Content
March 2023, Volume 21, Issue 1
- 1-40 Multiscale Agricultural Commodities Forecasting Using Wavelet-SARIMA Process
by Mamadou-Diéne Diop & Jules Sadefo Kamdem - 41-97 Long-Memory, Asymmetry and Fat-Tailed GARCH Models in Value-at-Risk Estimation: Empirical Evidence from the Global Real Estate Markets
by Zouheir Mighri & Raouf Jaziri - 99-121 Examining the Time Varying Spillover Dynamics of Indian Financial Indictors from Global and Local Economic Uncertainty
by Pawan Kumar & Vipul Kumar Singh - 123-149 Abductive Inference and C. S. Peirce: 150 Years Later
by Subhadeep Mukhopadhyay - 151-174 Heckscher-Ohlin Theory or the Modern Trade Theory: How the Overall Trade Characterizes at the Global Level?
by Mohd Hussain Kunroo & Imran Ahmad - 175-191 Electricity Tariff Changes and Consumer Sentiment on Household Consumption Expenditure in Malaysia
by Noriza Mohd Saad & Erna Farina Mohamed & Mohamad Taufik Mohd Arshad & Ahmad Lutfi Mohayiddin - 193-211 The Determinants of Firm’s Growth in the Telecommunication Services Industry: Empirical Evidence from India
by Surabhi Somya & Madhuri Saripalle - 213-234 Nowcasting India’s Quarterly GDP Growth: A Factor-Augmented Time-Varying Coefficient Regression Model (FA-TVCRM)
by Rudrani Bhattacharya & Bornali Bhandari & Sudipto Mundle - 235-264 Can Income Inequality be Affected by the Interaction Between ICTs and Human Capital?: The Evidence from Developing Countries
by Patrick Marie Nga Ndjobo & Nadège Ngah Otabela - 265-265 Correction: Abductive Inference and C. S. Peirce: 150 Years Later
by Subhadeep Mukhopadhyay
December 2022, Volume 20, Issue 4
- 759-779 Quantitative Easing Policy and Income Inequality in the U.S. Economy: Evidence from a FAVAR Model
by Sima Siami Namini - 781-807 The Time-Varying Impact of External Shocks on the Consumer Price Components: Evidence from an Emerging Market
by Abdurrahman Nazif Çatik & Mehmet Karaçuka & A. Özlem Önder - 809-825 Monetary Response to Oil Price Shock in Asian Oil Importing Countries: Evaluation of Inflation Targeting Framework
by Devasmita Jena & Ishika Kataruka - 827-880 An Optimal Crime Control Policy in a Dynamic Setting
by Nasreen Nawaz & Omer Saeed - 881-901 Hazard Analysis of Unemployment Duration of Return Migrants: The Case of Indian State of Kerala
by P. Azad & P. K. Sujathan - 903-929 A Socio Economic Perspective of Intergenerational Educational Mobility: Experience in West Bengal
by Poulomi Roy & Rilina Basu & Shishir Roy - 931-957 Money and Happiness in India: Is Relative Comparison Cardinal or Ordinal and Same for All?
