Contact information of Elsevier
Corrections
All material on this site has been provided by the respective publishers and authors. You can help
correct errors and omissions. When requesting a correction, please mention this item's handle: RePEc:eee:ecmode. See general information about how to correct material in RePEc.
For technical questions regarding this item, or to correct its authors, title, abstract, bibliographic or download information, contact: Catherine Liu (email available below). General contact details of provider: http://www.elsevier.com/locate/inca/30411 .
Content
2015, Volume 50, Issue C
- 64-71 Is there a structural change in the persistence of WTI–Brent oil price spreads in the post-2010 period?
by Chen, Wei & Huang, Zhuo & Yi, Yanping
- 72-84 Optimal resource allocation in a representative investor economy
by Gomes, Orlando
- 85-93 Uncertainty and fiscal policy in a monetary union: Why does monetary policy transmission matter?
by Oros, Cornel & Zimmer, Blandine
- 94-104 Limited attention of individual investors and stock performance: Evidence from the ChiNext market
by Zhang, Bing & Wang, Yudong
- 105-122 The dynamic fiscal effects of demographic shift: The case of Australia
by Kudrna, George & Tran, Chung & Woodland, Alan
- 123-129 Disaggregation methods based on MIDAS regression
by Guay, Alain & Maurin, Alain
- 130-137 On the efficiency of private and state-owned enterprises in mixed markets
by Nguyen, Xuan
- 138-147 Population aging, economic growth, and the social transmission of human capital: An analysis with an overlapping generations model
by Choi, Ki-Hong & Shin, Sungwhee
- 148-161 Macroprudential rules and monetary policy when financial frictions matter
by Bailliu, Jeannine & Meh, Cesaire & Zhang, Yahong
- 162-167 The relationship between immigration and unemployment: Panel data evidence from Canada
by Latif, Ehsan
- 168-178 Price limits and corporate investment: The consumers' perspective
by Sarkar, Sudipto
- 179-192 A “true” random effects stochastic frontier analysis for technical efficiency and heterogeneity: Evidence from manufacturing firms in Ethiopia
by Hailu, Kidanemariam Berhe & Tanaka, Makoto
- 193-199 Contagion effect of the European financial crisis on China's stock markets: Interdependence and pure contagion
by Shen, Pei-Long & Li, Wen & Wang, Xiao-Ting & Su, Chi-Wei
- 200-211 Is gold different for risk-averse and risk-seeking investors? An empirical analysis of the Shanghai Gold Exchange
by Hoang, Thi-Hong-Van & Wong, Wing-Keung & Zhu, Zhenzhen
- 212-227 Correlations between oil and stock markets: A wavelet-based approach
by Martín-Barragán, Belén & Ramos, Sofia B. & Veiga, Helena
- 228-236 An inverse hyperbolic sine heteroskedastic latent class panel tobit model: An application to modelling charitable donations
by Brown, Sarah & Greene, William H. & Harris, Mark N. & Taylor, Karl
- 237-244 Decreasing marginal impatience destabilizes multi-country economies
by Hirose, K. & Ikeda, Shinsuke
- 245-253 The dynamics of competition in remanufacturing: A stability analysis
by Shi, Lian & Sheng, Zhaohan & Xu, Feng
- 254-265 Semiparametric generalized long-memory modeling of some mena stock market returns: A wavelet approach
by Boubaker, Heni & Sghaier, Nadia
- 266-274 Investor sentiment and its nonlinear effect on stock returns—New evidence from the Chinese stock market based on panel quantile regression model
by Ni, Zhong-Xin & Wang, Da-Zhong & Xue, Wen-Jun
- 275-280 The banking firm and risk taking in a two-moment decision model
by Broll, Udo & Guo, Xu & Welzel, Peter & Wong, Wing-Keung
- 281-290 Switching and asymmetric behaviour of the Okun coefficient in the US: Evidence for the 1948–2015 period
by Valadkhani, Abbas & Smyth, Russell
- 291-297 Catastrophe options with double compound Poisson processes
by Yu, Jun
- 298-309 Public policy and growth in Canada: An applied endogenous growth model with human and knowledge capital accumulation
by Voyvoda, Ebru & Yeldan, Erinç
- 310-321 The efficiency of educational production: A comparison of the Nordic countries with other OECD countries
by Bogetoft, Peter & Heinesen, Eskil & Tranæs, Torben
- 322-330 The economic modeling of migration and consumption patterns in the English-speaking world
by Magee, Gary & Ishaq Bhatti, M. & Li, Alice Shuaishuai
2015, Volume 49, Issue C
- 1-10 Modelling the meat consumption patterns in Australia
by Wong, Lucille & Selvanathan, Eliyathamby A. & Selvanathan, Saroja
- 11-18 Gurus and belief manipulation
by Jouini, Elyès & Napp, Clotilde
- 19-31 The dynamics of bank debt renegotiation in Europe: A survival analysis approach
by Godlewski, Christophe J.
