monetary transmission: empirical analysis for India
by Vikas Charmal & Ashima Goyal - 876-887 Government failures and non-performing loans in European countries: a spatial approach
by Ferdinando Ofria & Massimo Mucciardi - 888-901 The excessive gaming and gambling during COVID-19
by Theodoros Daglis - 902-919 Economic policy uncertainty and company's human capital
by Iuliia Naidenova - 920-936 Interest rate forecasts in Latin America
by Ibrahim Filiz & Jan René Judek & Marco Lorenz & Markus Spiwoks
July 2021, Volume 49, Issue 4
- 665-682 Political machines and the curse of public resources in subnational democracies
by Andrés Cendales & Nestor Garza & Andres Arcila
May 2021, Volume 49, Issue 4
- 603-622 Demographic changes and savings behavior: the experience of a developing country
by Ebrahim Rezaei - 623-646 Uncertainty and nonlinear macroeconomic effects of fiscal policy in the US: a SEIVAR-based analysis
by Ansgar Belke & Pascal Goemans - 647-664 Does disease outbreak news impact equity, commodity and foreign exchange market? Investors' fear of the pandemic COVID-19
by Imlak Shaikh & Toan Luu Duc Huynh - 699-715 Remittances and food security
by Yogeeswari Subramaniam & Tajul Ariffin Masron & Nik Hadiyan Nik Azman - 716-734 Education in the times of a pandemic: parental socioeconomic characteristics and time spent educating children
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