Content
December 2016, Volume 6, Issue 3
- 459-479 A characterization of implementability of decision rules via a menu of three-part tariffs
by Masahiro Watabe - 481-487 Regret theory and the competitive firm revisited
by Udo Broll & Peter Welzel & Kit Pong Wong - 489-498 Cash benefits for poverty relief from the viewpoint of suicide prevention
by Tomoya Suzuki
August 2016, Volume 6, Issue 2
- 153-171 Gender, caste and poverty in India: evidence from the National Family Health Survey
by William D. Lastrapes & Ramaprasad Rajaram - 173-194 Trade and income growth in the Ottoman Empire: assessing the role of volatility and trend growth in terms of trade
by Cemal Eren Arbatli - 215-274 Stock markets and effective exchange rates in European countries: threshold cointegration findings
by Christos Kollias & Stephanos Papadamou & Costas Siriopoulos - 275-287 Eurasian orientation and global trade integration: the case of Turkey
by Anagnostou Ageliki & Panteladis Ioannis - 289-314 Exchange rate volatilities and disaggregated bilateral exports of Malaysia to the United States: empirical evidence
by Wong Hock Tsen - 315-339 Defining the factors of Fitch rankings in the European banking sector
by Themistokles Lazarides & Evaggelos Drimpetas
April 2016, Volume 6, Issue 1
- 97-110 CO2 emissions and human development in OECD countries: granger causality analysis with a panel data approach
by Serap Bedir & Vildan Merve Yilmaz - 111-124 The effects of low cost carrier entry in the Turkish Airline industry
by Resul Aydemir & Cihad Haytural
December 2015, Volume 5, Issue 2
- 189-206 Better governance matters optimal privatization policy
by Leonard Wang & Tien-Der Han - 207-229 Privatization, intermediation and performance: global evidence
by Doug Dyer & Majdi Quttainah & Pengfei Ye - 231-250 Trade-off between financial sustainability and outreach of microfinance institutions
by Mira Nurmakhanova & Gavin Kretzschmar & Hassouna Fedhila - 251-277 What makes banking crisis resolution difficult? Lessons from Japan and the Nordic Countries
by Michael Diemer & Uwe Vollmer - 279-295 Optimal output for the regret-averse competitive firm under price uncertainty
by Martín Egozcue & Xu Guo & Wing-Keung Wong - 297-330 Can tax simplification help lower tax corruption?
by Rajul Awasthi & Nihal Bayraktar - 331-343 How will a risk of income fluctuations influence the suicidal decision making? Insights from a three-period model of suicide
by Tomoya Suzuki - 345-365 Altruism and four shades of family relationships
by Yoshitaka Koda & Manachaya Uruyos - 367-367 Erratum to: Monetary policy challenges: how central banks changed their modus operandi
by Giorgio Giorgio - 369-370 Erratum to: The probability of default in Russian banking
by Alexander Karminsky & Alexander Kostrov
June 2015, Volume 5, Issue 1
- 1-21 Analyst coverage, syndicate structure, and loan contracts
by LiuLing Liu - 23-62 Excess premium offers and bidder success in European takeovers
by Wolfgang Bessler & Colin Schneck - 63-76 R&D spillovers and information exchange: a case study
by Klaus Kultti & Tuomas Takalo & Tanja Tanayama - 77-109 Political uncertainty and non-pricing terms of financial contract
by Yun Zhu - 111-137 Political regimes and stock market development
by Bill Francis & Eric Ofori - 139-160 Financing activities after accounting restatements: an examination of SEOs and PIPEs
by Kose John & Joe Shangguan & Ravi Mateti - 161-178 Institutional investors and conservative financial reporting: evidence from China
by Yue Chen & Lingxiang Li & Haizhi Wang & Peng Wang - 179-187 Distribution strategy and movie performance: an empirical note
by Rocco Ciciretti & Iftekhar Hasan & Maya Waisman
December 2014, Volume 4, Issue 2
- 113-132 Modeling and forecasting Hang Seng index volatility with day-of-week effect, spillover effect based on ARIMA and HAR
by Yanhui Chen & Kin Lai & Jiangze Du - 133-162 Asset price volatility and financial contagion: analysis using the MS-VAR framework
by Chau Le & Dickinson David - 163-176 Hedging with mini gold futures: evidence from Korea
by Seokchin Kim & Cheolho Park & Youngjun Yun - 177-198 The impact of scale of operation on financial performance in microfinance
by Trong Ngo & Andrew Mullineux & Anh Ly - 199-221 The financial distress indicators trend in Italy: an analysis of medium-size enterprises
by Alessandro Zeli - 223-250 Young people and the digital divide in Egypt: an empirical study
by Mona Badran
