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Content
2013, Volume 34, Issue C
- 106-113 Real business cycles in emerging economies: Turkish case
by Taştan, Hüseyin
- 114-128 Inflation targeting in a learning economy: An ABM perspective
by Salle, Isabelle & Yıldızoğlu, Murat & Sénégas, Marc-Alexandre
- 129-144 Severe or gentle bankruptcy law: Which impact on investing and financing decisions?
by Blazy, Régis & Deffains, Bruno & Umbhauer, Gisèle & Weill, Laurent
- 145-153 Geographical simulation analysis for logistics enhancement in Asia
by Kumagai, Satoru & Hayakawa, Kazunobu & Isono, Ikumo & Keola, Souknilanh & Tsubota, Kenmei
- 154-160 Boundedness and nonlinearities in public debt dynamics: A TAR assessment
by Gnegne, Yacouba & Jawadi, Fredj
2013, Volume 33, Issue C
- 1-7 Forecasting the yield curve and the role of macroeconomic information in Turkey
by Kaya, Huseyin
- 8-18 On decomposing inequality and poverty changes over time: A multi-dimensional decomposition
by Mussini, Mauro
- 19-33 A DSGE-VAR model for forecasting key South African macroeconomic variables
by Gupta, Rangan & Steinbach, Rudi
- 34-41 The influence of foreign portfolio investment on informational efficiency: Empirical evidence from Central and Eastern European stock markets
by Todea, Alexandru & Pleşoianu, Anita
- 42-54 An inference about the length of the time-to-build period
by Jung, Yong-Gook
- 55-64 Stock market comovements in Central Europe: Evidence from the asymmetric DCC model
by Gjika, Dritan & Horváth, Roman
- 65-70 Terrorism and tourism: A conjunction and ramification in Pakistan
by Raza, Syed Ali & Jawaid, Syed Tehseen
- 71-76 Reverse shooting of exchange rates
by Wang, Peijie
- 77-85 Prudent consumers: New evidence from the Consumer Expenditure Survey
by Kim, Seewon
- 86-93 Private information and its origins in an electronic foreign exchange market
by Gençay, Ramazan & Gradojevic, Nikola
- 94-100 Supply and demand biases in linear interindustry models
by Manresa, Antonio & Sancho, Ferran
- 101-112 Covariate unit root tests under structural change and asymmetric STAR dynamics
by Tsong, Ching-Chuan & Wu, Chien-Wei & Chiu, Hsien-Hung & Lee, Cheng-Feng
- 113-119 A multi-period portfolio selection optimization model by using interval analysis
by Liu, Yong-Jun & Zhang, Wei-Guo & Zhang, Pu
- 120-125 Testing for Granger non-causality using the autoregressive metric
by Di Iorio, Francesca & Triacca, Umberto
- 126-136 Testing linear regression model with AR(1) errors against a first-order dynamic linear regression model with white noise errors: A point optimal testing approach
by Sriananthakumar, Sivagowry
- 137-148 Technology adoption within a search model: Evidence from OECD countries
by Alexiadis, Stilianos & Eleftheriou, Konstantinos & Nijkamp, Peter
- 149-158 Welfare analysis on optimal enterprise tax rate in China
by Ji, Jingjing & Ye, Zhiqiang & Zhang, Shunming
- 159-163 Some results about the exponential ordering of inactivity time
by Kayid, M. & Alamoudi, L.
- 164-173 Mass customization in an endogenous-timing game with vertical differentiation
by Loginova, Oksana & Wang, X. Henry
- 174-181 An empirical estimation for mean-reverting coal prices with long memory
by Sun, Qi & Xu, Weijun & Xiao, Weilin
- 182-186 Estimating most productive scale size with double frontiers data envelopment analysis
by Wang, Ying-Ming & Lan, Yi-Xin
- 187-193 Functional food consumption and depression among the elderly — What can we learn from a longitudinal survey?
by Chang, Hung-Hao
- 194-203 Operational risk of option hedging
by Mitra, Sovan
- 204-208 Uncovered interest parity and risk premium convergence in Central and Eastern European countries
by Jiang, Chun & Li, Xiao-Lin & Chang, Hsu-Ling & Su, Chi-Wei
- 209-225 Eurozone crisis and BRIICKS stock markets: Contagion or market interdependence?
by Ahmad, Wasim & Sehgal, Sanjay & Bhanumurthy, N.R.