- 32-45 Disentangling the bond–CDS nexus: A stress test model of the CDS market
by Vuillemey, Guillaume & Peltonen, Tuomas A.
- 46-52 Measuring energy inefficiency with undesirable outputs and technology heterogeneity in Chinese cities
by Hang, Ye & Sun, Jiasen & Wang, Qunwei & Zhao, Zengyao & Wang, Yizhong
- 53-71 Monetary policy and commodity terms of trade shocks in emerging market economies
by Hove, Seedwell & Touna Mama, Albert & Tchana Tchana, Fulbert
- 72-80 Macroeconomic dynamics in a model with heterogeneous wage contracts
by Matsui, Muneya & Yoshimi, Taiyo
- 81-90 Residential versus financial wealth effects on consumption from a shock in interest rates
by León Navarro, Manuel & Flores de Frutos, Rafael
- 91-103 The Rotterdam demand model half a century on
by Clements, Kenneth W. & Gao, Grace
- 104-119 Reallocation effects in the specific factors and Heckscher–Ohlin models under firm heterogeneity
by Bekkers, Eddy & Stehrer, Robert
- 120-136 Understanding the common dynamics of the emerging market currencies
by Chadwick, Meltem Gülenay & Fazilet, Fatih & Tekatli, Necati
- 137-143 The relationship between income and housing deprivation: A longitudinal analysis
by Fusco, Alessio
- 144-153 The Greek equity market in European equity portfolios
by Vortelinos, Dimitrios I.
- 154-161 Competitiveness and government expenditure: The Australian example
by Makin, Anthony J. & Ratnasiri, Shyama
- 162-171 How does Google search affect trader positions and crude oil prices?
by Li, Xin & Ma, Jian & Wang, Shouyang & Zhang, Xun
- 172-185 The effect of federal government size on private economic performance in Canada: 1870–2011
by Ferris, J. Stephen & Voia, Marcel C.
- 186-197 The Phillips curve in the US: A nonlinear quantile regression approach
by Xu, Qifa & Niu, Xufeng & Jiang, Cuixia & Huang, Xue
- 198-211 New empirical evidence from assessing financial market integration, with application to Saudi Arabia
by Jouini, Jamel
- 212-222 International income convergence: Is Latin America actually different?
by King, Alan & Ramlogan-Dobson, Carlyn
- 223-231 Modeling the impact of exchange rates using a multicurrency framework
by Meng, Sam
- 232-247 Oil price shocks and global imbalances: Lessons from a model with trade and financial interdependencies
by Allegret, Jean-Pierre & Mignon, Valérie & Sallenave, Audrey
- 248-253 Statistical premium in correlated losses of insurance
by Lai, Li-Hua
- 254-259 Success and failure of bargaining in merger control: The case of asset divestitures
by Chopard, Bertrand & Cortade, Thomas & Cosnita-Langlais, Andreea
- 260-269 Revisiting the Feldstein–Horioka puzzle with regime switching: New evidence from European countries
by Chen, Shyh-Wei & Shen, Chung-Hua
- 270-277 Interest rate pass through and asymmetries in retail deposit and lending rates: An analysis using data from Colombian banks
by Holmes, Mark J. & Iregui, Ana María & Otero, Jesús
- 278-285 Revisiting sulfur Kuznets curves with endogenous breaks modeling: Substantial evidence of inverted-Us/Vs for individual OECD countries
by Liddle, Brantley & Messinis, George
- 286-295 Economic growth and crime: Is there an asymmetric relationship?
