Content
2000, Volume 7, Issue 4
- 259-262 Cointegration and disaggregation: evidence from UK consumers' expenditure
by Steven Cook - 263-266 Reluctant respondents and contingent valuation surveys
by Robert Berrens - 267-270 Chaotic signals from HDI measurement
by Guido Luchters & Lukas Menkhoff - 271-274 Managerial heterogeneity and the compositional effect
by Thomas Hertel & Kyle Stiegert - 275-278 Is soccer dying? A time series approach
by Alejandro Gaviria
2000, Volume 7, Issue 3
- 141-147 Is the negative correlation between inflation and growth real? An analysis of the effects of the oil supply shocks
by Sung Kim & Thomas Willett - 149-153 Performance of the operational Wansbeek-Bekker estimator for dynamic panel data models
by Mark Harris & Laszlo Matyas - 155-158 Determinants of gaming revenue: extent of changing attitudes in the gaming industry
by Ina Levitzky & Djeto Assane & William Robinson - 159-163 Monetary shocks, inflation and the asymmetric adjustment of UK industrial output
by Mark Holmes - 165-169 ASEAN: economic integration and intra-regional trade
by Subhash Sharma & Soo Chua - 171-175 Portfolio diversification and filter rule profits
by Patricia Chelley-Steeley & James Steeley - 177-179 Impact of budget deficits on ex post real long-term interest rates
by Richard Cebula - 181-184 Dealing with zero response data from contingent valuation surveys: application of least absolute deviations estimator
by Seung-Hoon Yoo & Seung-Jun Kwak & Tai-Yoo Kim - 185-188 An optimal quality cost model
by Jinglou Zhao - 189-191 Mark-ups, industry structure and the business cycle
by Christoph Weiss - 193-197 Decades of daily data versus one week data with ultra-high frequency: a note on estimating expected rate of return and volatility
by Yue Fang - 199-202 Market efficiency analysis requires a sensitivity to market characteristics: some observations on a recent study of betting market efficiency
by Alistair Bruce & Johnnie Johnson - 203-205 Alternative specifications of consumer intertemporal budget constraint and measures of wealth and saving
by H. Youn Kim - 207-210 On the linkages between equity markets in Latin America
by Jose Pagan & Gokce Soydemir
2000, Volume 7, Issue 2
- 63-67 Identifying the mechanism: is there a bank lending channel of monetary transmission in the Netherlands?
by Jan Kakes - 69-71 Economic factors in the choice of an early form of capital: draught animals in early twentieth century South Africa
by Kyle Kauffman - 73-75 Race and compensation in professional football
by Mark Gius & Donn Johnson - 77-81 The effect of exchange rate shocks on the volatility of Australian sector excess returns: a note
by Patricia Fraser & Nicolaas Groenewold - 83-86 On the stability of the long-run money demand in Greece
by Costas Karfakis & Moise Sidir Opoulos - 87-89 Another look at the rationality of the stock market
by Samih Antoine Azar - 91-94 Tax incentives and individual investor behaviour
by Cuddalore Sundar & John Hill & John Lajaunie - 95-97 Exchange rate and interest rate differential: the case of the Malaysian Ringgit/US Dollar
by Gan Wee & Soone Le Ying - 99-101 Cross-variable restrictions in Euler equations and risk premia
by Martin Lettau - 103-106 Inflation expectations: are they rational? An empirical examination
by Swarna Dutt & Dipak Ghosh - 107-110 The incentive for rural to urban migration: a re-examination of the Harris-Todaro model
by Richard Agesa - 111-115 Have VAT rates reached their limit?: an empirical note
by Kent Matthews & Jean Lloyd-Williams - 117-123 Convergence in fiscal pressure across EU countries
by Vicente Esteve & Simon Sosvilla-Rivero & Cecilio Tamarit - 125-128 Can more FDI solve the problem of unemployment in the EU? A short note
by Ahmad Seyf - 129-132 Black-Scholes option pricing via genetic algorithms
by Bruce Grace - 133-136 Forecasting exchange rates out of sample: random walk vs Markov switching regimes
by Dimitris Kirikos - 137-140 Trading futures markets based on signals from a neural network
by Lonnie Hamm & B. Wade Brorsen
2000, Volume 7, Issue 1
- 1-5 Productivity, technical and allocative efficiency and farm size in wheat farming in India: a DEA approach
by Raghbendra Jha & Puneet Chitkara & Santanu Gupta - 7-10 Common trends and cycles in G-7 countries exchange rates and stock prices
by Bruce Morley & Eric Pentecost - 11-14 Decentralization and macroeconomic performance
by David King & Yue Ma - 15-19 To what degree do central banks sterilize the effects of capital flows on domestic money supply?