- 226-232 Does tourism development promote economic growth in transition countries? A panel data analysis
by Chou, Ming Che
- 233-243 Modelling the terminal gate prices of unleaded petrol in Australia
by Valadkhani, Abbas
- 244-247 Does greater central bank independence really lead to lower inflation? Evidence from panel data
by Posso, Alberto & Tawadros, George B.
- 248-253 Dynamic asset pricing model with heterogeneous sentiments
by Yang, Chunpeng & Zhang, Rengui
- 254-260 Does globalization affect the insurance markets? Bootstrap panel Granger causality test
by Chang, Tsangyao & Cheng, Shu-Ching & Pan, Guochen & Wu, Tsung-pao
- 261-269 Immigration, unemployment and GDP in the host country: Bootstrap panel Granger causality analysis on OECD countries
by Boubtane, Ekrame & Coulibaly, Dramane & Rault, Christophe
- 270-279 Second-order polynomial spatial error model. Global and local spatial dependence in unemployment in Andalusia
by López-Hernández, Fernando A.
- 280-291 Corporate governance under asymmetric information: Theory and evidence
by Chen, Chen-Wen & Liu, Victor W.
- 292-305 Macroeconomic effects of international remittances: The case of developing economies
by Guha, Puja
- 306-311 Optima exchange crisis regression and twin crisis: Evidences for some MENA countries
by Aidi, Wafa
- 312-325 Short-term inflation forecasting models for Turkey and a forecast combination analysis
by Öğünç, Fethi & Akdoğan, Kurmaş & Başer, Selen & Chadwick, Meltem Gülenay & Ertuğ, Dilara & Hülagü, Timur & Kösem, Sevim & Özmen, Mustafa Utku & Tekatlı, Necati
- 326-332 International factor mobility, monopolistic competition, and wage inequality
by Pi, Jiancai & Zhou, Yu & Yin, Jun
- 333-346 Energy exports, globalization and economic growth: The case of South Caucasus
by Chang, Chun-Ping & Berdiev, Aziz N. & Lee, Chien-Chiang
- 347-356 Why don't banks lend to Egypt's private sector?
by Herrera, Santiago & Hurlin, Christophe & Zaki, Chahir
- 357-366 Wealth shocks, credit conditions and asymmetric consumption response: Empirical evidence for the UK
by Márquez, Elena & Martínez-Cañete, Ana R. & Pérez-Soba, Inés
- 367-374 A general to specific approach for constructing composite business cycle indicators
by Cubadda, Gianluca & Guardabascio, Barbara & Hecq, Alain
- 375-380 Research on a dynamics with bounded rationality for high-carbon and low-carbon energy economic system
by Ding, Zhanwen & Wang, Shuxun & Jiang, Shumin
- 381-387 Current account balances and output volatility
by Elgin, Ceyhun & Kuzubas, Tolga Umut
- 388-397 Financial sector development and domestic savings in South Asia
by Sahoo, Pravakar & Dash, Ranjan Kumar
- 398-406 An optimal production method for penetrating foreign markets: Standardization, localization, and flexible technology
by Kwon, Chul-Woo
- 407-415 Cooperative economic growth
by Dai, Darong
- 416-420 Direct vs bottom–up approach when forecasting GDP: Reconciling literature results with institutional practice
by Esteves, Paulo Soares
- 421-427 International trade and the negotiability of global climate change agreements
by Cai, Yuezhou & Riezman, Raymond & Whalley, John
- 428-432 An economic analysis of remittance of unskilled migration on skilled–unskilled wage inequality in labor host region
by Li, Xiaochun & Zhou, Yu
- 433-439 A comparison of operating performance management between Taiwan banks and foreign banks based on the Meta-Hybrid DEA model
by Chiu, Yung-ho & Luo, Zhengying & Chen, Yu-Chuan & Wang, Zebin & Tsai, Min-Pei
- 440-449 Costly technology adoption, redistribution and growth
by Lahiri, Radhika & Ratnasiri, Shyama
- 450-457 The dynamic adjustment of factor inputs and its policy implications for major wheat producing areas in China
by Chen, Shuzhang & Oxley, Les & Xu, Zheng & Wang, Yanqing & Ma, Hengyun
- 458-461 Does the use of multiple FTAs force firms to raise local input share?: Evidence of the spaghetti bowl phenomenon
by Hayakawa, Kazunobu
- 462-470 Optimal investment and consumption strategies with state-dependent utility functions and uncertain time-horizon
by Zeng, Yan & Wu, Huiling & Lai, Yongzeng
- 471-481 Economic growth and disease in the OLG model: The HIV/AIDS case
by Augier, Laurent & Yaly, Amy
- 482-492 What causes household debt to increase in South Africa?