by T. Lakshmanasamy
September 2022, Volume 20, Issue 3
- 489-506 Instrumental Variables Estimation without Outside Instruments
by Kien C. Tran & Mike G. Tsionas - 507-554 The Impacts of the Dollar-Renminbi Exchange Rate Misalignment on the China-United States Commodity Trade: An Asymmetric Analysis
by Sabrine Ferjani & Sami Saafi & Ridha Nouira & Christophe Rault - 555-575 Artificial Neural Network for Modeling the Economic Performance: A New Perspective
by Ahmed Ramzy Mohamed - 577-600 The Impact of Reducing Military Expenditures in South Korea Using a CGE Model
by Woosung Kim - 601-628 Trade Structure and Economic Growth in Emerging and Developing Asia: A Dynamic Panel Analysis
by Kaveri Deb - 629-660 A Macro-Econometric VAR Model of India Incorporating Black Income
by T. P. Sinha - 661-691 Cheap Talk in a New Keynesian Model
by Dennis Wesselbaum - 693-700 Banks, Financial Markets and Economic Development: some evidence for India by
by Subrahmanyam Ganti & Kalluru Siva Reddy - 701-721 A Constant Gain Learning Explanation of U.S. Post War Inflation and Unemployment
by Venkata Raamasrinivas Mangapuram - 723-753 The Impact of R&D and Advertising on Firm Performance in High-Tech Industries—Evidence from the U.S. Information and Communications Technology Industry
by Parisa Pourkarimi & Eric Kam - 755-758 Marjit, S.; Mandal, B. and Nakanishi, N.: Virtual Trade and Comparative Advantage: The Fourth Dimension
by Suryaprakash Mishra
June 2022, Volume 20, Issue 2
- 281-309 Topological Data Analysis and UNICEF Multiple Indicator Cluster Surveys
by Jun Ru Anderson & Fahrudin Memić & Ismar Volić - 311-327 Regression Analysis Using Asymmetric Losses: A Bayesian Approach
by Georgios Tsiotas - 329-336 Some Consequences of Including Impulse-Indicator Dummy Variables in Econometric Models
by David E. Giles - 337-377 An Entropy Approach to Measure the Dynamic Stock Market Efficiency
by Subhamitra Patra & Gourishankar S. Hiremath - 379-399 R&D Spillovers and Product Market Competition
by Sukhdeep Singh - 401-419 ‘Finance-Growth’ Nexus in India Through the Evolutionary Phases of Banking
by Saptarshi Mitra - 421-435 Digitalization and Banking Crisis: A Nonlinear Relationship?
by Mohamed Sami Ben Ali - 437-458 Perspectives into the Industrialization Process of India Through the New Economic Geography Lens
by Mehak Majeed & Saeed Owais Mushtaq & Javaid Iqbal Khan - 459-478 The Unemployment Imbalance Between Non-English-Speaking Migrant Women and Australian Born Women
by Tariq Hassan Haque & M Ohidul Haque - 479-486 Lower Corruption Warrants Less, but Higher Corruption Removes it: A Ricardian Note
by Biswajit Mandal - 487-487 Correction to: Rates of Expansions for Functional Estimators
by Yulia Kotlyarova & Marcia M. A. Schafgans & Victoria Zinde-Walsh
September 2022, Volume 20, Issue 1
- 1-6 Introduction to the Special Issue in Honor of Professor C. R. Rao
by B. L. S. Prakasa Rao & H. D. Vinod - 7-30 Causal Inference of Social Experiments Using Orthogonal Designs
by James J. Heckman & Rodrigo Pinto - 31-48 A Review of Score-Test-Based Inference for Categorical Data
by Alan Agresti & Sabrina Giordano & Anna Gottard - 49-69 Bootstrap Version of Rao–Blackwellization to Two-Step and Instrumental Variable Estimators
by H. D. Vinod - 71-99 Reverse Regressions, Symmetry and Test Distributions in Linear Models
by Jean-Marie Dufour & Byunguk Kang - 101-113 Locally D-Optimal Designs for Binary Responses and Multiple Continuous Design Variables
by Zhongshen Wang & John Stufken - 115-132 Factor Analysis Regression for Predictive Modeling with High-Dimensional Data
by Randy Carter & Netsanet Michael - 133-159 Frequentist Model-based Statistical Induction and the Replication Crisis
by Aris Spanos - 161-190 A Comparative Evaluation of Some DSP Filters vis-à-vis Commonly Used Economic Filters
by Dilip Nachane & Aditi Chaubal - 191-210 Bayesian Testing of Granger Causality in Functional Time Series
by Rituparna Sen & Anandamayee Majumdar & Shubhangi Sikaria - 211-234 MCMC Convergence for Global-Local Shrinkage Priors
by Kshitij Khare & Malay Ghosh - 235-260 Probabilistic Frontier Regression Models for Count Type Output Data
