Content
May 2015, Volume 22, Issue 7
- 572-575 FDI inflows; how do they interact with non-FDI inflows during crises? Some evidence from Asia
by Tony Cavoli - 576-580 Distributed access to linked microdata: the example of ICT and exports
by Eva Hagsten - 581-586 'Bribing' regulators
by Dennis L. Weisman - 587-592 A simple solution to the distance puzzle: balanced data and Poisson estimation
by David Buehler & Roger White
April 2015, Volume 22, Issue 6
- 425-429 Regional heterogeneity in growth and inequality elasticities of poverty in transition countries
by Ivica Rubil - 430-435 Input aggregation bias in technical efficiency with multiple criteria analysis
by A. M. Aldanondo & V. L. Casasnovas - 436-440 Boosting new venture projects through incubator development programme
by Zouha�er M'Chirgui & Asma Guerfali & Wadid Lamine & Mohamed Safouane Ben A�ssa - 441-445 Effectiveness of monetary policy under different levels of capital flows for an emerging economy: Turkey
by Volkan �lke & Hakan Berument - 446-450 Causal relationships between the capital account and the current account: an empirical investigation from India
by Bhavesh Garg & K. P. Prabheesh - 451-454 Future of European funds in a regional economy: Andalusia 2014-2020
by M. Alejandro Cardenete & M. Carmen Delgado - 455-460 Mutual fund performance: dividends do matter
by Diego V�ctor de Mingo-L�pez & Juan Carlos Matall�n-S�ez - 461-465 On mergers, monetary policy and output durability
by Samer Adra - 466-473 Which precious metals spill over on which, when and why? Some evidence
by Jonathan A. Batten & Cetin Ciner & Brian M. Lucey - 474-482 Spillovers from health insurance to the US underground economy
by Rajeev K. Goel & James W. Saunoris - 483-487 Effects of ECB balance sheet policy announcements on inflation expectations
by Richhild Moessner - 488-492 Use of imported inputs and the cost of importing: evidence from developing countries
by Mohammad Amin & Asif Islam - 493-498 Are female politicians more responsive to international crises?
by Daniel L. Hicks & Joan Hamory Hicks & Beatriz Maldonado - 499-502 Gasoline price predictability in a border metropolitan economy
by Thomas M. Fullerton & Alan Jimenez & Yu Liu & Adam G. Walke - 503-509 Realized volatility forecasting in an international context
by Nicholas Taylor
March 2015, Volume 22, Issue 5
- 335-342 Examining the structural changes of European carbon futures price 2005-2012
by Bangzhu Zhu & Julien Chevallier & Shujiao Ma & Yiming Wei - 343-348 Revisiting Svensson's test of inflation target credibility
by Alexander Kupfer - 349-355 Which comes first - urbanization or economic growth? Evidence from heterogeneous panel causality tests
by Brantley Liddle & George Messinis - 356-360 Do debt crises boost financial reforms?
by Luca Agnello & Vitor Castro & João Tovar Jalles & Ricardo M. Sousa - 361-369 The immigrant-native earnings gap across the earnings distribution
by Sara Lemos - 370-377 Dynamics between crude oil and equity markets under the risk-neutral measure
by Marie-H�l�ne Gagnon & Gabriel J. Power & Dominique Toupin - 378-384 Are international fund flows pro- or counter-cyclical?
by Suxiao Li & Jakob de Haan & Bert Scholtens & Haizhen Yang - 385-390 Countercyclical capital buffers: credit-to-GDP ratio versus credit growth
by Francisco J. Ib��ez-Hern�ndez & Miguel �. Pe�a-Cerezo & Andr�s Araujo - 391-396 Establishing a hawkish reputation: interest rate setting by newly appointed central bank governors
by Matthias Neuenkirch - 397-401 Panel data analysis for renewable energy investment determinants in Europe
by G. S. Sisodia & I. Soares - 402-405 Idiosyncratic volatility and global equity markets
by Klaus Grobys - 406-410 Measuring task content and offshorability
by Julia P�schel - 411-415 Family member incarceration and delinquent behaviour in the classroom: evidence from Brazil
by Cristiano M. Costa & Luciana D. Costa & Renata C. Gomes - 416-420 The long-run effect of trade on life expectancy in the United States: an empirical note
by Dierk Herzer - 421-424 Modelling African inflation rates: nonlinear deterministic terms and long-range dependence
by Guglielmo Maria Caporale & Hector Carcel & Luis A. Gil-Alana
March 2015, Volume 22, Issue 4
- 247-250 M-Squared and ranking issues for risky assets
by G. Glenn Baigent - 251-254 Does attachment to money affect reciprocity behaviour?
