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Content
January 2017, Volume 5, Issue 1
December 2016, Volume 4, Issue 1
- 1119367-1119367 Change and prediction of income and fertility rates across countries
by Inyong Shin
- 1125332-1125332 Market, interest rate, and exchange rate risk effects on financial stock returns during the financial crisis: AGARCH-M approach
by Aloui Mouna & Jarboui Anis
- 1127011-1127011 Does financial inclusion affect monetary policy in SAARC countries?
by Sanjaya Kumar Lenka & Arun Kumar Bairwa
- 1127746-1127746 The relationship between faculty characteristics and the use of norm- and criteria-based grading
by John Robst & Jennifer VanGilder
- 1128133-1128133 An analysis of seasonality fluctuations in the oil and gas stock returns
by Muhammad Surajo Sanusi & Farooq Ahmad
- 1136098-1136098 Financial stability, wealth effects and optimal macroeconomic policy combination in the United Kingdom: A new-Keynesian dynamic stochastic general equilibrium framework
by Muhammad Ali Nasir & Milton Yago & Alaa M. Soliman & Junjie Wu
- 1139437-1139437 Water exchange traded funds: A study on idiosyncratic risk using Markov switching analysis
by Gurudeo Anand Tularam & Rajibur Reza
- 1142847-1142847 Can an unglamorous non-event affect prices? The role of newspapers
by Riccardo Ferretti & Andrea Cipollini & Francesco Pattarin
- 1143345-1143345 Differentials in technical efficiency among smallholder cassava farmers in Central Madagascar: A Cobb Douglas stochastic frontier production approach
by B.C. Okoye & A. Abass & B. Bachwenkizi & G. Asumugha & B. Alenkhe & R. Ranaivoson & R. Randrianarivelo & N. Rabemanantsoa & I. Ralimanana
- 1143597-1143597 Effect of transaction costs on market participation among smallholder cassava farmers in Central Madagascar
by B.C. Okoye & A. Abass & B. Bachwenkizi & G. Asumugha & B. Alenkhe & R. Ranaivoson & R. Randrianarivelo & N. Rabemanantsoa & I. Ralimanana
- 1145535-1145535 SMEs capital structure determinants during severe economic crisis: The case of Greece
by D. Balios & N. Daskalakis & N. Eriotis & D. Vasiliou
- 1147119-1147119 Should cryptocurrencies be included in the portfolio of international reserves held by central banks?
by Winston Moore & Jeremy Stephen & Caroline Elliott
- 1150390-1150390 Insurance penetration and economic growth in Africa: Dynamic effects analysis using Bayesian TVP-VAR approach
by D.O. Olayungbo & A.E. Akinlo
- 1150407-1150407 Corporate governance and firm characteristics as explanatory factors of shareholder activism: Validation through the French context
by Siala Bouaziz Souha & Jarboui Anis & David McMillan
- 1150669-1150669 Acknowledgement of Reviewers
by Senior Editors
- 1151131-1151131 Determinants of the ZAR/USD exchange rate and policy implications: A simultaneous-equation model
by Yu Hsing
- 1151171-1151171 Assessing students: Real-world analyses underpinned by economic theory
by Caroline Elliott & Vudayagi Balasubramanyam
- 1152705-1152705 Modern econometrics: Structuring delivery and assessment
by Steve Cook
- 1152729-1152729 The relationship between real GDP, CO2 emissions, and energy use in the GCC countries: A time series approach
by Cosimo Magazzino
- 1153872-1153872 Economic growth in oil-exporting countries: Do stock market and banking sector development matter? Evidence from Nigeria
by Chinazaekpere Nwani & Jacob Bassey Orie
- 1159813-1159813 The hullaballoo over e-learning? Technology and pluralism in economics
by Duncan Watson & Louise Parker
- 1161322-1161322 Economic evolution, diversity of societies and stages of economic development: A critique of theories applied to hunters and gatherers and their successors
by Serge Svizzero & Clement A. Tisdell & Duncan Watson
- 1163773-1163773 Empirical determinants of relationship lending
by Sahar Loukil & Anis Jarboui
- 1167157-1167157 Teaching empirical finance courses: A project on portfolio management
by Bruce Morley
- 1168501-1168501 An analysis of the relation between return and beta for portfolios of Turkish equities
by Salvatore J. Terregrossa & Veysel Eraslan
- 1168728-1168728 Banks and economic growth in developing countries: What about Islamic banks?