by Meena Badade & T. V. Ramanathan - 261-276 Comparing the Secular Increasing Trend and Effect of the Response to the 2008 Financial Recession on Wealth Inequality in the U.S. with Other Nations Using the Median-based Gini Index
by Joseph L. Gastwirth & Qing Shi - 277-302 Agricultural Productivity Growth and Structural Transformation in Rural India: Some Recent Evidence
by K. L. Krishna & J. V. Meenakshi
March 2022, Volume 20, Issue 1
- 1-22 The Determinants of Access to Informal Credits in India: An Application of Quantiles via Moments Method
by Aswini Kumar Mishra & Vedant Bhardwaj - 23-42 State Ownership and Dividend Decisions: Economic Versus Political Determinants
by Ritika Jain - 43-67 Measuring Time Preferences Using Stated Credit Repayment Choices
by Hanjin Li & Danny Campbell & Seda Erdem - 69-95 Determinants of Multidimensional Poverty in Rural Tripura, India
by Salim Shah & Niranjan Debnath - 97-136 Lease Auctions with Retention Options
by Pranjal Chandrakar & Shubhabrata Das & Manaswini Bhalla - 137-157 US QE and the Indian Bond Market
by Moumita Paul & Kalluru Siva Reddy - 159-171 Modeling the Commodity Prices of Base Metals in Indian Commodity Market Using a Higher Order Markovian Approach
by Suryadeepto Nag & Sankarshan Basu & Siddhartha P. Chakrabarty - 173-209 Dynamic Interactions Between Structure and Performance in the Textile and Clothing Industry in India: An Econometric Approach
by Tanveer Ahmad Khan & Indrani Chakraborty - 211-255 Do Boards Govern Executive Remuneration in Indian Banks? An Econometric Exploration
by Rachita Gulati & Madhur Bhatia & Geeta Duppati - 257-279 Modeling Dependent Structure Among Micro-Economics Variables Through COPAR (1)-Model in Pakistan
by Yousaf Ali Khan
December 2021, Volume 19, Issue 4
- 617-652 A Data Paradigm to Operationalise Expanded Filtration: Realized Volatilities and Kernels from Non-Synchronous NASDAQ Quotes and Trades
by Ranjan R. Chakravarty & Sudhanshu Pani - 653-701 The Efficiency of Indian Banks: A DEA, Malmquist and SFA Analysis with Bad Output
by Ather Hassan Dar & Somesh Kumar Mathur & Sila Mishra - 703-725 A Framework for Modelling Economic Regional Location Processes Under Uncertainty
by Roy Cerqueti & Eleonora Cutrini - 727-746 Do Corruption and Income Inequality Play Spoilsport in The Energy Efficiency-Growth Relationship in BRICS Countries?
by Madhu Sehrawat & Sanjay Kumar Singh - 747-765 Returns to Growth in Indian Automobile Industry: A Non-Parametric Data Envelopment Analysis (DEA) Approach
by Ramakrushna Panigrahi - 767-793 Measuring Income Elasticity of Healthcare-Seeking Behavior in India: A Conditional Quantile Regression Approach
by Jay Dev Dubey - 795-818 How Effective are Stock Market Reforms in Emerging Market Economies? Evidence from a Panel VAR Model of the Indian Stock Market
by Sumon Kumar Bhaumik & Manisha Chakrabarty & Ali M. Kutan & Ekta Selarka - 819-844 Petroleum Consumption and Economic Growth Nexus in Nigeria: Evidence from Nonlinear ARDL and Causality Approaches
by Anthony E. Akinlo - 845-845 Retraction Note to: Google Search Intensity and the Investor Attention Effect: A Quantile Regression Approach
by Vighneswara Swamy & M. Dharani
September 2021, Volume 19, Issue 3
- 403-425 On the Exchange Rates Volatility and Economic Policy Uncertainty Nexus: A Panel VAR Approach for Emerging Markets
by Abir Abid & Christophe Rault - 427-450 The Dilemma of Intellectual Property Agreements and R&D in Developing Economies: A Game Theory Approach
by Mhamed-Ali El-Aroui & Selma Dellagi & Fouad Ben Abdelaziz - 451-470 Asymmetric Effects of Economic Policy Uncertainty on the Demand for Money in India
by S. M. Woahid Murad & Ruhul Salim & Md. Golam Kibria - 471-491 Monetary Business Cycle Accounting Analysis of Indian Economy
by Kshitiz Mishra & Partha Chatterjee - 493-523 Financialization of the Real Economy: New Empirical Evidence from the Non-financial Firms in India Using Conditional Logistic Model
by Shromona Ganguly - 525-553 Inflation Persistence in India
by Pami Dua & Deepika Goel - 555-581 Modelling Inflation in India
by Pulapre Balakrishnan & M. Parameswaran - 583-596 Simultaneous Equations with Three Way Error Components
by Marius C. O. Amba - 597-610 What Drives Informality of Micro and Small Cameroonian Businesses?