by Goulas, Eleftherios & Zervoyianni, Athina
- 296-307 The behaviour of the bank lending channel when interest rates approach the zero lower bound: Evidence from quantile regressions
by Apergis, Nicholas & Christou, Christina
- 308-313 Economic growth and the harmful effects of student loan debt on biomedical research
by Ferretti, Fabrizio & Jones, Simon & McIntosh, Bryan
- 314-319 Price asymmetry revisited from a marketing perspective
by Lim, Yoonsung & Kim, Jeong-Yoo & Berg, Nathan
- 320-330 A shaft of light into the black box of CGE analyses of tax reforms
by Fæhn, Taran
- 331-343 Arbitrage and leverage strategies in bubbles under synchronization risks and noise-trader risks
by Tan, Senren & Jin, Zhuo & Wu, Fuke
- 344-353 Risk estimation of CSI 300 index spot and futures in China from a new perspective
by Suo, Yuan-Yuan & Wang, Dong-Hua & Li, Sai-Ping
- 354-371 Sudden changes in extreme value volatility estimator: Modeling and forecasting with economic significance analysis
by Kumar, Dilip
- 372-386 Heterogeneity in the relationship between subjective well-being and its determinants over the life cycle: A varying-coefficient ordered probit approach
by Lin, Yi-Chen & Hwang, Ruey-Ching & Deng, Wen-Shuenn
- 387-394 Approximate Non-Similar critical values based tests vs Maximized Monte Carlo tests
by Sriananthakumar, Sivagowry
- 395-406 Red herrings and revelations: does learning about a new variable worsen forecasts?
by Shea, Paul
- 407-418 The impact of financial crises on the risk–return tradeoff and the leverage effect
by Christensen, Bent Jesper & Nielsen, Morten Ørregaard & Zhu, Jie
2015, Volume 48, Issue C
- 5-15 Neighborhoods to nations via social interactions
by Ioannides, Yannis M.
- 16-24 Does gold act as a hedge or a safe haven for stocks? A smooth transition approach
by Beckmann, Joscha & Berger, Theo & Czudaj, Robert
- 25-40 Financial stability and economic performance
by Creel, Jérôme & Hubert, Paul & Labondance, Fabien
- 41-51 Why does bank credit not drive money in Germany (any more)?
by Kuzin, Vladimir & Schobert, Franziska
- 52-69 An investigation of systemic stress and interdependencies within the Eurozone and Euro Area countries
by MacDonald, Ronald & Sogiakas, Vasilios & Tsopanakis, Andreas
- 70-82 The role of financial frictions during the crisis: An estimated DSGE model
by Merola, Rossana
- 83-92 The conduct of monetary policy in the Eurozone before and after the financial crisis
by Drakos, Anastassios A. & Kouretas, Georgios P.
- 93-115 Differently unequal: Zooming-in on the distributional dimensions of the crisis in euro area countries
by D'Errico, Marco & Macchiarelli, Corrado & Serafini, Roberta
- 116-128 When does it pay to tax? Evidence from state-dependent fiscal multipliers in the euro area
by Hondroyiannis, George & Papaoikonomou, Dimitrios
- 129-154 Linkages between the Eurozone and the South-Eastern European countries: A global VAR analysis
by Koukouritakis, Minoas & Papadopoulos, Athanasios P. & Yannopoulos, Andreas
- 155-166 Changes in the transmission of monetary policy during crisis episodes: Evidence from the euro area and the U.S
by Olmo, Jose & Sanso-Navarro, Marcos
- 167-174 Central bank transparency and the interest rate channel: Evidence from emerging economies
by Papadamou, Stephanos & Sidiropoulos, Moïse & Spyromitros, Eleftherios
- 175-188 Optimal fiscal and monetary policy action in a closed economy
by Philippopoulos, Apostolis & Varthalitis, Petros & Vassilatos, Vanghelis
- 189-198 Fiscal limits and monetary policy: default vs. inflation
by Sokolova, Anna
- 199-209 Multi-step analysis of public finances sustainability
by Afonso, António & Rault, Christophe
- 210-221 Small assumptions (can) have a large bearing: evaluating pension system reforms with OLG models
by Bielecki, Marcin & Goraus, Karolina & Hagemejer, Jan & Makarski, Krzysztof & Tyrowicz, Joanna
- 222-236 Determinants of budget deficits in Europe: The role and relations of fiscal rules, fiscal councils, creative accounting and the Euro
by Maltritz, Dominik & Wüste, Sebastian
- 237-247 Welfare effects of rent control — A comparison of redistributive policies
by Micheli, Martin & Schmidt, Torsten
- 248-269 Inflation, deflation, and uncertainty: What drives euro-area option-implied inflation expectations, and are they still anchored in the sovereign debt crisis?