by Saida Daly & Mohamed Frikha
- 1169640-1169640 Corrigendum
by B.C. Okoye & A. Abass & B. Bachwenkizi & G. Asumugha & B. Alenkhe & R. Ranaivoson & R. Randrianarivelo & N. Rabemanantsoa & I. Ralimanana
- 1170096-1170096 Improving the teaching of econometrics
by David F. Hendry & Grayham E. Mizon
- 1170317-1170317 Fiscal sustainability in the presence of structural breaks: Does overconfidence on resource exports hurt government’s ability to finance debt? Evidence from Nigeria
by Aliyu Alhaji Jibrilla
- 1170653-1170653 Do energy consumption and economic growth lead to environmental degradation? Evidence from Asian economies
by Lamia Jamel & Abdelkader Derbali
- 1177153-1177153 The solar and lunar divide and the impact on Taiwan’s stock returns
by Der-Yuan Yang & Chen-Hsun Lee
- 1178363-1178363 Stock return predictability and market integration: The role of global and local information
by David G. McMillan
- 1178884-1178884 Domains of reciprocity beyond monetary compensation: How do non-pecuniary factors affect effort and shirking?
by Akinori Tomohara & Akihiko Ohno
- 1180038-1180038 Innovations in Economics Education: An Introduction to Economic and Econometric Tools for Teaching and Learning
by S. Cook & C. Elliott
- 1185237-1185237 Oil price and the development of financial intermediation in developing oil-exporting countries: Evidence from Nigeria
by Chinazaekpere Nwani & Eugene Iheanacho & Chijioke Okogbue
- 1187780-1187780 On the stability of the money multiplier in Nigeria: Co-integration analyses with regime shifts in banking system liquidity
by K. Moses Tule & O. Taiwo Ajilore
- 1191985-1191985 The casual nexus between child mortality rate, fertility rate, GDP, household final consumption expenditure, and food production index
by Samuel Asumadu-Sarkodie & Phebe Asantewaa Owusu
- 1204809-1204809 Dynamic relationship among CO2 emission, agricultural productivity and food security in Nigeria
by Prosper Ebruvwiyo Edoja & Goodness C. Aye & Orefi Abu
- 1210996-1210996 Did the expectations channel work? Evidence from quantitative easing in Japan, 2001–06
by Chikashi Tsuji
- 1220119-1220119 An alternative to the standardized approach for assessing credit risk under the Basel Accords
by Yukiko Konno & Yuki Itoh
- 1220711-1220711 Does the fear gauge predict downside risk more accurately than econometric models? Evidence from the US stock market
by Chikashi Tsuji
- 1221231-1221231 Is product with a special feature still rewarding? The case of the Japanese yogurt market
by Tomohito Kamai & Yuichiro Kanazawa
- 1225346-1225346 Public debt and borrowing: Are governments disciplined by financial markets?
by Nicolas Afflatet & Stephanos Papadamou
- 1225347-1225347 Determinants of farmers’ access to fertilizer under fertilizer task force distribution system in Kogi State, Nigeria
by Moradeyo Adebanjo Otitoju & Dennis D. Ochimana
- 1230958-1230958 Does CEO emotional intelligence affect the performance of the diversifiable companies?