by Novice Patrick Bakehe & Georges Dieudonné Mbondo - 611-613 Agrawal, Ankush and Kumar Vikas: Numbers in India’s Periphery: The Political Economy of Government Statistics, 2020, Cambridge University Press, Cambridge, UK
by Poonam Singh
June 2021, Volume 19, Issue 2
- 181-205 On Some Characterizations of Probability Distributions with Applications in Econometrics: A Centennial Tribute to CR Rao
by B. L. S. Prakasa Rao & T. Krishna Kumar - 207-222 Copula-based Stochastic Cost Frontier with Correlated Technical and Allocative Inefficiency
by Arabinda Das - 223-249 Financial Inclusiveness and Mobilization of Household Savings in Rural Area: Are They Related?
by Tanmoyee Banerjee-Chatterjee & Malabika Roy & Ajitava Raychaudhuri - 251-267 Demand-Driven and Supply-Sided Input–Output Models
by Fidel Aroche Reyes & Marco Antonio Marquez Mendoza - 269-289 Income Inequality and Individual Health Status: Evidence from India
by Sohini Paul - 291-316 Foreign Institutional Investors: Fair-Weather Friends or Smart Traders?
by Hari Venkatesh & Jyoti Kumari & Gourishankar S. Hiremath & Hiranmoy Roy - 317-344 Exploring Higher Order Risk Preferences of Farmers in a Water-Scarce Region: Evidence from a Field Experiment in West Bengal, India
by Kanchan Joshi & Thiagu Ranganathan & Ram Ranjan - 345-373 Trade Openness and Labour Market Unrest: Evidence from Indian Manufacturing Industry
by M Parameswaran - 375-391 District-Level Estimates of Poverty Incidence for the State of West Bengal in India: Application of Small Area Estimation Technique Combining NSSO Survey and Census Data
by Hukum Chandra - 393-402 A Sequential Bayesian Change-Point Analysis of BRICS Currency Returns
by Aviral Kumar Tiwari & Cleiton Guollo Taufemback & Satish Kumar
March 2021, Volume 19, Issue 1
- 1-21 Information Theoretic Ranking of Extreme Value Returns
by Parthajit Kayal & Sumanjay Dutta & Vipul Khandelwal & Rakesh Nigam - 23-37 Long Memory and Fractality Among Global Equity Markets: a Multivariate Wavelet Approach
by Avishek Bhandari & Bandi Kamaiah - 39-49 Using Non-parametric Count Model for Credit Scoring
by Sami Mestiri & Abdeljelil Farhat - 51-66 The Income-Demand Curve: Implicit Function and Data Analysis Methods
by Shuji Takahashi - 67-85 Measuring Child Labour: The Indian Scenario
by Sourav Chakrabortty & Nilanjana Joseph Roy & Sugata Sen Roy - 87-122 Growth of the Firms and Investments in Innovations: An Empirical Investigation of the Indian Manufacturing Industry
by Sukhdeep Singh & Indrani Chakraborty - 123-138 Property Rights Documentation in Determining Credit Availability for Informal Firms: A Study of Indian Firms
by Meghna Dutta & Niladri Sekhar Dhar - 139-160 Government Spending, GDP and Exchange Rate in Zero Lower Bound: Measuring Causality at Multiple Horizons
by Charles Olivier Mao Takongmo & Laetitia Lebihan - 161-179 The Case of the ‘Missing Middle’ in the Indian Manufacturing Sector: A Firm Level Analysis