by Merav Malcman & Mosi Rosenboim & Tal Shavit - 255-260 Revisiting a story of two countries in East Asia after Abenomics
by Danbee Park & Joocheol Kim - 261-265 Investor attention and advisor social media interaction
by Tao Guo & Michael Finke & Barry Mulholland - 266-271 Does unauthorized school absenteeism accelerates the dropout decision? - Evidence from a Bayesian duration model
by Sofie J. Cabus & Kristof De Witte - 272-280 Managed portfolio performance and transaction costs
by Nicholas Taylor - 281-284 The impact of state and federal assault weapons bans on public mass shootings
by Mark Gius - 285-290 The European periphery during the crisis: fix or float?
by Anne Oeking - 291-298 The effects of inflation and openness on inequality across alternative monetary regimes
by Yi-Heng Chen & Ho-Chuan Huang & Kuang-Ping Ku - 299-304 Antecedents of time to completion in mergers and acquisitions
by Mathieu Luypaert & Wouter De Maeseneire - 305-311 The impact of goals and public rewards on a prosocial behaviour: an exploratory economic experiment
by K. Farrow & S. Costa & G. Grolleau & L. Ibanez - 312-317 Does corporate governance quality affect analyst coverage? Evidence from the Institutional Shareholder Services (ISS)
by Pandej Chintrakarn & Pornsit Jiraporn & Young Kim & Jang-Chul Kim - 318-323 Can we distinguish regime switching from long memory? A simulation evidence
by Yanlin Shi - 324-329 The importance of players in teams of the German Bundesliga in the season 2012/2013 - a cooperative game theory approach
by Tobias Hiller - 330-333 Do new exporters grow so fast?
by Juan de Lucio & Raúl M�nguez & Asier Minondo & Francisco Requena
February 2015, Volume 22, Issue 3
- 169-172 Do transaction costs prevent arbitrage in the market for crude oil? Evidence from a threshold autoregression
by J. Stevens - 173-179 Financial distress and happiness of employees in times of economic crisis
by E. Arampatzi & M. J. Burger & R. Veenhoven - 180-183 Changes in individual and/or aggregate?
by John D. Hey & Noemi Pace - 184-188 We all do it, but are we willing to admit? Incentivizing digital pirates' confessions
by Anna Kukla-Gryz & Joanna Tyrowicz & Michał Krawczyk & Konrad Siwiński - 189-194 Rising efficiency and cost saving in Australian banks: a bootstrap approach
by Amir Moradi-Motlagh & Abbas Valadkhani & Ali Salman Saleh - 195-198 Do credit constraints reduce foreign jobs? A note on foreign direct employment
by Jordi Paniagua & Juan Sapena - 199-203 Parental education, child's grade repetition and the modifier effect of cannabis use
by Paolo Rungo & Bruno Casal & Berta Rivera & Luis Currais - 204-208 Identifying the impact of deterrence on crime: internal versus external instruments
by Maurice J. G. Bun - 209-213 Event-study volatility and bootstrapping: an international study
by Naceur Essaddam & Ayman Mnasri - 214-217 The impact of leisure complementarity on the labour force participation of older males in Spain
by Carlos P�rez & �ngel Mart�n-Rom�n & Alfonso Moral - 218-222 Do intraday data contain more information for volatility forecasting? Evidence from the Chinese commodity futures market
by Ying Jiang & Xiaoquan Liu & Wuyi Ye - 223-227 China's sovereign bond yield: some lessons
by Thi Hong Hanh Pham - 228-232 Are subjects making financial decisions in lab auctions or are they just gambling?