by David Bernstein - 21-23 AIDS extended by means of family composition
by Ursicino Carrascal - 25-28 The dynamic effects of aggregate supply and demand disturbances: further evidence
by Helmut Hofer & Gerhard Runstler & Thomas Url - 29-34 Measuring effectiveness of fiscal policy in OECD countries
by Matti Viren - 35-39 Consumers' willingness to pay for recycled content in plastic kitchen garbage bags: a hedonic price approach
by Jeff Anstine - 41-43 The demand for currency in the presence of indexed money: the case of Brazil
by Joao Ricardo Faria - 45-47 Job destruction through quits or layoffs?
by Wolter Hassink - 49-52 Macroeconomic forecasts: an empirical test of rationality and parameter stability
by Dipak Ghosh & Swarna Dutt - 53-57 On the consistency of the DEA-based average efficiency bootstrap
by Mickael Lothgren - 59-62 Information-rich expressions for model selection criteria
by Kevin Fox
1999, Volume 6, Issue 12
- 765-769 Are business cycles all alike? Evidence from long-run international data
by Luca Matteo Stanca - 771-774 Earnings news and the behaviour of large and small traders in the Finnish stock market
by G. Geoffrey Booth & Juha-Pekka Kallunki & Teppo Martikainen - 775-778 Empirical evidence for export promotion strategies
by Hiroshi Yamada - 779-783 On Coasean bargaining with transaction costs
by Thomas Rhoads & Jason Shogren - 785-787 The impact of having a mentor on earnings and promotion: evidence from a panel study of lawyers
by David Laband & Bernard Lentz - 789-792 Place returns between the tote and bookmakers: empirical evidence of a market anomaly
by D. Law & D. A. Peel & M. Cain - 793-796 Monetary policy design and the buffer-stock hypothesis: further evidence from European Union countries
by Nicholas Apergis - 797-800 Elasticity of demand for Rugby League attendance and the impact of BskyB
by Fiona Carmichael & Janet Millington & Roberts Simmons - 801-804 Market movers and tote and bookmakers returns: further empirical evidence on a market anomaly
by D. A. Peel & D. Law & M. Cain - 805-808 Within-group homogeneity and exit in religious clubs
by Justin Isaacs & David Laband - 809-812 Regional poverty lines, poverty profiles, and targeting
by Quentin Wodon - 813-815 A note on generality of the Cagan model for money demand
by Dragan Miljkovic - 817-820 Asymmetric index stock returns: evidence from the G-7
by Gregory Koutmos
1999, Volume 6, Issue 11
- 703-705 Contagion effects of bank liquidation in Japan
by Nobuyoshi Yamori - 707-710 Bootstrapping the Malmquist productivity index - a simulation study
by Mickael Lothgren - 711-715 Discrimination, segregation and firm effects: some UK microevidence
by Felix Fitzroy & Melanie Ward - 717-722 Exchange rate volatility in the EMS before and after the fall
by Simon Sosvilla-Rivero & Fernando Fernandez-Rodriguez & Oscar Bajo-Rubio - 723-727 Estimates of industrial country export and import demand functions: implications for 'Thirlwall's Law'
by Jonathan Perraton & Paul Turner - 729-734 Firm size and the Italian Stock Exchange
by Guiseppe Cavaliere & Michele Costa - 735-739 Patterns of seasonality in employment in tourism in the UK
by John Ashworth & Barry Thomas - 741-745 A transform-both-sides modulus power model: an application in health care
by Howard Tuckman & Cyril Chang & Albert Okunade - 747-751 Inferring disability from post-injury employment duration
by Bruce Cater & J. Barry Smith - 753-757 Unobserved heterogeneity bias when estimating the economic model of crime
by Todd Cherry - 759-760 Private costs and the rate of return to primary education
by Patrick McEwan - 761-764 Economic growth and health: direct impact or reverse causation?