by Scharnagl, Michael & Stapf, Jelena
- 270-280 A threshold model of the US current account
by Duncan, Roberto
- 281-291 Are unleaded gasoline and diesel price adjustments symmetric? A comparison of the four largest EU retail fuel markets
by Karagiannis, Stelios & Panagopoulos, Yannis & Vlamis, Prodromos
- 292-305 The effects of globalization on macroeconomic dynamics in a trade-dependent economy: The case of Korea
by Milani, Fabio & Park, Sung Ho
- 306-314 Trade imbalances within the euro area and with respect to the rest of the world
by Nieminen, Mika
- 315-325 Domestic demand, capacity constraints and exporting dynamics: Empirical evidence for vulnerable euro area countries
by Belke, Ansgar & Oeking, Anne & Setzer, Ralph
- 326-342 Expropriation risk, investment decisions and economic sectors
by Restrepo Ochoa, Diana C. & Correia, Ricardo & Peña, Juan Ignacio & Población, Javier
- 343-356 Uncertainty and episodes of extreme capital flows in the Euro Area
by Schmidt, Torsten & Zwick, Lina
2015, Volume 47, Issue C
- 1-11 The impact of gender inequality in education on income in Africa and the Middle East
by Baliamoune–Lutz, Mina & McGillivray, Mark
- 12-17 A model of fashion: Endogenous preferences in social interaction
by Di Giovinazzo, Viviana & Naimzada, Ahmad
- 18-22 Taxation of labour income and the skilled–unskilled wage inequality
by Anwar, Sajid & Sun, Sizhong
- 23-31 Stock returns and inflation in Pakistan
by Tiwari, Aviral Kumar & Dar, Arif Billah & Bhanja, Niyati & Arouri, Mohamed & Teulon, Frédéric
- 32-39 Does Islamic banking development favor macroeconomic efficiency? Evidence on the Islamic finance-growth nexus
by Gheeraert, Laurent & Weill, Laurent
- 40-52 Cyclicality of real wages in the USA and Germany: New insights from wavelet analysis
by Marczak, Martyna & Gómez, Víctor
- 53-62 Exchange rate movements and the Australian economy
by Manalo, Josef & Perera, Dilhan & Rees, Daniel M.
- 63-73 The international effect of US government expenditure
by Carmignani, Fabrizio
- 74-83 Efficiency of microfinance institutions in Sri Lanka: a two-stage double bootstrap DEA approach
by Wijesiri, Mahinda & Viganò, Laura & Meoli, Michele
- 84-92 Is carbon emissions trading profitable?
by Narayan, Paresh Kumar & Sharma, Susan Sunila
- 93-104 Stochastic lattice models for valuation of volatility options
by Ma, Jingtang & Li, Wenyuan & Han, Xu
- 105-110 The virtue of overconfidence when you are not perfectly informed
by Zhou, Deqing
- 111-117 Procurement auctions with ex-ante endogenous bribery
by Huang, He & Li, Zhipeng
- 118-127 Examining the determinants of inward FDI: Evidence from Norway
by Boateng, Agyenim & Hua, Xiuping & Nisar, Shaista & Wu, Junjie
- 128-136 Speculative behaviour and oil price predictability
by Panopoulou, Ekaterini & Pantelidis, Theologos
- 137-144 Volume and share quotas in Cournot competition
by Okumura, Yasunori
- 145-155 Corporate governance, regulation and foreign equity ownership: Lessons from Korea
by Min, Byung S. & Bowman, Robert G.