by Cary Deck & Jungmin Lee & Javier Reyes - 233-238 Sports and (real) business cycles
by M. Alper Ҫenesiz & Christian Pierdzioch - 239-246 The principal - agent problem, tracking error, and the optimal investment portfolio
by Wentworth Boynton & Gregory Blosick & Robert F. Rainish
January 2015, Volume 22, Issue 2
- 87-93 Pricing black-scholes options with correlated credit risk and jump risk
by Weidong Xu & Weijun Xu & Weilin Xiao - 94-98 Obedience and income levels
by Kaitlyn Harger & Joshua C. Hall - 99-103 A study on short-selling constraints: total ban versus partial ban
by Esther C�ceres & David Moreno & Rosa Rodr�guez - 104-109 How do powerful CEOs view corporate risk-taking? Evidence from the CEO pay slice (CPS)
by Pandej Chintrakarn & Pornsit Jiraporn & Shenghui Tong - 110-115 Modelling the tourism receipt's volatility
by Faruk Balli & Rosmy Jean Louis - 116-120 Obesity history and male employment
by Francesco Renna - 121-126 Wealthy, healthy and wise: does money compensate for being born into difficult conditions?
by James Manley & Lia Fernald & Paul Gertler - 127-131 Allocating repairs and maintenance costs to fixed or variable costs in fisheries bioeconomic models
by Sean Pascoe & Simon Vieira & Olivier Thebaud - 132-136 On the long-term macroeconomic effects of social spending in the United States
by Alfredo M. Pereira & Jorge M. Andraz - 137-140 The effect of monetary versus nonmonetary endowment on WTP in BDM auctions
by Riccardo Vecchio & Azzurra Annunziata - 141-147 Tiananmen Square 1989: the view from financial markets
by Richard C. K. Burdekin & Xinzhu Li - 148-152 A satisficing approach to factor portfolio construction
by Joseph Simonian - 153-157 Specialist supplier or systems integrator? The relationship between competencies and export performance in the Norwegian defence industry
by Arne Martin Fevolden & Sverre J. Herstad & Tore Sandven - 158-162 Road to success? The effects of road toll on economic growth in China
by Shuo Chen & Xiaobo He - 163-167 Trade openness and economic growth: panel evidence
by B�lent Ulaşan
January 2015, Volume 22, Issue 1
- 1-6 An information theoretic approach to network tomography
by Wendy K. Tam Cho & George Judge - 7-11 Universal pension scheme and risk-taking
by Yao-Tung Chen & Yuh-Ju Lan & Ker-Tah Hsu & Keng-Shen Chen & Yu-Der Wang - 12-19 Determinants of football transfers
by Jeroen Ruijg & Hans van Ophem - 20-24 Determinants of success in setting standards coalition: empirical evidence from the standard war of the blue laser DVDs
by Zouha�er M'Chirgui - 25-29 Detailed decompositions in nonlinear models
by Boris Kaiser - 30-34 Bitcoins as an investment or speculative vehicle? A first look
by C. Baek & M. Elbeck - 35-45 What precious metals act as safe havens, and when? Some US evidence
by Brian M. Lucey & Sile Li - 46-50 Forecasting gold-price fluctuations: a real-time boosting approach
by Christian Pierdzioch & Marian Risse & Sebastian Rohloff - 51-56 Profitability determinants of Portuguese knowledge-intensive business services: empirical evidence using panel data models
by Paulo Ma�ãs Nunes & Z�lia Serrasqueiro - 57-60 Impact of high-speed rail on international tourism demand in China
by Zhenhua Chen & Kingsley E. Haynes - 61-65 Northern Ireland's property market bubble: a preliminary analysis
by E. Gallagher & D. Bond & E. Ramsey - 66-70 Delisted versus voluntary delisted versus remain listed: an ordered analysis
by D. Balios & N. Eriotis & S. Missiakoulis & D. Vasiliou - 71-75 Gender differences in competitive preferences: new cross-country empirical evidence
by Werner B�nte - 76-79 Addressing endogeneity in estimating the effect of social capital on psychological health
by Peter Howley - 80-85 Revenue sharing and within-team payroll inequality in Major League Baseball
by Nicholas A. Jolly
December 2014, Volume 21, Issue 18
- 1253-1256 Effects of college education on demonstrated happiness in the United States
by Pavlo Buryi & Scott Gilbert - 1257-1261 The impact of monetary policy on banking and finance stock prices in China
by Hyeyoen Kim & Junyeup Kim & Jaeram Lee & Doojin Ryu - 1262-1265 Federal Reserve independence: the Fed Funds Rate under different regimes
by Adam T. Jones & Mathew W. Snyder - 1266-1268 Does a simple information intervention change the perception of a reform?