June 2014, Volume 4, Issue 1
- 1-2 Editorial Note
by Hakan Danis & Peter Rangazas - 3-24 Japan’s monetary policy in a challenging environment
by Sayuri Shirai - 25-43 Monetary policy challenges: how central banks changed their modus operandi
by Giorgio Giorgio - 45-69 Managing short-term capital flows in new central banking: unconventional monetary policy framework in Turkey
by Ahmet Aysan & Salih Fendoglu & Mustafa Kilinc - 71-79 Effects of additional monetary tightening on exchange rates
by Ergun Ermisoglu & Yasin Akcelik & Arif Oduncu & Temel Taskin - 81-98 The probability of default in Russian banking
by Alexander Karminsky & Alexander Kostrov - 99-112 Hedging China’s energy oil market risks
by Marco Lau & Yongyang Su & Na Tan & Zhe Zhang
December 2013, Volume 3, Issue 2
- 98-113 Technological Choices and Labor Market Participation: Negative Income Tax
by Samir Amine & Pedro Santos - 114-135 Arm’s Length Method for Comparing Rating Scales
by Alexander Karminsky & Richard Hainsworth & Vasily Solodkov - 136-164 Mongolian and World Equity Markets: Volatilities and Correlations
by Yertai Tanai & Kuan-Pin Lin - 165-182 The Relationship between Economic Growth and Income Distribution in Turkey and the Turkish Republics of Central Asia and Caucasia: Dynamic Panel Data Analysis with Structural Breaks
by Mehmet Mercan & Ozlem Azer - 183-202 The Impact of Ownership Concentration, Commissioners on Bank Risk and Profitability: Evidence from Indonesia
by Mamduh Hanafi & Fitri Santi & Muazaroh
June 2013, Volume 3, Issue 1
- 1-7 Introduction: The Dual Economy Approach to Economic Growth and Development
by Peter Rangazas - 8-38 Supply Side Structural Change
by Juan Cordoba - 39-58 Measuring Aggregate Agricultural Labor Effort in Dual Economies
by Dietrich Vollrath - 59-83 Wage and Fertility Gaps in Dual Economies
by Peter Rangazas & Alexandros Mourmouras - 84-97 Surplus Labour and Urbanization in China
by Xiaobing Wang & Nick Weaver
December 2012, Volume 2, Issue 2
- 1-16 EU Enlargement to Turkey: Potential Effects on Turkey’s Agricultural Income and Markets
by Thomas Fellmann & Myrna Leeuwen & Petra Salamon & Ali Koc & Gulden Boluk - 17-36 Financial Constraints, Quality of Institutions and Firm Size: What Do Perceptions Tell Us?
by Nurullah Gur - 37-53 Determining Hub Efficiency in Europe, the Middle East, and North Africa: The Impact of Geographical Positioning
by M. Nenem & E. Ozkan-Gunay - 54-93 Macroeconomic Policies for Slovenia after the “Great Recession”
by Dmitri Blueschke & Viktoria Blueschke-Nikolaeva & Reinhard Neck & Klaus Weyerstrass
June 2012, Volume 2, Issue 1
- 1-31 A Quantitative Mirror on the Euribor Market Using Implied Probability Density Functions
by Josep Puigvert-Gutiérrez & Rupert Vincent-Humphreys - 32-47 A Panel Causality Analysis of the Relationship among Research and Development, Innovation, and Economic Growth in High-Income OECD Countries
by Bulent Guloglu & R. Tekin - 48-62 General Analysis of Cournot Mixed Oligopoly with Partial Privatization
by Koji Okuguchi - 63-80 The Effects of Population Ageing on Private Consumption — A Simulation for Austria Based on Household Data up to 2050
by Birgit Aigner-Walder & Thomas Döring
December 2011, Volume 1, Issue 2
- 95-125 Capital Investment, Earnings, and Annual Stock Returns: Causality Relationships In China
by Ahmet Inci - 126-142 Comparing High Frequency Data of Stocks that are Traded Simultaneously in the US and Germany: Simulated Versus Empirical Data
by Jörg Rieger & Kirsten Rüchardt & Bodo Vogt - 143-156 The Composition of Foreign Reserves of the Central Banks of Selected Countries: Will the Euro Replace the Dollar?
by Akbar Komijani & Hossein Tavakolian - 157-178 A Higher Moment Downside Framework for Conditional and Unconditional Capm in the Russian Stock Market
by Tamara Teplova & Evgeniya Shutova
June 2011, Volume 1, Issue 1
- 1-1 Editorial Note
by Hakan Danis & Peter Rangazas - 3-28 Relative Efficiency of Government Spending and Its Determinants: Evidence from East Asian Countries
by Eric Wang & Eskander Alvi - 29-50 Micro-Finance and Rural Enterprises: An Analysis of Operational Performance and Constraints in the SHG-Bank Linkage Program in India
by Sudhir Jain & K. Tripathy - 51-65 Fishing In Troubled Waters: The Lull Before The Storm
by Sílvia Ysàs & Magda Costa - 66-94 The Position of Women in Social and Economic Life: A Comparison between the EU and Turkey
by Nuray Karaca & Fatma Kocabaş