by Meniago, Christelle & Mukuddem-Petersen, Janine & Petersen, Mark A. & Mongale, Itumeleng P.
- 493-499 Optimism bias and incentive contracts in portfolio delegation
by Wang, Jian & Sheng, Jiliang & Yang, Jun
- 500-506 A time-consistent model for cooperation in international pollution control
by Wang, Yiming
- 507-516 Dynamics analysis and chaos control of a duopoly game with heterogeneous players and output limiter
by Du, Jian-guo & Fan, Yue-qian & Sheng, Zhao-han & Hou, Yun-zhang
- 517-525 Liquidity and crude oil prices: China's influence over 1996–2011
by Ratti, Ronald A. & Vespignani, Joaquin L.
- 526-532 Effect of piracy on innovation in the presence of network externalities
by Banerjee, Dyuti
- 533-536 Applying the Model Order Reduction method to a European option pricing model
by Lin, Shao-Bin & Chen, Chun-Da
- 537-544 Does financial instability increase environmental degradation? Fresh evidence from Pakistan
by Shahbaz, Muhammad
- 545-551 Market anticipation of monetary policy actions and interest rate transmission to US Treasury market rates
by Papadamou, Stephanos
- 552-559 Stochastic dominance relationships between stock and stock index futures markets: International evidence
by Qiao, Zhuo & Wong, Wing-Keung & Fung, Joseph K.W.
- 560-571 Global distribution and dynamics of economic freedom: Non-parametric approach
by Kešeljević, Aleksandar & Spruk, Rok
- 572-587 Macroeconomic shocks and the probability of being employed
by Kornstad, Tom & Nymoen, Ragnar & Skjerpen, Terje
- 588-592 Robust goal programming for multi-objective portfolio selection problem
by Ghahtarani, Alireza & Najafi, Amir Abbas
- 593-604 Pareto–lognormal distributions: Inequality, poverty, and estimation from grouped income data
by Hajargasht, Gholamreza & Griffiths, William E.
- 605-612 Credit and bank opaqueness: How to avoid financial crises?
by de Mendonça, Helder Ferreira & Galvão, Délio José Cordeiro & Loures, Renato Falci Villela
- 613-619 Open source information, investor attention, and asset pricing
by Zhang, Wei & Shen, Dehua & Zhang, Yongjie & Xiong, Xiong
- 620-630 Price and liquidity puzzles of a monetary shock: Evidence from indebted African economies
by Muhanji, Stella & Malikane, Christopher & Ojah, Kalu
- 631-640 An intertemporal microeconomic theory of disembodied and price-induced technical progress
by Caputo, Michael R. & Paris, Quirino
- 641-650 Are crude oil spot and futures prices cointegrated? Not always!
by Wang, Yudong & Wu, Chongfeng
- 651-658 Economic impact of CO2 emissions on Thailand's growth and climate change mitigation policy: A modelling analysis
by Van Hoa, Tran & Limskul, Kitti
- 659-667 Waiting times and socioeconomic status: Does sample selection matter?
by Sharma, Anurag & Siciliani, Luigi & Harris, Anthony
- 668-675 Determining production–shipment policy for a vendor–buyer integrated system with rework and an amending multi-delivery schedule
by Chiu, Singa Wang & Lin, Li-Wen & Chen, Kuang-Ku & Chou, Chung-Li
- 676-688 Masking of volatility by seasonal adjustment methods
by Hayat, Aziz & Bhatti, M. Ishaq
- 689-694 Real convergence in Europe: A cluster analysis
by Monfort, Mercedes & Cuestas, Juan Carlos & Ordóñez, Javier
- 695-700 The nexus between remittance outflows and growth: A study of Saudi Arabia
by Alkhathlan, Khalid A.