by Henning Finseraas & Niklas Jakobsson - 1269-1272 Overnight gold returns
by L. E. Blose & V. Gondhalekar - 1273-1276 The relationship between commuting time and workers' utility
by Andrew Crawley - 1277-1282 Early career PhD salaries: the industry premium and interdisciplinary debate
by Andrew S. Hanks & Kevin M. Kniffin - 1283-1287 Revisiting purchasing power parity in 34 OECD countries: sequential panel selection method
by Mohsen Bahmani-Oskooee & Tsangyao Chang & Wen-Chi Liu - 1288-1292 Momentum, sovereign credit ratings and global equity markets
by Klaus Grobys - 1293-1296 Educational intentions, cognitive skills and earnings expectations of French undergraduates
by Claire Bonnard & Jean-Fran�ois Giret & Marielle Lambert-Le Mener - 1297-1301 The export-led growth hypothesis for India: examining causality by a new approach in the time-frequency domain
by Aviral Kumar Tiwari & Alexander Ludwig - 1302-1308 In which exchange rate models do forecasters trust?
by D. Hauner & J. Lee & H. Takizawa - 1309-1313 Wavelet spectrum analysis of business cycles of China and G7 countries
by Jarko Fidrmuc & Iikka Korhonen & Jitka Poměnkov� - 1314-1318 The Bertrand solution revisited: strategic price setting
by Javier Garc�a-Bernal - 1319-1323 A random matrix theory approach to test for agricultural productivity convergence
by Yves Surry & Konstantinos Galanopoulos
November 2014, Volume 21, Issue 17
- 1179-1183 Government debt and economic growth in Malaysia: the role of institutional quality
by Siti Nurazira Mohd Daud & Jan Podivinsky - 1184-1188 The relationship between financial asset returns and the well-being of US households
by Lee A. Smales - 1189-1193 Admission policies and immigrant skills
by Xulia Gonz�lez & Daniel Miles-Touya - 1194-1197 A numerical analysis of Japan's fiscal sustainability in a simple OLG model
by Real Arai & Masahiko Nakazawa - 1198-1201 Causality for the government budget and economic growth
by Ant�nio Afonso & João Tovar Jalles - 1202-1205 The impact of children on marital stability in the United Kingdom
by Mary A. Silles - 1206-1209 Default probability anomalies in the momentum strategies
by Nicholas Rueilin Lee & Jung-Fang Liu & Wei-Yu Lin - 1210-1213 Marked for life? On researcher involvement at infancy and the innovative capabilities of survivor firms
by Sverre J. Herstad & Tore Sandven - 1214-1220 Reaction to nonscheduled news during financial crisis: Australian evidence
by L. A. Smales - 1221-1225 Unit taxes and ad valorem taxes with vertically differentiated products
by Francisco Galera & Pedro Mendi & Juan Carlos Molero - 1226-1229 The elephant in the room: why some states are refusing to expand Medicaid
by Russell S. Sobel - 1230-1233 Does Aid for Trade from the North promote South-South trade?
by Philipp H�hne & Birgit Meyer & Peter Nunnenkamp - 1234-1237 Market institutions bring tolerance, especially where there is social trust
by Niclas Berggren & Therese Nilsson - 1238-1242 Correlation evidence in the dynamics of agricultural commodity prices
by Raphaël Homayoun Boroumand & Stephane Goutte & Simon Porcher & Thomas Porcher - 1243-1251 Histogram-valued data on value at risk measures: a symbolic approach for risk attribution
by Carole Toque & Virginie Terraza
November 2014, Volume 21, Issue 16
- 1105-1110 The euro crisis and Swedish GDP growth - a study of spillovers
by P�r Österholm & P�r Stockhammar - 1111-1115 Revisiting Aschauer via ICM estimation
by Hosin Song - 1116-1121 Is pairs trading profitable on China AH-share markets?