by Berta Rivera & Luis Currais
1999, Volume 6, Issue 10
- 625-627 Welfare implications of Pigovian taxation of a durable goods monopolist
by Rajeev Goel & Edward Wei-Te Hsieh - 629-632 Efficiency measurements with R&D inputs and learning by doing
by Jati Sengupta - 633-636 Inside information and public news: R 2 and beyond
by William Brown - 637-639 Long-run neutrality of money in the Mexican economy
by Frederick Wallace - 641-644 The causal nexus of government spending and revenue in Finland: a bootstrap approach
by Abdulnasser Hatemi-J & Ghazi Shukur - 645-648 Small sample estimation of a cointegrating vector: an empirical evaluation of six estimation techniques
by Tilak Abeysinghe & Tan Khay Boon - 649-654 Individual time preferences for own health: an application of a dichotomous choice question with follow-up
by Marjon Vanr De Pol & John Cairns - 655-658 Estimating learning effects on nuclear power plants: A count data model with a varying time interval as a duration variable
by Eunnyeong Heo & Seong-Yun Shin - 659-662 Uncertainty in the Central Bank's weight on output: some new results
by D. A. Peel - 663-667 International diversification of the funds management industry
by Jenny Diggle & Robert Brooks & John Shannon - 669-671 Is the demand for retirement consumption linear?
by Hasan Bakhshi - 673-675 Speculative attacks or fundamentals? Empirical evidence from some European currencies
by Yutaka Kurihara - 677-681 Estimating the determinants of the unemployment duration for college graduates in Taiwan
by Hwei-Lin Chuang - 683-686 On the decline of employment-based health insurance in the US
by Norman Thurston - 687-691 Are the consumption/output and investment/output ratios stationary? An international analysis
by Jesus Clemente & Antonio Montanes & Montserrat Ponz - 693-695 Size and power: lower tail KPSS tests and anti-persistent alternatives
by Christine Amsler - 697-701 Technical change and total factor productivity growth: a study of Singapore's manufacturing industries
by Harry Bloch & Sam Hak Kan Tang
1999, Volume 6, Issue 9
- 539-541 Time series evidence on a new Keynesian theory of the output-inflation trade-off
by Manabu Asai - 543-546 Regional variation in the cyclical asymmetry of UK unemployment
by Steven Cook - 547-549 Bartlett and Bartlett-type corrections for testing linear restrictions
by Reinaldo Arellano-Valle & Silvia Ferrari & Francisco Cribari-Neto - 551-555 Government consumption and fiscal policy: some evidence from Japan
by Shigeyuki Hamori & Kazumi Asako - 557-561 Openness and economic growth: an empirical investigation
by Mohsen Bahmani-Oskooee & Farhang Niroomand - 563-567 Why does the bid-ask spread vary over the day?
by Eric Levin & Robert Wright - 569-572 On entry and exit in response to aggregate shocks
by Laura Piscitelli & Michael Grinfeld & Harbir Lamba & Rod Cross - 573-575 Are the adjustment of actual to desired international reserves in nominal or real terms?
by Mohsen Bahmani-Oskooee - 577-580 On the predictive power of the term structure during the 1930s
by Adam Klug & Carmel Nadav - 581-584 Autocorrelations, returns and Australian stock indices
by Alpana Trivedi & Robert Brooks - 585-588 Exchange market pressure during the current managed float
by Mohsen Bahmani-Oskooee & David Bernstein - 589-591 On apparent problems with the use of the Armington aggregator in computable general equilibrium models
by Dirk Willenbockel - 593-596 Scale and the Malmquist productivity index
by David Lambert - 597-599 An empirical assessment on alternative functional forms of the Lorenz curve
by Guano Hua Wan - 601-603 A simple cross-section model of economic growth stands the test of time
by Sandeep Gupta & Paul Sommers - 605-607 Forecasting unemployment
by Geraint Johnes - 609-611 Macroeconomic time series and the monetary aggregates approach to estimating the underground economy
by Frank Atkins - 613-616 Testing the law of one price under the fixed and flexible exchange rate systems
by Khosrow Doroodian & Chulho Jung & Roy Boyd - 617-620 Rational addiction and the demand for cinema
by Samuel Cameron - 621-624 Domestic versus foreign capital and returns to scale in China's provincial industries
by Erkin Bairam
1999, Volume 6, Issue 8
- 471-476 Differences in household income per head over the UK trade cycle; a comment
by Peter Gripaios & Ben Gripaios & Sarah Keast & Nick Wiseman - 477-480 Savings-investment cointegration in panel data
by Keun-Yeob Oh & Bong-Han Kim & Hong-Kee Kim & Byung-Chul Ahn - 481-484 Did markets expect Italy to join EMU? Evidence from options markets
by Jan Marc Berk - 485-490 An empirical study of the foreign trade balance in China
by Wei Weixian - 491-495 Economic reform and inequality: evidence from Lithuania
by Ferdaus Hossain & Helen Jensen - 497-500 Exact critical values of unit root tests when there is a constant term and a time trend
by Kazuhiro Ohtani - 501-503 Sufficient cointegration and Wald tests of the monetary transmission mechanism
by R. D. Rossiter & Chulho Jung - 505-507 Farrell-type efficiency under demand and price fluctuations
by Jati Sengupta - 509-511 Stock prices, inflation and output: evidence from China
