Content
March 2014, Volume 10, Issue 1
- 53-76 Japan's Strategy for Economic Cooperation with Asian Countries
by Yasuyuki Sawada - 77-108 Japan's Innovation Strategy toward Asia
by Yumiko Okamoto - 109-151 Asia Strategy on International Migration
by Yasushi Iguchi - 153-187 Japan's Energy Policy in the Asian Region
by Reiji Takeishi - 227-252 Japan's Asian Policy Strategy: Evolution of and Prospects for Multilateralism in Security, Trade and Financial Cooperation
by Takashi Terada
September 2013, Volume 9, Issue 4
- 575-596 Economic Effects of Public Pensions
by Yoshibumi Aso - 597-632 Simulating Public Pension Reforms in an Aging Japan: Welfare Analysis with LSRA Transfers
by Akira Okamoto - 633-660 Child Benefits and Macroeconomic Simulation Analyses : An Overlapping-Generations Model with Endogenous Fertility
by Kazumasa Oguro & Junichiro Takahata - 661-686 Sustainability of Budget Deficits
by Yoshibumi Aso - 687-716 The Pension System and Household Consumption and Saving Behavior
by Junya Hamaaki - 717-734 Challenges for Japan fs Fiscal Consolidation
by Kazuyuki Sugimoto & Junji Ueda - 735-750 Fiscal Sustainability under an Aging Population in Japan: A Financial Market Perspective
by Takashi Oshio & Oguro - 751-770 Long-term Issues for Fiscal Sustainability in Emerging Asia
by Masahiro Kawai & Peter J. Morgan
September 2013, Volume 9, Issue 3
- 457-490 A Behavioral Economics Exploration into the "Volatility Anomaly" ``
by Seiichiro Iwasawa & Tomonori Uchiyama - 491-514 The Risk Parity Portfolio and the Low-Risk Asset Anomaly
by Kozo Omori - 515-530 Risk and Return in Japanese Equity Market
by Toshiki Honda - 531-552 The Securities-Correlation Risks and the Volatility Effects in the Japanese Stock Market
by Satoshi Sakamaki - 553-574 Long-term Verification of Low Volatility Stock Investment
by Toru Yamada
March 2013, Volume 9, Issue 2
- 257-286 Quantitative Policy Analysis of Innovation Activities: Application to Dynamic Structural Estimation
by Daiya Isogawa & Hiroshi Ohashi - 287-314 Product Switching and Firm Performance in Japan - Empirical Analysis Based on the Census of Manufacturers
by Atsushi Kawakami & Tsutomu Miyagawa - 315-364 The Funding through Capital Market and Firm Behavior - Decision-making on IPOs, SEOs and Bond Issues and the Post-funding Investments and R&D Activities
by Kaoru Hosono & Miho Takizawa & Kenji Uchimoto & Keishi Hachisuka - 365-404 External Finance Constraints and the Timing of Investment Spikes
by Kaoru Hosono & Masaki Hotei & Chie Umezaki - 405-432 Measurement of Intangible Investment by Industry and Economic Growth in Japan
by Tsutomu Miyagawa & Shoichi Hisa - 433-455 A Revised Estimation of Japan's Income Tax Base
by Shigeki Morinobu & Atsushi Nakamoto
January 2013, Volume 9, Issue 1
- 1-32 Fiscal Fluctuation Risks and Intergovernmental Functional Allocation
by Toshihiro Ihori - 33-50 Regional Equalization and Stabilization in the Japanese System of National Health Insurance
by Masayoshi Hayashi - 51-70 Change in the Flow of Funds and the Fiscal Rules Needed for Fiscal Stabilization
by Naoyuki Yoshino & Tetsuro Mizoguchi - 71-86 The Great East Japan Earthquake and Investor Behavior in Japan's Equity Markets
by Akiko Kamesaka - 87-116 The Decision-Making Mechanism of Regional Financial Institutions and the Utilization of Soft Information
by Tadanobu Nemoto & Yoshiaki Ogura & Wako Watanabe - 117-138 Financial Crises and Risk Premiums in International Interbank Markets
by Shin-ichi Fukuda & Mariko Tanaka - 139-170 European Sovereign Risk: The Knock-on Effects of Default Risk across the Public and Financial Sectors
by Sanae Ohno - 171-202 The Contagion of the Greek Fiscal Crisis and Structural Changes in the Euro Sovereign Bond Markets