by Ferdaws Ezzi & Mouhamed Ali Azouzi & Anis Jarboui
- 1232225-1232225 Financial and ethical risk-taking by young adults: A role for family dynamics during childhood
by Shelia M. Kennison & Erin E. Wood & Jennifer Byrd-Craven & Megan L. Downing
- 1233628-1233628 A look at the actual cost of capital of US firms
by David J. Moore & David McMillan
- 1239317-1239317 External shocks and macroeconomic responses in Nigeria: A global VAR approach
by Lukman Oyeyinka Oyelami & P.A. Olomola
- 1239672-1239672 The benefits of investing into improved carbon flux monitoring
by J. Szolgayová & S. Fuss & T. Kaminski & M. Scholze & M. Gusti & M. Heimann & M. Tavoni
- 1251831-1251831 Overreaction of Dow stocks
by Gary Smith
- 1256023-1256023 International capital mobility in West Africa: A panel cointegration approach
by Ibrahim Bakari Hassan
- 1258810-1258810 Economic growth, financial development and trade openness in Nigeria: An application of the ARDL bound testing approach
by Adedoyin Isola Lawal & Tony I. Nwanji & Abiola Asaleye & Victor Ahmed
- 1264107-1264107 Vertical integration and value-relevance: Empirical evidence from oil and gas producers
by Bård Misund
- 1264538-1264538 Who’s a major? A novel approach to peer group selection: Empirical evidence from oil and gas companies
by Frank Asche & Bård Misund
- 1266788-1266788 Return and volatility spillovers in equity markets: An investigation using various GARCH methodologies
by Lidija Dedi & Burhan F. Yavas
- 1268747-1268747 Adoption of improved groundnut seed and its impact on rural households’ welfare in Eastern Ethiopia
by Musa H. Ahmed & Hiwot M. Mesfin & Seltene Abady & Wendmagegn Mesfin & Amare Kebede
December 2015, Volume 3, Issue 1
December 2014, Volume 2, Issue 1
- 1-5 Aumann and Serrano's economic index of risk for sums of gambles
by Minqiang Li
- 1-7 Consumption, investment and unemployment: SVAR tests of the effects of changes in the consumption-saving pattern
by Roberto Bande-Ramudo & Manuel Fernandez-Grela & Dolores Riveiro-Garcia
- 1-7 Simulating the market coefficient of relative risk aversion
by Samih Antoine Azar & Vera Karaguezian-Haddad
- 1-8 Environmental taxation in Europe: What does it depend on?
by Concetta Castiglione & Davide Infante & Maria Teresa Minervini & Janna Smirnova
- 1-8 Decomposing the misery index: A dynamic approach
by Ivan K. Cohen & Fabrizio Ferretti & Bryan McIntosh
- 1-9 Do football teams learn from changing coaches? A test of the deceleration hypothesis
by Agnieszka Bielinska-Kwapisz
- 1-9 Japanese subsidiaries in the European Union: Entry modes and performance
by David Tanganelli & Jean-Louis Schaan
- 1-9 Effects of vacation properties on local education budgets
by Jason Giersch
- 1-9 Is it environmentally desirable to encourage public transport through taxes? Evidence for Spanish households
by Desiderio Romero-Jordán & José Félix Sanz & Mercedes Burguillo
- 1-10 A theoretical analysis of the effectiveness of sustainable development assistance on environmental quality
by Carren Pindiriri
- 1-10 The effects of improved maize technology on household welfare in Buruku, Benue State, Nigeria
by Victoria I. Audu & Goodness C. Aye
- 1-11 An intervention analysis on the Tokyo Grain Exchange non-genetically modified and conventional soybean futures markets
by Kentaka Aruga
- 1-11 Is a night better than a day: Empirical evidence
by A. Deshkovski & A. Dzeshkovskaia
- 1-11 On the dynamics of international stock market efficiency
by Mohammed S. Khaled & Stephen P. Keef
- 1-11 Overnight Index Rate: Model, calibration and simulation
by Olga Yashkir & Yuri Yashkir
- 1-11 Volterra equation for pricing and hedging in a regime switching market
by Anindya Goswami & Ravi Kant Saini
- 1-11 Pre-open call auction and price discovery: Evidence from India
by Rajesh Acharya & Vishal Gaikwad
- 1-12 Banking concentration and developments in FYROM: A country in transition