- 701-712 An automatic bias correction procedure for volatility estimation using extreme values of asset prices
by Maheswaran, S. & Kumar, Dilip
- 713-721 The (un)reliability of real-time output gap estimates with revised data
by Ince, Onur & Papell, David H.
- 722-732 Anchor currency and real exchange rate dynamics in the CFA Franc zone
by Couharde, Cécile & Coulibaly, Issiaka & Damette, Olivier
- 733-740 Tobin's Q channel and monetary policy rules under incomplete exchange rate pass-through
by Ida, Daisuke
- 741-746 Trade reform, intermediation and corruption
by Mandal, Biswajit & Marjit, Sugata
- 747-761 Small sample-oriented case-based kernel predictive modeling and its economic forecasting applications under n-splits-k-times hold-out assessment
by Li, Hui & Hong, Lu-Yao & He, Jia-Xun & Xu, Xuan-Guo & Sun, Jie
- 762-771 Government debt, inflation dynamics and the transmission of fiscal policy shocks
by Mayer, Eric & Rüth, Sebastian & Scharler, Johann
- 772-779 Do countries belonging to the same region suggest the same growth enhancing variables? Evidence from selected South Asian countries
by Cooray, Arusha & Paradiso, Antonio & Truglia, Francesco Giovanni
- 780-786 Does tourism predict macroeconomic performance in Pacific Island countries?
by Narayan, Paresh Kumar & Sharma, Susan Sunila & Bannigidadmath, Deepa
- 787-793 Panel threshold analysis of Taiwan's outbound visitors
by Che, Chou Ming
- 794-801 A barrier option framework for bank interest margin management under anticipatory regret aversion
by Lin, Jyh-Horng & Hung, Wei-Ming
- 802-807 Impact of foreign political instability on Chinese exports
by Bashir, Malik Fahim & Xu, Changsheng & Zaman, Khalid & Akhmat, Ghulam & Ikram, Muhammad
- 808-825 Limited information minimal state variable learning in a medium-scale multi-country model
by Dieppe, Alistair & Pandiella, Alberto González & Hall, Stephen & Willman, Alpo
- 826-831 International factor mobility, environmental pollution and skilled–unskilled wage inequality in developing countries
by Pan, Lijun & Zhou, Yu
- 832-842 Duopoly quality commitment
by Nie, Pu-yan
- 843-849 On the relationship between fertility and public national debt
by Fanti, Luciano & Spataro, Luca
- 850-857 The saving–growth–inequality triangle in China
by Gu, Xinhua & Tam, Pui Sun
- 858-866 Habit formation and housing over the life cycle
by Aydilek, Asiye
- 867-883 Trade openness and economic growth: Bayesian model averaging estimate of cross-country growth regressions
by Eriṣ, Mehmet N. & Ulaṣan, Bülent
- 884-892 An asymmetric analysis of the relationship between oil prices and output: The case of Turkey
by Çatik, A. Nazif & Önder, Özlem
- 893-899 A hybrid model based on ANFIS and adaptive expectation genetic algorithm to forecast TAIEX
by Wei, Liang-Ying
- 900-912 Exchange rate pass-through to inflation in China
by Jiang, Jiadan & Kim, David
- 913-917 Input–output modelling of the effect of implicit subsidies on general prices
by Sharify, Nooraddin
- 918-925 On the stationarity of per capita carbon dioxide emissions over a century
by Christidou, Maria & Panagiotidis, Theodore & Sharma, Abhijit
- 926-939 Can signal extraction help predict risk premia in foreign exchange rates
by Kiani, Khurshid M.