by Mao Liang Li & Chin Man Chui & Chang Qing Li - 1122-1127 Turning counterfeiting into advantage: the case of a durable good monopolist
by Chien-Wei Wu & Hsien-Hung Chiu - 1128-1133 Does religious piety inspire corporate social responsibility (CSR)? Evidence from historical religious identification
by Pattanaporn Chatjuthamard-Kitsabunnarat & Pornsit Jiraporn & Shenghui Tong - 1134-1138 Product market competition and unemployment: a county-level analysis
by Guifeng Shi & Li Zhang - 1139-1143 The spatial dynamics of growth and convergence in Korean regional incomes
by Paul Evans & Ji Uk Kim - 1144-1147 The US finance wage premium before and after the financial crisis: a decomposition exercise
by Stella Capuano & Tat-kei Lai & Hans-J�rg Schmerer - 1148-1151 The implications of high-frequency trading on market efficiency and price discovery
by Viktor Manahov & Robert Hudson - 1152-1155 Unemployment and participation rates? Revisiting the US data
by David Kleykamp & Jer-Yuh Wan - 1156-1160 Evidence for the seasonality of European equity fund performance
by Carlos F. Alves - 1161-1164 'Fifty is the new thirty': ageing well and start-up activities
by T. Kautonen & M. Minniti - 1165-1168 Is home-field advantage driven by the fans? Evidence from across the ocean
by Anne Anders & Kurt William Rotthoff - 1169-1173 CO 2 Emissions and tourism in developed and less developed countries
by Carmelo J. Le�n & Jorge E. Arana & Anastasia Hern�ndez Alem�n - 1174-1178 Long-term consequences of birth in an 'unlucky' year: evidence from Japanese women born in 1966
by Satoshi Shimizutani & Hiroyuki Yamada
October 2014, Volume 21, Issue 15
- 1031-1035 Assessing the impact of China net imports on the world cotton price
by Fousseini Traor� - 1036-1044 Economic growth and financial liberalization in the EU accession countries
by Durmus Özdemir - 1045-1049 What do abnormal investor trading patterns around corporate mergers indicate? Further evidence from the Korean M&A market
by Chune Young Chung - 1050-1053 The determinants of margins in French retail gasoline markets
by Simon Porcher & Thomas Porcher - 1054-1056 Event studies correcting for nonnormality using the wild bootstrap
by Andros Gregoriou - 1057-1059 Estimating the time-varying NAIRU and the Phillips curve slope simultaneously: a note
by Hiroshi Yamada - 1060-1064 Intra and offshore trade in the euro zone and trade imbalances
by Jong-Hee Kim & Joocheol Kim - 1065-1069 Did financial crisis alter the level of competition in the EMU banks?
by Michael L. Polemis - 1070-1074 Clusters of economic freedom
by Toby Huskinson & Robert Lawson - 1075-1078 Do acquirers' stock prices fully react to the acquisition announcement of listed versus unlisted target firms? Out-of-sample evidence from Spain
by Miguel A. Latorre & Bego�a Herrero & Jos� E. Farin�s - 1079-1082 Predicting R&D investment with ex ante productivity
by Ziemowit Bednarek - 1083-1089 Does unemployment increase crime? Evidence from Italian provinces
by Nino Speziale - 1090-1093 Is the 'buying winners and selling losers' trading strategy profitable in the New Economy?
by Aditya R. Khanal & Ashok K. Mishra - 1094-1098 Does foreign aid really attract foreign investors? New evidence from panel cointegration
by Julian Donaubauer - 1099-1103 On the interaction between government spending and economic performance in Sweden: an asymmetric approach
by Abdulnasser Hatemi-J
September 2014, Volume 21, Issue 14
- 951-954 Agricultural rent-seeking in developing countries: an empirical investigation
by Anna Hvid - 955-959 The impact of austerity policies in the Eurozone: fiscal multipliers and 'adjustment fatigue'
by Javier Bilbao-Ubillos & Ana-Isabel Fern�ndez-Sainz - 960-964 Are two heads better than one head in managing the family business?
by Loren W. Tauer - 965-968 Sentimental herding in Borsa Istanbul: informed versus uninformed
by M. Nihat Solakoglu & Nazmi Demir - 969-972 Smooth transitions, asymmetric adjustment and unit roots
by Juan Carlos Cuestas & Javier Ord��ez - 973-978 ARCH and structural breaks in United States inflation
by Bill Russell - 979-983 Capitalism and (versus?) democracy: stock markets and democratization in transition
by Christopher A. Hartwell - 984-991 Policy interest-rate expectations in Sweden: a forecast evaluation
by Meredith Beechey & P�r Österholm - 992-996 Measuring the surplus of superficiality: the case of dented bumper repair
by Arthur J. Caplan - 997-1000 The effects of greenfield investment and M&As on domestic investment in developing countries
by Ayesha Ashraf & Dierk Herzer - 1001-1005 Nonlinear impact of rain on foodgrain production in India
by Subrata Kumar Mitra - 1006-1009 Threshold adjustment in the current account: sustainability for danger zone economies?