by Tomoo Inoue & Atsushi Masuda & Hitoshi Oshige - 203-255 How Strongly Do "Financing Constraints" Affect Firm Behavior? Japanese Corporate Investment since the Mid-1980s
by Yoshiro Miwa
November 2012, Volume 8, Issue 5
- 563-580 Why Did the Debt Maturity of the Japanese Firms Get Longer H: A Preliminary Investigation
by Tokuo Iwaisako - 581-608 Impact of M&A on the Employment in Japanese Companies
by Hiroyuki Taguchi & Taichi Yanagawa & Masashi Harita - 609-662 A Study in the Changes in the Japanese Companies' Performance and the Efficiency of Capital and Labor
by Hajime Misono - 663-682 The Effects of the Exchange Rate on Japanese Firms' Investment: An Analysis with Firm-Level Data
by Masaki Hotei - 683-704 Main Issues for a Good Value Added Tax System
by Yumi Nishiyama - 705-736 Social Capital and Regional Economy: Empirical Analysis Using Individual Data from Questionnaire Survey
by Saisuke Sakai - 737-774 Merger of Major Banks from the EVA Standpoint
by Kazushi Kan & Taro Ohno
August 2012, Volume 8, Issue 4
- 393-414 Viewpoints on the Integrated Reform of Social Security and Tax Systems: Increased Consumption Tax and Intergenerational Equity
by Shigeki Morinobu & Atsushi Nakamoto - 415-452 Are Japanese Firms Becoming More Independent from Their Banks?: Evidence from the Firm-Level Data of the "Corporate Enterprise Quarterly Statistics," 1994-2009
by Yoshiro Miwa - 453-478 The Function of Local Allocation Taxes in the Securing of Revenue Sources: Verification of the Neutrality and Appropriateness of Local Allocation Taxes
by Mitsunari Ishida & Wataru Kobayashi - 479-502 The Distribution of Functions between Local and Central Government in River and Road Administration and Finance: With Regard to Spillover Measures
by Wataru Kobayashi & Mitsunari Ishida - 503-536 An Economic Analysis on the Consultation System of Local Bond
by Wataru Kobayashi & Taro Ohno - 537-562 Analysis of 2008 Central and East European Currency Crisis Using Early Warning Model
by Mie Takahashi
August 2012, Volume 8, Issue 3
- 215-246 Central Banking for Financial Stability in Asia
by Masahiro Kawai & Peter J. Morgan - 247-280 Central banking for financial stability Some lessons from the recent instability in the US and euro area
by Larry D. Wall - 281-298 Risk-on/risk-off, capital flows, leverage and safe assets
by Robert N. McCauley - 299-320 Managing Capital Flows in an Economic Community: The Case of ASEAN Capital Account Liberalization
by Yung Chul Park & Shinji Takagi - 321-340 Asian Regional Financial Safety Nets? Don't Hold Your Breath
by Iwan J. Azis - 341-366 Economic Stability and Choice of Exchange Rate Regimes
by Sahoko Kaji - 367-392 Sovereign Risk: A Macro-Financial Perspective
by Udaibir S. Das & Maria A. Oliva & Takahiro Tsuda
July 2012, Volume 8, Issue 2
- 123-144 The roles of public and private insurance for the health-care reform of Japan
by Eiji Tajika & Jun Kikuchi - 145-170 Managed competition in the Dutch Health Care System: Preconditions and experiences so far
by Richard C. van Kleef - 145-170 Unique mixtures of public and private funding in Japan - The ban on billing for mixed medical care service -
by Hiroyuki Kawaguchi - 191-214 Canada's Approach to the Public/Private Divide and the Perils of Reform via Court Challenge
by Colleen M. Flood
June 2012, Volume 8, Issue 1
- 1-20 Empirical Analysis of Corporate Tax and Foreign Direct Investment
by Tomonori Sato - 21-44 Public Finance and its Legal Framework: Toward a Legal Framework to Ensure Fiscal Consolidation and Fiscal Policy Management
by Kazuyuki Sugimoto - 45-66 Public Sector Accounting - An Interdisciplinary Field Involving Accounting, Economics, and Jurisprudence