- 156-165 Multiscale analysis of foreign exchange order flows and technical trading profitability
by Gradojevic, Nikola & Lento, Camillo
- 166-173 Estimating returns to schooling in urban China using conventional and heteroskedasticity-based instruments
by Mishra, Vinod & Smyth, Russell
- 174-179 Environmental effects of remittance of rural–urban migrant
by Li, Xiaochun & Zhou, Jing
- 180-184 Optimal transport provision to a tourist destination: A contract theory perspective
by Batabyal, Amitrajeet A. & Beladi, Hamid
- 185-192 Detecting performance persistence of hedge funds
by Hentati-Kaffel, Rania & de Peretti, Philippe
- 193-206 Decomposing and valuing convertible bonds: A new method based on exotic options
by Feng, Yun & Huang, Bing-hua & Young, Martin & Zhou, Qi-yuan
- 207-218 Remittance and domestic labor productivity: Evidence from remittance recipient countries
by Mamun, Md. Al & Sohag, Kazi & Uddin, Gazi Salah & Shahbaz, Muhammad
- 219-227 Eco-efficiency in greenhouse emissions among manufacturing industries: A range adjusted measure
by Ramli, Noor Asiah & Munisamy, Susila
- 228-234 Volatility forecast of country ETF: The sequential information arrival hypothesis
by Tseng, Tseng-Chan & Lee, Chien-Chiang & Chen, Mei-Ping
- 235-243 The growth–distribution nexus in a mixed regime of education with a status motive: On the macroeconomics of the welfare state
by Tournemaine, Frederic & Tsoukis, Christopher
- 244-252 Can the hysteresis hypothesis in Spanish regional unemployment be beaten? New evidence from unit root tests with breaks
by García-Cintado, Alejandro & Romero-Ávila, Diego & Usabiaga, Carlos
- 253-259 The impact of the Renminbi real exchange rate on ASEAN disaggregated exports to China
by Hooy, Chee-Wooi & Siong-Hook, Law & Tze-Haw, Chan
- 260-270 The relation between fees and return predictability in the mutual fund industry
by Vidal, Marta & Vidal-García, Javier & Lean, Hooi Hooi & Uddin, Gazi Salah
- 271-279 Day-of-the-week trading patterns of informed and uninformed traders in Taiwan's foreign exchange market
by Zhang, Tai-Wei & Chueh, Horace & Hsu, Yao Hua
- 280-291 Work hour mismatches and on-the-job search
by Kawata, Keisuke
- 292-298 Wild bootstrap testing for cointegration in an ESTAR error correction model
by Maki, Daiki
- 299-306 Does real interest rate parity really hold? New evidence from G7 countries
by Chang, Ming-Jen & Su, Che-Yi
- 319-326 Dynamic income taxation without commitment: Comparing alternative tax systems
by Guo, Jang-Ting & Krause, Alan
- 327-339 International price competition among food industries: The role of income, population and biased consumer preference
by Okimoto, Madoka
- 340-354 Loan default correlation using an Archimedean copula approach: A case for recalibration
by Fenech, Jean Pierre & Vosgha, Hamed & Shafik, Salwa
- 355-371 International swap market contagion and volatility
by Sohel Azad, A.S.M. & Batten, Jonathan A. & Fang, Victor & Wickramanayake, Jayasinghe
- 372-382 Long-run monetary neutrality under stochastic and deterministic trends
by Ventosa-Santaulària, Daniel & Noriega, Antonio E.
- 383-398 Global imbalances: Should we use fundamental equilibrium exchange rates?
by Saadaoui, Jamel
2015, Volume 46, Issue C
- 1-10 Detecting biotechnology industry's earnings management using Bayesian network, principal component analysis, back propagation neural network, and decision tree
by Chen, Fu-Hsiang & Chi, Der-Jang & Wang, Yi-Cheng
- 11-26 Transmission of US monetary policy into the Canadian economy: A structural cointegration analysis
by Mahdi Barakchian, S.