by Kurmas Akdoğan - 1010-1016 Geographical dimension and environmental Kuznets curve: the case of some less investigated air pollutants
by E. Sica & S. Sušnik - 1017-1024 The typical spectral shape of an economic variable: a visual guide
by Carlos A. Medel - 1025-1029 Financial liberalization, low world interest rates and global imbalances: a note with a simple two-country model
by Roberto Duncan
September 2014, Volume 21, Issue 13
- 875-877 The breakdown of the money multiplier at the zero lower bound
by Jan Willem van den End - 878-881 Can LCCs' economic efficiency create negative externalities for air transport? An analysis of passenger waiting time
by Jos� I. Castillo-Manzano & Lourdes Lopez-Valpuesta - 882-886 Dealing with an error correction model when trade balances are trend-stationary
by Manuel Cantavella-Jord� - 887-892 Gold markets around the world - who spills over what, to whom, when?
by Brian M. Lucey & Charles Larkin & Fergal O'Connor - 893-897 Stages of diversification in Latin America
by Don P. Clark & W. Charles Sawyer - 898-901 Direction of trade and wage inequality
by Sherif Khalifa - 902-905 The effect of firearm restrictions on gun-related homicides across US states
by Steven P. Lanza - 906-913 Product market competition, corporate governance, and cost of capital
by Charles W. Hodges & Bingxuan Lin & Chen-Miao Lin - 914-917 Macroeconomic policy in recessions and unemployment hysteresis
by Simon Sturn - 918-923 Factors leading to inflation targeting - the impact of adoption
by Anna Samarina & Jan-Egbert Sturm - 924-927 Collective happiness: labour union membership and life satisfaction
by Crawford Charman & Ann L. Owen - 928-933 The WTO puzzle, multilateral resistance terms and multicollinearity
by Juyoung Cheong & Do Won Kwak & Kam Ki Tang - 934-937 Who teaches economics courses better?: using student-professor matched data for the principle of economics course
by Jaeseong Lee & Joonmo Cho - 938-944 Spillovers of macroeconomic uncertainty among major economies
by Libo Yin & Liyan Han - 945-950 Adolescent obesity, educational attainment and adult earnings
by John M. Amis & Andrew Hussey & Albert A. Okunade
August 2014, Volume 21, Issue 12
- 801-805 Dynamic hedging in stock index futures via copula multiplicative error model
by Wen-chin Chen & Kai-ping Liu & Yung-lieh Yang & Yi-hao Lai - 806-811 Marriage, education and assortative mating in Latin America
by Ina Ganguli & Ricardo Hausmann & Martina Viarengo - 812-816 Who misreports welfare receipt in surveys?
by Kerstin Bruckmeier & Gerrit M�ller & Regina T. Riphahn - 817-822 Does the yield spread retain its forecasting ability during the 2007 recession? A comparative analysis
by Anastasios Evgenidis & Costas Siriopoulos - 823-827 A bias in measuring consumer responses towards food safety issues due to imperfect substitution between foods
by Hyun Joung Jin - 828-831 Different measures in testing absolute purchasing power parity
by Zhibai Zhang & Xinyue Zou - 832-835 Risk amplification effect of asset securitization among financial institutions: evidence from CDO products in the USA
by Zhuwei Li & Hui An & Xiaoting Yin & Lin Chi - 836-841 Understanding the Irish price-rent ratio: an unobserved component approach
by Jangryoul Kim & Gieyoung Lim - 842-845 The impact of policy responses on stock liquidity
by Thomas Busch & Thorsten Lehnert - 846-851 Did Fukushima matter? Empirical evidence of the demand for climate protection in Germany
by Carlo Gallier & Andreas L�schel & Bodo Sturm - 852-856 Measuring economic freedom: a comparison of two major sources
by Rati Ram - 857-861 Being nice with the experimenter?
by Caterina Giannetti & Raimondello Orsini - 862-865 Women's labour force participation and pay inequality: evidence from panel cointegration
by Adem Y. Elveren - 866-869 Does the Grameen Bank exert market power over borrowers?
by Subir Bairagi & Azzeddine Azzam