by Sunandan Ghosh & Vinoj Abraham
December 2021, Volume 19, Issue 1
- 1-8 The Special Issue in Honor of Anirudh Lal Nagar: An Introduction
by Yong Bao & Aman Ullah - 9-16 Professor A.L. Nagar’s Glorious Academic Life at The Delhi School of Economics and Elsewhere: An Introductory Essay
by K. L. Krishna - 17-37 Analytical Finite Sample Econometrics: From A. L. Nagar to Now
by Yong Bao & Aman Ullah - 39-58 Problems with the Control Variable Approach in Achieving Unbiased Estimates in Nonlinear Models in the Presence of Many Instruments
by Jinyong Hahn & Jerry Hausman - 59-77 Improved Maximum Likelihood Estimation for the Weibull Distribution Under Length-Biased Sampling
by David E. Giles - 79-98 Indirect Inference Estimation of a First-Order Dynamic Panel Data Model
by Yong Bao - 99-120 Higher-Order Stochastic Expansions and Approximate Moments for Non-linear Models with Heterogeneous Observations
by Paul Rilstone - 121-139 Rates of Expansions for Functional Estimators
by Yulia Kotlyarova & Marcia M. A. Schafgans & Victoria Zinde-Walsh - 141-162 Moments of a Wishart Matrix
by Grant Hillier & Raymond Kan - 163-217 Pitfalls in Bootstrapping Spurious Regression
by Peter C. B. Phillips - 219-237 Bootstrapping the Stein-Rule Estimators
by Akio Namba - 239-266 Weak Versus Strong Dominance of Shrinkage Estimators
by Giuseppe Luca & Jan R. Magnus - 267-285 Generalized Bayes Estimator for Spatial Durbin Model
by Anoop Chaturvedi & Shalabh & Sandeep Mishra - 287-308 The Spectral Envelope: An Application to the Decoupling Problem in Economics
by Dilip M. Nachane & Amlendu Dubey - 309-336 Regime Shifts in the Behaviour of International Currency and Equity Markets: A Markov-Switching Analysis
by Pami Dua & Divya Tuteja - 337-362 How does the Pattern of Growth Impact Poverty Reduction in Rural China?
by Nanak Kakwani & Luo Chuliang - 363-381 Forecasting in Big Data Environments: An Adaptable and Automated Shrinkage Estimation of Neural Networks (AAShNet)
by Ali Habibnia & Esfandiar Maasoumi - 383-400 Predictive Performance of Mixed-Frequency Nowcasting and Forecasting Models (with Application to Philippine Inflation and GDP Growth)
by Roberto S. Mariano & Suleyman Ozmucur - 401-417 Modeling Judgment in Macroeconomic Forecasts
by Philip Hans Franses - 419-441 Estimation of Random Components and Prediction in One and Two-Way Error Component Regression Models
by Subhash C. Sharma & Anil K. Bera
December 2020, Volume 18, Issue 4
- 733-745 Bayesian Estimation and Unit Root Test for Logistic Smooth Transition Autoregressive Process
by Anoop Chaturvedi & Shivam Jaiswal - 747-766 A Comparative Study of Alternative Approaches to Estimate Productivity
by Saleem Shaik & Joseph Atwood - 767-782 Order Flows, Investor Sentiments and Feedback Trade in Index Futures Market
by Ameet Kumar Banerjee & H. K. Pradhan - 783-798 How Do Factor Specificity and Emigration Make Income Inequality Worse in Developing Countries?