- 940-946 Effects of terms of trade on growth performance of India
by Jawaid, Syed Tehseen & Raza, Syed Ali
- 956-964 Sustainable effects of technological progress and trade liberalization
by Shachmurove, Yochanan & Spiegel, Uriel
- 965-976 Coordination costs and research joint ventures
by Falvey, Rod & Poyago-Theotoky, Joanna & Teerasuwannajak, Khemarat Talerngsri
- 977-990 Bank liquidity preference and the investment demand constraint
by Khemraj, Tarron
- 991-997 National culture, market condition and market share of foreign bank
by Xue, Minggao & Cheng, Wen
2013, Volume 32, Issue C
- 1-9 Are the effects of monetary policy on output asymmetric in Pakistan?
by Zakir, Nadia & Malik, Wasim Shahid
- 10-14 The equivalence of profit-sharing licensing and per-unit royalty licensing
by Niu, Shuai
- 15-22 Correlations and volatility spillovers across commodity and stock markets: Linking energies, food, and gold
by Mensi, Walid & Beljid, Makram & Boubaker, Adel & Managi, Shunsuke
- 23-29 Credit and business cycles in Greece: Is there any relationship?
by Karfakis, Costas
- 30-33 Endogenous domestic market structure and the effects of a trade cost reduction in a unionised industry
by Mukherjee, Arijit
- 34-41 Borrowing constraints and the trade balance–output comovement
by Zhao, Yan
- 42-57 A wavelet decomposition approach to crude oil price and exchange rate dependence
by Reboredo, Juan C. & Rivera-Castro, Miguel A.
- 58-65 Executive bonus compensation when abnormal earnings and the state of the economy are correlated
by Kim, Hwa-Sung
- 66-76 Exchange rate nonlinearities in EMU exports to the US
by Verheyen, Florian
- 77-87 A translog production function for the Spanish provinces: Impact of the human and physical capital in economic growth
by Pablo-Romero, M. del P. & Gómez-Calero, M. de la P.
- 88-90 Banks dividend policy: Evidence from Pakistan
by Imran, Kashif & Usman, Muhammad & Nishat, Muhammad
- 91-99 The asymmetric price adjustment between REIT and stock markets in Asia-Pacific markets
by Tsai, Ming-Shann & Chiang, Shu-Ling
- 100-107 The yield curve and the macroeconomy: Evidence from Turkey
by Kaya, Huseyin
- 108-112 Foreign competition and social efficiency of entry
by Marjit, Sugata & Mukherjee, Arijit
- 113-123 Taylor Rule or optimal timeless policy? Reconsidering the Fed's behavior since 1982
by Minford, Patrick & Ou, Zhirong
- 124-129 On the relationship between GDP and health care expenditure: A new look
by Lago-Peñas, Santiago & Cantarero-Prieto, David & Blázquez-Fernández, Carla
- 130-135 Measuring CO2 emission efficiency in OECD countries: Application of the Hybrid Efficiency model
by Lu, Ching-Cheng & Chiu, Yung-Ho & Shyu, Ming-Kuang & Lee, Jen-Hui
- 136-145 Nonlinearity in ASEAN-5 export-led growth model: Empirical evidence from nonparametric approach
by Lim, Shiok Ye & Ho, Chong Mun
- 146-160 Endogenous current account balances in a world CGE model with international financial assets
by Lemelin, André & Robichaud, Véronique & Decaluwé, Bernard
- 161-171 Is the relationship between monetary policy and house prices asymmetric across bull and bear markets in South Africa? Evidence from a Markov-switching vector autoregressive model
by Simo-Kengne, Beatrice D. & Balcilar, Mehmet & Gupta, Rangan & Reid, Monique & Aye, Goodness C.
- 172-178 House price dynamics and their reaction to macroeconomic changes
by Nneji, Ogonna & Brooks, Chris & Ward, Charles W.R.