by Xing-Qiu Zhao - 513-517 Workers' compensation benefits and claim duration: some Canadian evidence
by Michele Campolieti - 519-522 Univariate analysis of asymmetry in the DHSY model
by Steven Cook - 523-525 Assortative mating versus the cross-productivity effect
by Pak-Wai Liu & Junsen Zhang - 527-532 Stochastic cost frontier and cost inefficiency of Japanese hospitals: a panel data analysis
by Atsushi Fuj & Makoto Ohta - 533-538 Swiss residential demand for electricity
by Massimo Filippini
1999, Volume 6, Issue 7
- 403-407 Approximating the term structure of interest rates in Japan
by Shang-Wu Yu - 409-412 Estimation of the probit model with autocorrelated errors via the MCECM algorithm
by Shang-Wu Yu & Shang-Wu Yu - 413-416 Cointegration, causality and Wagner's Law in 19th century Europe
by John Thornton - 417-419 Variance ratio testing of the Australian forward foreign exchange market
by Joanne Copp & Robert Brooks - 421-429 Ethnic differences in British employer-funded on and off-the-job training
by Michael Shields & Stephen Wheatley Price - 431-437 Evaluating firm training, effects on performance and labour demand
by Eugenia Kazamaki Ottersten & Thomas Lindh Mellander - 439-442 A dynamic and stochastic analysis of decision making in arranged marriages
by Amitrajeet Batabyal - 443-445 Nonparticipation and corner solution: extramarital affairs reconsidered
by Steven Yen - 447-451 A suggestion for a simple cross-country empirical proxy for trend unemployment
by Stephen Murchison & Pierre Siklos - 453-458 Agricultural liberalization and the environment in Southern Europe: the role of the supply side
by Joseph Lekakis & Christos Pantzios - 459-462 Does the issue method influence the market reaction to seasoned equity offer announcements?
by Bruce Burton & A. Alasdair Lonie & David Power - 463-466 Ethnic differences in labour market transitions: an exploration using the British household panel survey
by David Blackaby & Stephen Drinkwater & Derek Leslie & Philip Murphy - 467-470 Nonsymmetric error correction revisited
by Steven Cook
1999, Volume 6, Issue 6
- 333-336 Excess US bank reserves and the short-term interest rate differentials: evidence from bivariate cointegration analysis
by Muhammad Mustafa & Matiur Rahman - 337-341 Wages, firm size and absenteeism
by Rainer Winkelmann - 343-347 Simple measures of convergence in per capita GDP: a note on some further international evidence
by G. E. Boyle & T. G. McCARTHY - 349-352 Real exchange rates and structural breaks: evidence for the Spanish peseta
by Antonio Montanes & Jesus Clemente - 353-358 The monetary impulse measure as an explanation for Fed policy
by Peter Cornelius & Andreas Gottschling - 359-360 Some evidence on the countercyclicality of the trade balance
by Liam Lenten & Imad Moosa - 361-363 Technology, investment and trade: empirical evidence for five Asia-Pacific countries
by Gary Madden & Scott Savage & Su Yin Thong - 365-368 Dearth of private capital flows in Sub-Saharan Africa
by Kausik Chaudhuri & D. K. Srivastava - 369-371 Productivity effects of enterprise-related training
by Wim Groot - 373-376 Verdoorn's Law and increasing returns: an empirical analysis of the Spanish regions
by Miguel Leon-Ledesma - 377-379 Gradual switching regression estimates of alcohol demand elasticities
by Craig Gallet - 381-384 Looks unimportant? A demand function for male attractiveness by female personal advertisers
by Samuel Cameron & Alan Collins - 385-388 A profitable trading rule using mean reverting investment trusts discounts
by M. J. Prior - 389-392 Economic integration, efficiency and economic growth: the European Union experience
by Joaquin Maudos & Jose Pastor & Lorenzo Seranno - 393-396 Discrete Poisson kernel density estimation-with an application to wildcat coal strikes
by Lawrence Marsh & Kajal Mukhopadhyay - 397-402 Habit formation and durability and consumption: some evidence from income quintile groups in Japan
by Shigeyuki Hamori & Toshifumi Tokunaga
1999, Volume 6, Issue 5
- 263-265 Unemployment and home-ownership
by Jaakko Pehkonen - 267-269 Hypothetical versus real willingness to pay: comment
by Helen Neill - 271-273 Factors affecting infant mortality rates: evidence from cross-sectional data
by Mohammed Zakir & Phanindra Wunnava - 275-277 Is there a long-run relationship between ODA and GDP? The case of India
by P. J. Dawson & Richard Tiffin - 279-281 An illfare approach to the measurement of unemployment: comment on Paul (1992)
by Martin Riese - 283-286 Linear versus nonlinear technical progress: theory and some evidence
by Erkin Bairam - 287-290 General trigger values of optimal investment
by Jurgen Vandenbroucke - 291-293 The incidence of loan collateralization in small business lending contracts: evidence from the UK
by Marc Cowling - 295-298 On measuring total factor productivity growth in Singapore's manufacturing industries
by M. Renuka & K. P. Kalirajan - 299-301 The demand for money in Italy, 1861-1988
by Norbert Funke & John Thornton - 303-306 Occupant death: a study with directed graphs
by Jae-Whak Roh & David Bessler - 307-309 The effects of advertising restrictions on cigarette prices: evidence from OECD countries
by Craig Depken - 311-315 Graduate earnings in Great Britain: a matter of degree?