by Dambar Uprety - 799-823 Are Current Account Deficits Sustainable? Evidence from Dynamic Panel Data Analysis
by Santosh Kumar Dash - 825-859 Quantile Regression Analysis of Predictors of Calorie Demand in India: An Implication for Sustainable Development Goals
by Biswabhusan Bhuyan & Bimal Kishore Sahoo & Damodar Suar - 861-890 Selective Mortality and Malnutrition in India
by Pallavi Panda - 891-909 Empirical Assessment of Money Demand Stability Under India’s Open Economy: Non-linear ARDL Approach
by Masudul Hasan Adil & Salman Haider & Neeraj R. Hatekar - 911-926 Time-Series Based Empirical Assessment of Random Urban Growth: New Evidence from France
by Aurélie Lalanne & Martin Zumpe - 927-939 Communication Cost, Skilled-Unskilled Wage, and Informality
by Biswajit Mandal & Sujata Ghosh - 941-954 Political Business Cycles, Elections and Entrepreneurial Finance: A Framework
by Rohan Chinchwadkar - 955-957 Asis Kumar Banerjee: Measuring Development: An Inequality Dominance Approach
by Soumyen Sikdar - 959-962 Panchanan Das: Econometrics in Theory and Practice—Analysis of Cross Section, Time Series and Panel Data with Stata 15.1
by Rajarshi Majumder
September 2020, Volume 18, Issue 3
- 471-493 A Theory of Growth and Threshold Inflation with Estimates
by Ravindra H. Dholakia - 495-523 Smoking Behavior of Older Adults: A Panel Data Analysis Using HRS
by Kajal Lahiri & Xian Li - 525-550 Is Exchange Rate Volatility Symmetric to Oil Price Volatility? An Investigation for India
by Vinish Kathuria & Jyotirmayee Sabat - 551-585 A Bayesian Signals Approach for the Detection of Crises
by Panayotis Michaelides & Mike Tsionas & Panos Xidonas - 587-610 Value-at-Risk in the Presence of Structural Breaks Using Unbiased Extreme Value Volatility Estimator
by Dilip Kumar - 611-630 Can Robust Optimization Offer Improved Portfolio Performance? An Empirical Study of Indian market
by Shashank Oberoi & Mohammed Bilal Girach & Siddhartha P. Chakrabarty - 631-655 Comparison of Some Static Hedging Models of Agricultural Commodities Price Uncertainty
by Jules Sadefo Kamdem & Zoulkiflou Moumouni - 657-681 Robust Inference by Sub-sampling
by Nasreen Nawaz - 683-707 Fiscal Deficit and Economic Growth Nexus in India: A Simultaneous Error Correction Approach
by Ranjan Kumar Mohanty - 709-731 Catastrophe Theory Predicts International Concern for Global Warming
by Mohamed M. Mostafa
June 2020, Volume 18, Issue 2
- 235-252 Software-Illustrated Explanations of Econometrics Contributions by CR Rao for his 100-th Birthday
by H. D. Vinod - 253-291 Financial Frictions and Shocks in an Estimated Small Open Economy DSGE Model
by Gan-Ochir Doojav & Kaliappa Kalirajan - 293-326 Simplified Matrix Methods for Multivariate Edgeworth Expansions
by Gubhinder Kundhi & Paul Rilstone - 327-358 Multi-level Determinants of Inward FDI Ownership
by Samyukta Bhupatiraju - 359-381 Bank Lending and Monetary Transmission: Does Politics Matter?