- 27-35 Determinants of Jordanian foreign direct investment inflows: Bounds testing approach
by Bekhet, Hussain Ali & Al-Smadi, Raed Walid
- 36-43 Endogenous transport price and international R&D rivalry
by Takauchi, Kazuhiro
- 44-52 Does military expenditure crowd out private investment? A disaggregated perspective for the case of France
by Malizard, Julien
- 53-60 Bayesian forecasting of real exchange rates with a Dornbusch prior
by Ca' Zorzi, Michele & Kocięcki, Andrzej & Rubaszek, Michał
- 61-69 Real business-cycle model with habits: Empirical investigation
by Khorunzhina, Natalia
- 70-78 Energy management systems and market value: Is there a link?
by Pham, Thi Hong Hanh
- 79-90 Nash equilibrium strategy for a multi-period mean–variance portfolio selection problem with regime switching
by Wu, Huiling & Chen, Hua
- 91-99 Price competition, technology licensing and strategic trade policy
by Ghosh, Arghya & Saha, Souresh
- 100-117 A model of a heterodox exchange rate based stabilization
by Aytac, Ozlem
- 118-129 Monetary policy in a two-sector dependent economy
by Mohsin, Mohammed & Park, Kihyun
- 130-141 Modeling expectations in agent-based models — An application to central bank's communication and monetary policy
by Salle, Isabelle L.
- 142-156 Dividend optimization under reserve constraints for the Cramér–Lundberg model compounded by force of interest
by Zhu, Jinxia & Chen, Feng
- 157-166 Inflation expectations of the inattentive general public
by Reid, Monique
- 167-179 Improving estimation of the fractionally differencing parameter in the SARFIMA model using tapered periodogram
by Ye, Xunyu & Gao, Ping & Li, Handong
- 180-187 Threshold characteristic of energy efficiency on substitution between energy and non-energy factors
by Zha, Donglan & Ding, Ning
- 188-203 Health status and the allocation of time: Cross-country evidence from Europe
by Gimenez-Nadal, J. Ignacio & Molina, Jose Alberto
- 204-224 Value-at-risk estimates of the stock indices in developed and emerging markets including the spillover effects of currency market
by Su, Jung-Bin
- 225-237 The business cycle implications of land financing in China
by Guo, Shen & Liu, Lezheng & Zhao, Yan
- 238-249 Modelling banknote printing costs: of cohorts, generations, and note-years
by Van Hove, Leo
- 250-261 Improving health in an advanced economy: An economywide analysis for Australia
by Verikios, George & Dixon, Peter B. & Rimmer, Maureen T. & Harris, Anthony H.
- 262-268 A theoretical analysis on H-share discount
by Zhang, Ran
- 269-282 How do reservation prices impact distressed debt rescheduling?
by Moraux, Franck & Navatte, Patrick
- 283-300 Flexible inflation targeting and labor market inefficiencies
by Raissi, Mehdi
- 301-314 Industry co-movements of American depository receipts: Evidences from the copula approaches
by Lee, Chien-Chiang & Chang, Chi-Hung & Chen, Mei-Ping
- 315-321 Nash bargaining and partial privatization in mixed oligopoly
by Nakamura, Tamotsu & Takami, Hiroyuki
- 322-333 Equity-financing, income inequality and capital accumulation
by Nabi, Mahmoud Sami
- 334-345 A production inventory model for deteriorating item with ramp type demand allowing inflation and shortages under fuzziness
by Pal, Shilpi & Mahapatra, G.S. & Samanta, G.P.
- 346-357 Pensions, savings and housing: A life-cycle framework with policy simulations
by Creedy, John & Gemmell, Norman & Scobie, Grant
- 358-363 Business dynamics, efficiency, asset quality and stability: The case of financial intermediaries in Pakistan
by Mirza, Nawazish & Rahat, Birjees & Reddy, Krishna
- 364-375 Fiscal sustainability and regime shifts in Japan
by Ko, Jun-Hyung & Morita, Hiroshi
- 376-383 Bubble or riddle? An asset-pricing approach evaluation on China's housing market
by Feng, Qu & Wu, Guiying Laura
- 384-390 The overconfident trader does not always overreact to his information
by Du, Sarina & Liu, Hong
- 391-396 Medical tourism and health worker migration in developing countries
by Beladi, Hamid & Chao, Chi-Chur & Ee, Mong Shan & Hollas, Daniel
- 397-406 The impact of the global financial crisis on the efficiency of Australian banks
by Moradi-Motlagh, Amir & Babacan, Alperhan
- 407-411 The responses of the prime rate to change in policies of the Federal Reserve
by Friedman, Joseph & Shachmurove, Yochanan
- 412-415 On measuring the effects of fiscal policy in global financial crisis: Evidences from an export-oriented island economy
by Hong, Cheng-Yih & Li, Jian-Fa
- 416-425 Nonlinearities and divergences in the process of European financial integration
by Răileanu-Szeles, Monica & Albu, Lucian
2015, Volume 45, Issue C
- 1-13 Growth and welfare effects of environmental tax reform and public spending policy
by Oueslati, Walid
- 14-21 Economic value of modeling covariance asymmetry for mixed-asset portfolio diversifications
by Zhou, Jian & Nicholson, Joseph R.