- 179-189 Legal effort and optimal legal expenses insurance
by Qiao, Yue
- 190-202 Trade shocks from BRIC to South Africa: A global VAR analysis
by Çakır, Mustafa Yavuz & Kabundi, Alain
- 203-214 Motivated sellers and predation in the housing market
by Selcuk, Cemil
- 215-224 Analysing the effects of fiscal policy shocks in the South African economy
by Jooste, Charl & Liu, Guangling (Dave) & Naraidoo, Ruthira
- 225-232 The analysis of bank business performance and market risk—Applying Fuzzy DEA
by Chen, Yu-Chuan & Chiu, Yung-Ho & Huang, Chin-Wei & Tu, Chien Heng
- 233-246 Comparing monetary policy rules in CEE economies: A Bayesian approach
by Caraiani, Petre
- 247-261 Re-examining the migration–trade link using province data: An application of the generalized propensity score
by Serrano-Domingo, Guadalupe & Requena-Silvente, Francisco
- 262-272 An empirical test of exogenous versus endogenous growth models for the G-7 countries
by Huh, Hyeon-seung & Kim, David
- 273-285 Oil and economic development: Libya in the post-Gaddafi era
by Ali, Issa & Harvie, Charles
- 286-293 Strategic trade policy under asymmetric information with screening
by Bouët, Antoine & Cassagnard, Patrice
- 294-301 Economic growth and financial development in Asian countries: A bootstrap panel Granger causality analysis
by Hsueh, Shun-Jen & Hu, Yu-Hau & Tu, Chien-Heng
- 302-315 A structural VAR analysis of the impact of macroeconomic shocks on Pakistan's textile exports
by Chaudhry, Azam & Bukhari, Syed Kalim Hyder
- 316-324 Does the stock market cause economic growth? Portuguese evidence of economic regime change
by Marques, Luís Miguel & Fuinhas, José Alberto & Marques, António Cardoso
- 325-332 The impact of scientific research on health care: Evidence from the OECD countries
by Moscone, Francesco & Tosetti, Elisa & Costantini, Marco & Ali, Maged
- 333-342 Integration of world leaders and emerging powers into the Malaysian stock market: A DCC-MGARCH approach
by Lean, Hooi Hooi & Teng, Kee Tuan
- 343-346 Purchasing power parity in OECD countries: Nonlinear unit root tests revisited
by Cuestas, Juan Carlos & Regis, Paulo José
- 347-350 Neutrality of an increase in the price of natural resources to the level of technology
by Oura, Asuka & Morita, Tadashi
- 351-360 The Dutch experience: Assessing the welfare impacts of two consolidation strategies using a heterogeneous-agent framework
by Viegas, Miguel & Ribeiro, Ana Paula
- 361-368 Modeling the effect of off-farm income on farmland values: A quantile regression approach
by Mishra, Ashok K. & Moss, Charles B.
- 369-376 On R&D information sharing and merger
by Sinha, Uday Bhanu
- 377-385 Fundamental traders' ‘tragedy of the commons’: Information costs and other determinants for the survival of experts and noise traders in financial markets
by Witte, Björn-Christopher
- 386-399 Migration, social security, and economic growth
by Chen, Hung-Ju & Fang, I-Hsiang
- 400-428 Oil dependency of the Russian economy: An econometric analysis
by Benedictow, Andreas & Fjærtoft, Daniel & Løfsnæs, Ole
- 429-439 Dynamic general equilibrium model with uncertainty: Uncertainty regarding the future path of the economy
by Pratt, Stephen & Blake, Adam & Swann, Peter
- 440-451 Technological-knowledge bias and the industrial structure under costly investment and complementarities
by Sochirca, Elena & Afonso, Óscar & Gil, Pedro Mazeda
- 452-462 Dilemma of rented warehouse and shelf for inventory systems with displayed stock level dependent demand
by Panda, S. & Saha, S. & Goyal, S.K.
- 463-482 Optimality of a monetary union: New evidence from exchange rate misalignments in West Africa
by Coulibaly, Issiaka & Gnimassoun, Blaise
- 483-487 On recursive utility and the superneutrality of money
by Miyazaki, Kenji
- 488-495 Wealth effects on the housing markets: Do market liquidity and market states matter?
by Zeng, Jhih-Hong & Peng, Chi-Lu & Chen, Ming-Chi & Lee, Chien-Chiang
- 496-506 Linkages between inflation, economic growth and terrorism in Pakistan
by Shahbaz, Muhammad
- 507-515 Money demand in the euro area, the US and the UK: Assessing the role of nonlinearity
by Jawadi, Fredj & Sousa, Ricardo M.
- 516-523 How does wealth distribution affect firm's incentive to innovate better quality goods?
by Shen, Ling
- 524-531 Determinants of household saving: Cointegrated evidence from Pakistan (1975–2011)
by Ismail, Aisha & Rashid, Kashif
- 532-538 Monetary shocks and asymmetric effects in an emerging stock market: The case of China
by Guo, Feng & Hu, Jinyan & Jiang, Mingming
- 539-550 Survival misperception, time inconsistency, and implications for life-cycle saving and welfare
by Gahramanov, Emin
- 551-559 Model reference adaptive expectations in Markov-switching economies
by Carravetta, Francesco & Sorge, Marco M.