by Saibal Ghosh - 383-402 Understanding the Short Run Relationship Between Stock Market and Growth in Emerging Economies
by Agnirup Sarkar - 403-423 RETRACTED ARTICLE: Google Search Intensity and the Investor Attention Effect: A Quantile Regression Approach
by Vighneswara Swamy & M. Dharani - 425-445 Financial Development Thresholds and the Remittances-Growth Nexus
by Chrysost Bangake & Jude Eggoh - 447-456 Threshold Effect in the Relationship Between External Debt and Economic Growth: A Dynamic Panel Threshold Specification
by Taha Zaghdoudi - 457-470 The New Monetary Policy Framework: What it Means
by Rangarajan Chakravarty
March 2020, Volume 18, Issue 1
- 1-28 Shall One Sit “Longer” for a Free Lunch? Impact of Trading Durations on the Realized Variances and Volatility Spillovers
by Gaurav Raizada & Vartika Srivastava & S. V. D. Nageswara Rao - 29-51 Optimal Decision on Dynamic Insurance Price and Investment Portfolio of an Insurer with Multi-dimensional Time-Varying Correlation
by Hong Mao & Zhongkai Wen - 53-79 Optimal Time Interval Selection in Long-Run Correlation Estimation
by Pedro H. Albuquerque - 81-102 Procyclical Debt as Automatic Stabilizer
by Dennis Wesselbaum - 103-127 Time Varying Efficiency in Indian Sectors: An Event Study on Demonetization
by Samit Paul - 129-142 A Comparative Analysis of the Hedging Effectiveness of Farmgate Milk Prices for New Zealand and United States Dairy Farmers
by Nawazish Mirza & Krishna Reddy & Amir Hasnaoui & Peter Yates - 143-167 The Impact of Cooperative R&D and Advertising on Innovation and Welfare
by Parisa Pourkarimi & Gamal Atallah - 169-189 Time Series Dynamics of Sugar Export Earnings in Fiji with Multiple Endogenous Structural Breaks: Implications for EU Sugar and Industry Reforms
by Janesh Sami - 191-229 Improving Nigeria’s Inflation Forecast with Oil Price: The Role of Estimators
by Moses Tule & Afees Salisu & Charles Chiemeke - 231-234 Economic Properties of Statistical Indices: The Case of a Multidimensional Gini Index: A Correction and an Addition
by Asis Kumar Banerjee
December 2019, Volume 17, Issue 4
- 711-725 Production Sectors and Regions in Macroeconometric Models of India
by Shashanka Bhide - 727-739 Unilateral Support Equilibrium, Berge Equilibrium, and Team Problems Solutions
by Bertrand Crettez - 741-762 Political Risk and Real Exchange Rate: What Can We Learn from Recent Developments in Panel Data Econometrics for Emerging and Developing Countries?
by Mohsen Bahmani-Oskooee & Thouraya Hadj Amor & Ridha Nouira & Christophe Rault - 763-779 An Approach Using Entropy and Supervised Classifications to Disaggregate Agricultural Data at a Local Level
by António Xavier & Rui Fragoso & Maria Belém Costa Freitas & Maria Socorro Rosário - 781-799 Welfare Cost of Inflation: Evidence from India
by Irfan Ahmad Shah & Manmohan Lal Agarwal & Srikanta Kundu - 801-827 Monetary Policy Announcements and Stock Returns: Some Further Evidence from India
by Sashikanta Khuntia & Gourishankar S. Hiremath - 829-855 A Flexible Approach to Age Dependence in Organizational Mortality: Comparing the Life Duration for Cooperative and Non-Cooperative Enterprises Using a Bayesian Generalized Additive Discrete Time Survival Model
by Damien Rousselière - 857-868 When Spillovers Enhance R&D Incentives
by Rittwik Chatterjee & Srobonti Chattopadhyay & Tarun Kabiraj - 869-884 Evidence on Relationship Between Economic Growth and Financial Development of Selected Northern Indian States: Using Panel VEC Approach
by Shravani Sharma & Supran Kumar Sharma - 885-912 Gold as Safe Haven for G-7 Stocks and Bonds: A Revisit