by Ryosuke Tao - 67-92 The Evolution of the Exchange Rate Pass-Through in Japan:A Re-evaluation Based on Time-Varying Parameter VARs
by Etsuro Shioji - 93-122 Why Did Large-scale Deflation Occur? What Did It Bring About?: From Hong Kong's Experiences in the First Half of the 2000s
by Shin-ichi Fukuda & Junji Yamada
July 2011, Volume 7, Issue 2
- 175-298 Overall Picture and Structure of the Fiscal Economic Model
by Nobutoshi Kitaura & Junji Ueda & Shintaro Nakagawa & Daisuke Nishino & Tatsuya Sugiura & Kun Kawaguchi & Motokazu Sakamura & Tetsutaro Ohmatsu & Noriyoshi Nagumo & Syohei Kyohtani & Takuto Nagashima & Kensaku Morita & Tatsuo Sakamoto & Ryo Ishida & Takaki Hojo & Yoko Masui - 299-336 Simulation Analysis of Japan's Fiscal Sustainability
by Junji Ueda & Tatsuya Sugiura - 337-384 Structure of the Social Security Model and Simulation Results
by Nobutoshi Kitaura & Syohei Kyohtani & Takuto Nagashima & Kensaku Morita & Tatsuo Sakamoto & Tatsuya Sugiura & Ryo Ishida - 385-454 Structure of the Forward-Looking Model of the Japanese Economy and Simulation Results
by Daisuke Ishikawa & Nobutoshi Kitaura & Junji Ueda & Shintaro Nakagawa
June 2011, Volume 7, Issue 1
- 1-26 Asset Price Bubbles and Macroeconomic Policy
by Masahiko Takeda - 27-50 Structure of the Financial System and the Contagion Effect: A Network Approach
by Mariko Fujii & Makoto Takaoka - 51-108 Asset Price Bubbles and Macroeconomic Policy
by Kenji Nishiguchi - 109-152 Response to State Fiscal Crisis - Drawing on Experiences in International Finance
by Masatsugu Asakawa - 153-174 Political Economy of the Financial Crises in Japan and the United States: A Comparative Study on the Bailout of Financial Institutions
by Hirofumi Takinami
September 2010, Volume 6, Issue 6
- 893-920 European integration and financial crisis: causes, implications and policy directions
by Laurence Boone - 921-942 Fiscal Policy in the Crisis. Impact, Sustainability, Long Term Implications
by Pier Carlo Padoan - 943-984 The Euro after its first decade: Weathering the financial storm and enlarging the Euro area
by Klaus Regling & Servaas Deroose & Reinhard Felke & Paul Kutos - 985-1008 Understanding the Crisis in Emerging Europe
by Erik Berglof & Yevgeniya Korniyenko & Alexander Plekhanov & Jeromin Zettelmeyer - 1009-1032 Lessons of the Japanese Crisis for the Euro zone financial and economic Crisis
by Sahoko Kaji
June 2010, Volume 6, Issue 5
- 791-794 A significant step toward future research exchange with India
by Nobuyuki Sato & Rui Arase - 795-806 Japanese Macroeconomic Policy Management after the Global Financial Crisis
by Tokuo Iwaisako - 807-836 India's Experience during Current Global Crisis: A Capital Account Perspective
by Dayanand Arora & Francis Xavier Rathinam & Mohammad Shuheb Khan - 837-858 Regional Monetary Coordination in Asia after the Global Financial Crisis: Comparison in Regional Monetary Stability between ASEAN+3 and ASEAN+3+3
by Eiji Ogawa - 859-872 Feasibility of Currency Unions in Asia - An Assessment Using Generalized Purchasing Power Parity -
by Hiroyuki Taguchi - 873-892 Prospects for a Single Asian Currency
by Abhijit Sen Gupta
April 2010, Volume 6, Issue 4
- 581-610 European integration and financial crisis: causes, implications and policy directions
by Mark Horton - 611-624 Restoring Fiscal Sustainability: Lessons for the Public Sector
by Barry Anderson - 625-644 A Study on Fiscal Policy Challenges in Japan
by Kazuyuki Sugimoto - 659-684 Fiscal Policy Issues in Korea after the Current Crisis
by Ki Seok Hong - 685-720 Fiscal Policy Issues for India after the Current Crisis
by Rajiv Kumar & Alamuru Soumya - 721-740 Indonesia's Savior: Fiscal, Monetary, Trade, or Luck?