- 560-563 Reexamining the relationships between stock prices and exchange rates in ASEAN-5 using panel Granger causality approach
by Liang, Chin-Chia & Lin, Jeng-Bau & Hsu, Hao-Cheng
- 564-575 Structural change in the Australian electricity industry during the 1990s and the effect on household income distribution: A macro–micro approach
by Verikios, George & Zhang, Xiao-guang
- 576-591 Bull or bear markets: A wavelet dynamic correlation perspective
by Benhmad, François
- 592-601 Estimating inflation compensation for Turkey using yield curves
by Duran, Murat & Gülşen, Eda
- 602-607 Loan interest rates under risk-based capital requirements: The impact of banking market structure
by Drumond, Inês & Jorge, José
- 608-616 Using independent component analysis and network DEA to improve bank performance evaluation
by Lin, Tzu-Yu & Chiu, Sheng-Hsiung
2013, Volume 31, Issue C
- 1-11 Nonlinearity and structural breaks in monetary policy rules with stock prices
by Lee, Dong Jin & Son, Jong Chil
- 12-17 Fuzzy possibilistic portfolio selection model with VaR constraint and risk-free investment
by Li, Ting & Zhang, Weiguo & Xu, Weijun
- 18-21 A note on the three-sector Cobb–Douglas GDP function
by Muro, Kazunobu
- 22-30 Early warning models against bankruptcy risk for Central European and Latin American enterprises
by Korol, Tomasz
- 31-36 When does coordination for free trade regimes fail?
by Kim, Minseong & Kim, Young-Han
- 37-42 Reexamining the income inequality in China: Evidence from sequential panel selection method
by Liu, Wen-Chi
- 43-48 Promoting intra-ASEAN FDI: The role of AFTA and AIA
by Masron, Tajul Ariffin
- 49-57 What drives investment in the telecommunications sector? Some lessons from the OECD countries
by Paleologos, John M. & Polemis, Michael L.
- 58-69 Is there a role for caste and religion in food security policy? A look at rural India
by Mahadevan, Renuka & Suardi, Sandy
- 70-79 Corruption and economic development nexus: Variations across income levels in a non-linear framework
by Saha, Shrabani & Gounder, Rukmani
- 80-86 Stock markets in GCC countries and global factors: A further investigation
by Jouini, Jamel
- 87-93 Regime-switching in volatility and correlation structure using range-based models with Markov-switching
by Miao, Daniel Wei-Chung & Wu, Chun-Chou & Su, Yi-Kai
- 94-103 Education production efficiency: Evidence from Brazilian universities
by Zoghbi, Ana Carolina & Rocha, Fabiana & Mattos, Enlinson
- 104-118 The asymmetry of inflation adjustment in Turkey
by Çiçek, Serkan & Akar, Cüneyt
- 119-127 Inventory change, capacity utilization and the semiconductor industry cycle
by Liu, Wen-Hsien & Chung, Ching-Fan & Chang, Kuang-Liang
- 128-137 The optimal decisions in franchising under profit uncertainty
by Liang, Hueimei & Lee, Kuo-Jung & Huang, Jen-Tsung & Lei, Hsien-Wei
- 138-142 Liquidity management of foreign exchange reserves in continuous time
by Zhang, Dewei & Wang, Yiqi & Wang, Jingjing & Xu, Weidong
- 143-150 Relaxing Israeli restrictions on Palestinian labour: Who benefits?
by Flaig, Dorothee & Siddig, Khalid & Grethe, Harald & Luckmann, Jonas & McDonald, Scott
- 151-159 Decomposing time-frequency relationship between producer price and consumer price indices in Romania through wavelet analysis
by Tiwari, Aviral Kumar & Mutascu, Mihai & Andries, Alin Marius
- 160-176 Forward-looking and myopic regional Computable General Equilibrium models: How significant is the distinction?
by Lecca, Patrizio & McGregor, Peter G. & Swales, J. Kim