by Syed Jawad Hussain Shahzad & Naveed Raza & David Roubaud & Jose Arreola Hernandez & Stelios Bekiros - 913-935 Analysing Changes in Gender Difference in Learning in Rural India over Time
by Chandan Jain - 937-948 Some Logical and Normative Issues Relating to Measurement in the Social Sciences
by S. Subramanian
September 2019, Volume 17, Issue 3
- 459-475 Imputation of Missing Values in the Fundamental Data: Using MICE Framework
by Balasubramaniam Meghanadh & Lagesh Aravalath & Bhupesh Joshi & Raghunathan Sathiamoorthy & Manish Kumar - 477-512 Gini-PLS Regressions
by Stéphane Mussard & Fattouma Souissi-Benrejab - 513-524 A Hierarchical Stochastic Frontier Model for Efficiency Measurement Under Technology Heterogeneity
by Ioannis Skevas - 525-540 Modeling the Education Supply Chain with Network DEA Model: The Case of Tunisia
by Sourour Ramzi - 541-549 The West African Economic and Monetary Union: Optimality Revisited
by Marcelin W. Diagne - 551-577 Analysing the spillover of inflation in selected Euro-area countries
by Aviral Kumar Tiwari & Muhammad Shahbaz & Haslifah M. Hasim & Mohamed M. Elheddad - 579-601 An Empirical Investigation of Twin Deficits Hypothesis: Evidence from India
by Ranjan Kumar Mohanty - 603-622 Socio-economic Determinants of Multidimensional Poverty in Rural West Bengal: A Household Level Analysis
by Poulomi Roy & Soma Ray & Sushil Kumar Haldar - 623-665 Conventional and Islamic Banks’ Performance in the Gulf Cooperation Council Countries; Efficiency and Determinants
by Ihsen Abid & Mohamed Goaied & Mouldi Ben Ammar - 667-698 Extremal Economic (Inter)Dependence Studies: A Case of the Eastern European Countries
by Roman Matkovskyy - 699-705 Patent Protection and R&D Incentives Under Incomplete Information
by Srobonti Chattopadhyay & Rittwik Chatterjee - 707-709 Dilip M. Nachane: Critique of the new consensus macroeconomics and implications for India
by Kamaiah Bandi & Rajendra N. Paramanik
June 2019, Volume 17, Issue 2
- 251-270 A Recursive Monte Carlo Study of Structural-Break Sensitivity of Adjustment Coefficients in Cointegrated VAR Systems
by Takamitsu Kurita - 271-285 Efficiency Decomposition in two-stage Data Envelopment Analysis: An application to Life Insurance companies in India
by Suvvari Anandarao & S. Raja Sethu Durai & Phanindra Goyari - 287-309 Asymmetric Causality Between Inflation and Uncertainty: Evidences from 33 Developed and Developing Countries
by Mehdi Hajamini - 311-329 Local Leadership and Public Good: Evidence from The National Rural Employment Guarantee Scheme in India
by Ronit Mukherji - 331-343 Inflation Forecast: Just use the Disaggregate or Combine it with the Aggregate
by Kausik Chaudhuri & Saumitra N. Bhaduri - 345-360 Evaluation of the Survey of Professional Forecasters in the Greenbook’s Loss Function
by Tae-Hwy Lee & Yiyao Wang - 361-375 Government Expenditures and Revenues in Italy in a Long-run Perspective
by Gordon L. Brady & Cosimo Magazzino - 377-396 Non-farm Income and Consumption Expenditures in Rural Bangladesh: Empirical Evidence from Multilevel Regression Modelling
by M. J. Hossain & A. K. M. Abdullah Al-Amin - 397-420 New Evidence on the Relationship Between Crude Oil Consumption and Economic Growth in the US: A Quantile Causality and Cointegration Approach
by Amine Lahiani & Ramzi Benkraiem & Anthony Miloudi & Muhammad Shahbaz - 421-432 Zakat and Poverty Alleviation in Tunisia Using the Fuzzy Approach
by Mejda Bouanani & Besma Belhadj - 433-446 Application of Neural Networks to Short Time Series Composite Indexes: Evidence from the Nonlinear Autoregressive with Exogenous Inputs (NARX) Model
by Roman Matkovskyy & Taoufik Bouraoui