by Nikolas Hourvouliades & Ljupco Davcev
- 1-12 Foreign direct investment and liberalization policies in Pakistan: An empirical analysis
by Rana Ejaz Ali Khan & Qazi Muhammad Adnan Hye
- 1-12 The management of price risk in Iranian dates: An application of futures instruments
by Habibeh Sherafatmand & Saeed Yazdani
- 1-13 Cognitive governance, cognitive mapping and cognitive conflicts: Structural analysis with the MICMAC method
by Garoui Nassreddine & Jarboui Anis
- 1-13 Mechanism of formation of the company optimal capital structure, different from suggested by trade off theory
by Peter Brusov & Tatiana Filatova & Natali Orekhova
- 1-13 The contribution of international trade to economic growth through human capital accumulation: Evidence from nine Asian countries
by Mirajul Haq & Muhammad Luqman
- 1-13 Ambiguity, ambiguity aversion and stores of value: The case of Argentina
by Eduardo Ariel Corso
- 1-14 Government-sponsored microfinance program: Joint liability vs. individual liability
by Arghya Kusum Mukherjee & Amit Kundu
- 1-15 The nonlinear impact of government consumption expenditure on economic growth: Evidence from low and low-middle income countries
by Mehdi Hajamini & Mohammad Ali Falahi
- 1-16 How to obtain high returns with lower volatility in emerging markets?
by Nipun Agarwal
- 1-16 Measuring grade inflation and grade divergence accounting for student quality
by Horacio Matos-Díaz
- 1-16 Corporate governance ratings as a means to reduce asymmetric information
by Claus Holm & Morten Balling & Thomas Poulsen
- 1-16 Capital and innovation aggregation with environmental pressure: An optimal evolution
by Feng Dai & Songtao Wu & Ling Liang
- 1-17 Cointegration and causality analysis of dynamic linkage between stock market and equity mutual funds in Australia
by Sasipa Pojanavatee
- 1-17 Harrod, Balassa, and Samuelson (re)visit Eastern Europe
by Robert J. Sonora & Josip Tica
- 1-17 What do you do when the binomial cannot value real options? The LSM model
by S. Alonso & V. Azofra & G. De La Fuente
- 1-17 Cross-listing, managerial compensation and corporate governance
by Yongli Luo
- 1-18 Inter-organizational linkages and resource dependence
by Rod B. McNaughton & Brian Paul Cozzarin
- 1-18 Application of integrated data mining techniques in stock market forecasting
by Chin-Yin Huang & Philip K.P. Lin
- 1-18 Disparities in earnings and education in India
by P. Geetha Rani
- 1-18 Do (successful) stock exchanges support or hinder institutions in transition economies?
by Christopher A. Hartwell
- 1-19 Advances in the mathematization process of Brazilian Academic Studies in Economics since the 1980s
by Mauricio Martinelli Silva Luperi
- 1-20 Evaluating the performance of university course units using data envelopment analysis
by Sami El-Mahgary & Petri Rönnholm & Hannu Hyyppä & Henrik Haggrén & Jenni Koponen
- 1-21 Which is the optimal fiscal rule in a monetary union? Targeting the structural, the global budgetary deficit, or the public debt?
by S. Menguy
- 1-23 Impact of exchange rate depreciation on the balance of payments: Empirical evidence from Nigeria
by Martins Iyoboyi & Olarinde Muftau
- 1-24 CEO's commitment bias, ownership concentration, and innovation decision: Behavioral management of CEO's discretion
by Hamza Fadhila & Azouzi Mohamed Ali & Jarboui Anis
- 1-25 Modeling international stock market contagion using multivariate fractionally integrated APARCH approach
by Zouheir Mighri & Faysal Mansouri
- 1-27 Determinants of health insurance and hospitalization
by Tadashi Yamada & Tetsuji Yamada & Chia-Ching Chen & Weihong Zeng
- 1-27 The impact of ownership structure on bank productivity and efficiency: Evidence from semi-parametric Malmquist Productivity Index
by Fadzlan Sufian & Fakarudin Kamarudin
- 1-37 Forecasting spot prices in bulk shipping using multivariate and univariate models
by N.D. Geomelos & E. Xideas