by Arianto A. Patunru & Erna Zetha - 741-768 Fiscal Policy Issues in Thailand after the Current Economic Crisis
by Somchai Jitsuchon - 769-790 Current Global Crisis, Fiscal Stimulus Package and Implication for Vietnam
by Nguyen Due Nhat & Nguyen Ngoe Anh & Nguyen Thang - 985-1008 Meeting the Challenges of Financial Crisis- China's Practice Ffrom Developing Countries' Prospective
by Jia Kang
March 2010, Volume 6, Issue 3
- 347-368 Global Financial Crisis, Hedge Funds, and the Shadow Banking System
by Tokuo Iwaisako - 369-406 GSE Crisis and its implication - with focus on corporate governance
by Masahiro Kobayashi & Yuji Orui - 407-430 The Fed's response to the financial crisis: Pages from the BOJ playbook, or a whole new ball game?
by Kenneth N. Kuttner - 431-472 Housing Bubbles in Japan and the United States
by Chihiro Shimizu & Tsutomu Watanabe - 473-510 China's Macroeconomic Policy Shift in 2008 -Political Process from Tightening to Easing-
by Osamu Tanaka - 511-556 Fiscal System and Policy in China -Transition and Tasks of Thirty-year-Reform and Opening policy-
by Jiro Naito - 557-580 Relationship between Financial System Reform and Economic Development in China
by Long Ke
March 2010, Volume 6, Issue 2
- 199-236 Some aspects of the OECD business cycle - The effects of EMU -
by Yasuyuki Komaki & Nobuo Iizuka - 237-260 Business Cycles in Japan and in Asian Countries : Tests of Comovements between CI and Trade Statistics
by Konomi Tonogi & Katsuaki Ochiai & Kazumi Asako - 261-286 Marginal Productivity Principle and Measurement Biases in TFP: Evidence from International Productivity Database
by Kazumi Asako & Miho Takizawa - 287-312 Empirical Analysis of International Tax Treaties and Foreign Direct Investment
by Taro Ohno - 313-346 Economic Analysis and International Security
by Martin C. McGuire
February 2010, Volume 6, Issue 1
- 1-30 Fiscal Competition among Regional Governments - Tax Competition, Expenditure Competition and Externalities -
by Hikaru Ogawa - 31-54 Redistribution and Local Public Finance
by Masayoshi Hayashi - 55-80 Inequality and National Pension Issues in Japan
by Ichiro Sasaki - 81-104 How Did the Capital Flow through Banks Change in the 1990s? -- Examining "Credit Crunch", "Forbearance Lending", and "Overbanking" --
by Wako Watanabe - 105-120 Crowding - in Effect of Public Investment on Private Investment
by Toshiya Hatano - 121-152 Japanese Aging and Public Capital Formation
by Hiroshi Yoshida - 153-166 Local Public Sector Investment and Stabilization Policy : Evidence from Japan
by Tomomi Miyazaki - 167-198 Implementation of public works and intergovernmental relationships in Japan
by Shun-ichiro Bessho
November 2009, Volume 5, Issue 2
- 151-200 Activity of IRCJ and Banking Crisis in Japan
by Yuri Okina - 201-228 Effects of the Bankruptcy Laws Reform on Banks : The examination of recent Japanese experience
by Sumio Hirose - 229-254 The Behavior of Japanese banks in the 1990s and Government Intervention for the Financial crisis
by Katsutoshi Shimizu - 255-286 Prefunding Health and Long-term Care Insurance
by Yasushi Iwamoto & Tadashi Fukui - 287-318 Is the Employee's Pension Program Politically Viable?