- 22-37 Trade volume and economic growth in the MENA region: Goods or services?
by Karam, Fida & Zaki, Chahir
- 38-49 Global and regional volatility spillovers to GCC stock markets
by Alotaibi, Abdullah R. & Mishra, Anil V.
- 50-73 Modelling stock return volatility dynamics in selected African markets
by King, Daniel & Botha, Ferdi
- 74-82 The impact of the Hizmet movement on Turkey's bilateral trade
by Balli, Faruk & Civan, Abdulkadir & Uras, Oguz
- 83-92 A simulation of impact of withdrawal European funds on Andalusian economy using a dynamic CGE model: 2014–20
by Cardenete, Manuel Alejandro & Delgado, M. Carmen
- 93-98 Two applications of the random coefficient procedure: Correcting for misspecifications in a small area level model and resolving Simpson's paradox
by Swamy, P.A.V.B. & Mehta, J.S. & Tavlas, G.S. & Hall, S.G.
- 99-108 Housing and business cycles in Korea: A multi-sector Bayesian DSGE approach
by Lee, Junhee & Song, Joonhyuk
- 109-117 Monetary policy and heterogeneous inflation expectations in South Africa
by Kabundi, Alain & Schaling, Eric & Some, Modeste
- 118-126 Growth effects of institutions: A disaggregated analysis
by Nawaz, Saima
- 127-135 Forecasting energy consumption using a new GM–ARMA model based on HP filter: The case of Guangdong Province of China
by Xu, Weijun & Gu, Ren & Liu, Youzhu & Dai, Yongwu
- 136-141 Locating change-points in Hodrick–Prescott trends with an application to US real GDP: A generalized unobserved components model approach
by Yoon, Gawon
- 142-154 Revisiting the nexus between currency misalignments and growth in the CFA Zone
by Grekou, Carl
- 155-168 Stochastic market modeling with Gaussian Quadratures: Do rotations of Stroud's octahedron matter?
by Artavia, Marco & Grethe, Harald & Zimmermann, Georg
- 169-174 A comparison of the accuracy of asymptotic approximations in the dynamic regression model using Kullback-Leibler information
by Atukorala, Ranjani & Sriananthakumar, Sivagowry
- 175-186 Macroeconomic and market microstructure modelling of Ugandan exchange rate
by Katusiime, Lorna & Shamsuddin, Abul & Agbola, Frank W.
- 187-192 Exchange rate risk management: What can we learn from financial crises?
by Lan, Li-Huei & Chen, Chang-Chih & Chuang, Shuang-Shii
- 193-206 An empirical model of fractionally cointegrated daily high and low stock market prices
by Baruník, Jozef & Dvořáková, Sylvie
- 207-211 A revealed preference test of rationing a Monte Carlo analysis
by Fleissig, Adrian R. & Whitney, Gerald A.
- 212-222 The effect of growth volatility on income inequality
by Huang, Ho-Chuan (River) & Fang, WenShwo & Miller, Stephen M. & Yeh, Chih-Chuan
- 223-235 A range-based volatility approach to measuring volatility contagion in securitized real estate markets
by Anderson, Randy I. & Chen, Yi-Chi & Wang, Li-Min
- 236-248 Bayesian estimation of China's monetary policy transparency: A New Keynesian approach
by Ma, Yong & Li, Shushu
- 249-258 Remittances and financial development in Sub-Saharan African countries: A system approach
by Coulibaly, Dramane
- 259-267 Forecasting the U.S. real house price index
by Plakandaras, Vasilios & Gupta, Rangan & Gogas, Periklis & Papadimitriou, Theophilos
- 268-277 Growth in China and the US: Effects on a small commodity exporter economy
by Osborn, Denise R. & Vehbi, Tugrul
2015, Volume 44, Issue C