by D. H. Blackaby & P. D. Murphy & N. C. O'Leary - 317-321 The relationship between inflation and wage growth in the Irish economy
by Stilianos Fountas & Breda Lally & Jyh-Lin Wu - 323-327 Forecast intervals in ARCH models: bootstrap versus parametric methods
by Pilar Olave Robio - 329-332 Stability of the money demand function in Germany
by Naoko Hamori & Shigeyuki Hamori
1999, Volume 6, Issue 4
- 203-207 Tests of structural change using factor analysis in equity returns
by David Morelli - 209-214 Modelling the risk premium in the black-market zloty-dollar exchange rate
by David McMillan & Alan Speight - 215-217 Road fatalities, modal split and Smeed's Law
by Ian Smith - 219-221 On convergence accounting
by Lorenzo Serrano - 223-225 Panel stationarity with structural breaks: carbon emissions and GDP
by Mark Heil & Thomas Selden - 227-230 The exchange rate and long-run price movements in the US and Japan
by Zhenhui Xu - 231-234 On the measurement of spatial differentials in economic growth: an application of a shift-share method for China in 1985-94
by Aying Liu & Shujie Yao - 235-238 Overpayment and earnings satisfaction: an application of an ordered response Tobit Model
by Wim Groot & Henriette Maassen Van Den Brink - 239-242 Prudence, risk aversion, and the demand for life insurance
by Joseph Eisenhauer & Martin Halek - 243-246 Testing for long run relationship between infrastructure and private capital productivity: a time series analysis for the Greek industry
by E. C. Mamatzakis - 247-249 Some additional Australian evidence on the day-of-the-week effect
by Sinclair Davidson & Robert Faff - 251-253 The determination of bank-small business loan premia in the UK
by Marc Cowling - 255-258 A note on the macroeconomic modelling of unemployment hysteresis
by Knut Roed - 259-262 Liquidity constraints and financial liberalization: the case for Asian developing countries
by Muzafar Shah Habibullah & Peter Smith
1999, Volume 6, Issue 3
- 133-138 Structural breaks and stochastic trends in macroeconomic variables in Norway
by Hilde Christiane Bjørnland - 139-142 Determinants of graduates' demand for housing
by Mike Rosser - 143-146 Modelling addictive consumption: some theoretical and econometric issues
by Chongwoo Choe & Imad Moosa - 147-151 Testing long-run validity of purchasing power parity for Asian countries
by Murat Doganlar - 153-156 Determinants of entry and exit in the foreign owned sector of UK manufacturing
by Nigel Driffield - 157-160 A Nordic convergence club?
by Les Oxley & David Greasley - 161-164 Openness and industrialization in developing countries
by Don Clark & W. Charles Sawyer & Richard Sprinkle - 165-167 Real exchange rates and hysteresis: does nominal exchange rate volatility matter?
by Michael Jenkins - 169-172 Export-led growth and the US economy: some further testing
by Jordan Shan & Fiona Sun - 173-176 Efficiency of the black market for foreign exchange and PPP: the case of the Dominican Republic
by Jose Sanchez-Fung - 177-179 Investment strategy evaluation with cointegration
by Raphael Markellos - 181-184 Unit roots versus segmented trends in developing country output series
by Matthias Lutz - 185-189 The rise and fall of the New Zealand underground economy: are the responses symmetric?
by David Giles - 191-193 Estimates of the degree of insider trading in two disparate betting markets
by Michael Cain & David Law & David Peel