by Hideki Konishi & Shimpei Otake
October 2009, Volume 5, Issue 1
- 1-24 Early Warning Systems of Currency Crises
by Takatoshi Ito & Keisuke Orii - 25-44 Financial Architecture in East Asia
by Shin-ichi Fukuda - 45-62 New State of Financial and Capital Markets in East Asia Cross-Border Bonds towards Asian Currency Basket Denominated Bonds
by Hidefumi Yamagami - 63-88 Chinese Informal Financial Systems and Economic Growth --A Case Study of China's Small and Medium Enterprises
by Cong Ji - 89-108 Linkage of Business Cycles in East Asian Countries after the Currency Crisis
by Masayuki Keida - 109-138 The Stability of Currency Systems in East Asia --Quantitative Analysis Using a Multi-Country Macro-Econometric Model--
by Koichiro Kamada - 139-150 The Concept of Qualified Reorganizations in Japan
by Tetsuya Watanabe
December 2008, Volume 4, Issue 1
- 1-36 Governance of the Management of Public Debt in Japan
by Yasuo Goto - 37-52 The Flow of Household Funds in Japan
by Charles Yuji Horioka - 53-76 A Study on Financial Deficit and Declining Birthrate - From the Viewpoint of "Children as a Social Security Revenue Source" -
by Kazumasa Oguro & Shoichiro Yuyama - 77-110 Political Economy of Public Capital Formation in Japan
by Haruo KONDOH - 111-132 Social Overhead Capital Development and Geographical Concentration
by Yoshibumi Aso - 133-158 Human Capital and Economic Growth: Dynamic Implications of Insider-outsider Problem for Macroeconomics
by Shin-ichi Fukuda & Robert F. Owen
December 2007, Volume 3, Issue 1
- 1-26 Firms' Perceptions of the Business Cycle and Their Managerial and Financial Conditions
by Kazumi Asako & Koichi Ando & Kazuyuki Matsumoto - 27-50 The Role of Trade Credit for Small Firms: An Implication from Japan's Banking Crisis
by Shin-ichi Fukuda & Munehisa Kasuya & Kentaro Akashi - 51-90 Fiscal Federalism and Public Service Provision in Canada
by Jean-Francois Tremblay
January 2006, Volume 2, Issue 1
- 1-44 Principles of Cost-Benefit Analysis
by Robin Boadway - 45-76 Cost-effectiveness analysis and its application for policy evaluation for medicine or public health
by Yasushi Ohkusa & Tamie Sugawara - 77-96 The Lost Decade in the Japanese Labor Market : Labor's share and Okun's Law
by Shigeru Wakita - 97-140 The Government and the Financial System: an Overview
by Kazuhito Ikeo & Yasuo Goto - 141-176 Corporate Debt Restructuring and Public Financial Institutions in Japan -Do Government-Affiliated Financial Institutions Soften Budget Constraints?-
by Kenya Fujiwara - 177-232 Sequencing of Capital Account Liberalization - Japan's experiences and their implications to China-
by Kenji Aramaki - 233-282 The Changes of Accounting Standards and Structural Reform in Japanese companies
by Yasuhiro Asami
March 2005, Volume 1, Issue 1
- 3-18 Reforming Japan's Capital Markets
by Sadakazu Osaki - 19-32 Structural Change in Japanese Business Fluctuations and Nikkei 225 Stock Index Futures Transactions
by Toshiaki Watanabe & Hirokuni Uchiyama - 33-48 The Public Financial System in Japan - Re-verification of the ballooning theory and the privileged government enterprise theory -
by Nobuyoshi Yamori & Narunto Nishigaki - 49-90 Public Debt and the Macroeconomic Stability of Japan
by Keigo Kameda & Masao Nakata - 91-122 An Empirical and Theoretical Study on the Wider Use of Local Currencies in the Asia-Pacific Region after the Asian Financial and Currency Crisis: An analysis focused on Thailand
by Ichiro Inoue