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                             86 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A bibliometric review of the Waqf literature Alshater, Muneer M.

2 p. 213-239
artikel
2 A Higher Moment Downside Framework for Conditional and Unconditional Capm in the Russian Stock Market Teplova, Tamara
2011
2 p. 157-178
artikel
3 Altruism and four shades of family relationships Koda, Yoshitaka
2015
2 p. 345-365
artikel
4 Arm’s Length Method for Comparing Rating Scales Karminsky, Alexander M.
2013
2 p. 114-135
artikel
5 Asset price volatility and financial contagion: analysis using the MS-VAR framework Le, Chau
2014
2 p. 133-162
artikel
6 A survival analysis in the assessment of the influence of the SARS-CoV-2 pandemic on the probability and intensity of decline in the value of stock indices Bieszk-Stolorz, Beata

2 p. 363-379
artikel
7 Asymmetric J-curve in the commodity trade between Pakistan and United States: evidence from 41 industries Bahmani-Oskooee, Mohsen

2 p. 163-188
artikel
8 Bayesian VARs of the U.S. economy before and during the pandemic Sznajderska, Anna

2 p. 211-236
artikel
9 Better governance matters optimal privatization policy Wang, Leonard F. S.
2015
2 p. 189-206
artikel
10 Bureaucratic efficiency, economic reform and informal sector Ghosh, Sujata
2018
2 p. 121-137
artikel
11 Can tax simplification help lower tax corruption? Awasthi, Rajul
2015
2 p. 297-330
artikel
12 Capital Investment, Earnings, and Annual Stock Returns: Causality Relationships In China Inci, Ahmet Can
2011
2 p. 95-125
artikel
13 Catching up or getting stuck: convergence in Eastern European economies Konya, Istvan

2 p. 237-258
artikel
14 Collusive corruption in public services: evidence from Chinese state corruption audits Liu, Anthony

2 p. 283-307
artikel
15 Comparing High Frequency Data of Stocks that are Traded Simultaneously in the US and Germany: Simulated Versus Empirical Data Rieger, Jörg

2 p. 126-142
artikel
16 Comparing High Frequency Data of Stocks that are Traded Simultaneously in the US and Germany: Simulated Versus Empirical Data Rieger, Jörg
2011
2 p. 126-142
artikel
17 COVID-19 and its economic consequences for the Euro Area Ehnts, Dirk

2 p. 227-249
artikel
18 COVID-19: stress-testing non-financial companies: a macroprudential perspective. The experience of Poland Nehrebecka, Natalia

2 p. 283-319
artikel
19 Cross-time-frequency analysis of volatility linkages in global currency markets: an extended framework Baklaci, Hasan Fehmi

2 p. 267-314
artikel
20 Defining the factors of Fitch rankings in the European banking sector Lazarides, Themistokles
2016
2 p. 315-339
artikel
21 Determining Hub Efficiency in Europe, the Middle East, and North Africa: The Impact of Geographical Positioning Nenem, M. Sukru
2012
2 p. 37-53
artikel
22 Development of stock market and economic growth: the G-20 evidence Pradhan, Rudra P.
2018
2 p. 161-181
artikel
23 Does the digital gap matter? Estimating the impact of ICT on productivity in developing countries Hawash, Ronia

2 p. 189-209
artikel
24 Do Islamic fundamental weighted indices outperform their conventional counterparts? An empirical investigation during the crises in the MENA region Abadi, Rasha Tawfiq

2 p. 241-266
artikel
25 Dynamic correlation and hedging strategy between Bitcoin prices and stock market during the Russo-Ukrainian war Gaies, Mariem

2 p. 307-319
artikel
26 Economic diversification and human development in Europe Ali, Muhammad

2 p. 211-235
artikel
27 Effectiveness of monetary policy: evidence from Turkey Avci, S. Burcu
2017
2 p. 179-213
artikel
28 Effects and burdens of a carbon tax scheme in Thailand Wattanakuljarus, Anan
2018
2 p. 173-219
artikel
29 Erratum to: Monetary policy challenges: how central banks changed their modus operandi Giorgio, Giorgio Di
2015
2 p. 367
artikel
30 Erratum to: The probability of default in Russian banking Karminsky, Alexander M.
2015
2 p. 369-370
artikel
31 EU Enlargement to Turkey: Potential Effects on Turkey’s Agricultural Income and Markets Fellmann, Thomas
2012
2 p. 1-16
artikel
32 Eurasian orientation and global trade integration: the case of Turkey Ageliki, Anagnostou
2015
2 p. 275-287
artikel
33 Exchange rate volatilities and disaggregated bilateral exports of Malaysia to the United States: empirical evidence Tsen, Wong Hock
2015
2 p. 289-314
artikel
34 Financial Constraints, Quality of Institutions and Firm Size: What Do Perceptions Tell Us? Gur, Nurullah

2 p. 17-36
artikel
35 Financial Constraints, Quality of Institutions and Firm Size: What Do Perceptions Tell Us? Gur, Nurullah
2012
2 p. 17-36
artikel
36 Financial liberalization and private sector borrowing in ASEAN 4 economies 1990–2012 Pineda, Percival
2017
2 p. 277-295
artikel
37 Financials sector intraday volatility characteristics in the emerging Turkish economy Inci, A. Can
2017
2 p. 215-229
artikel
38 Fiscal policy and national saving in emerging Asia: challenge or opportunity? Bui, Duy-Tung
2018
2 p. 305-322
artikel
39 Forecasting bitcoin volatility: exploring the potential of deep learning Pratas, Tiago E.

2 p. 285-305
artikel
40 Gender, caste and poverty in India: evidence from the National Family Health Survey Lastrapes, William D.
2015
2 p. 153-171
artikel
41 Health care financing and productivity of health care in OECD countries: a stochastic frontier analysis Ogloblin, Constantin

2 p. 259-283
artikel
42 Hedging with mini gold futures: evidence from Korea Kim, Seokchin
2015
2 p. 163-176
artikel
43 Herding behavior during the Covid-19 pandemic: a comparison between Asian and European stock markets based on intraday multifractality Aslam, Faheem

2 p. 333-359
artikel
44 How will a risk of income fluctuations influence the suicidal decision making? Insights from a three-period model of suicide Suzuki, Tomoya
2015
2 p. 331-343
artikel
45 India’s comparative advantages in services trade Nath, Hiranya K.
2018
2 p. 323-342
artikel
46 Informal economies around the world: measures, determinants and consequences Elgin, Ceyhun
2018
2 p. 221-237
artikel
47 Informal employment in Kazakhstan: a blessing in disguise? Mussurov, Altay
2018
2 p. 267-284
artikel
48 Initial public offering price support, valuation, and returns Tutuncu, Lokman

2 p. 267-282
artikel
49 Local government efficiency: is there anything new after Troika’s intervention in Portugal? Basílio, Maria

2 p. 309-332
artikel
50 Macroeconomic Policies for Slovenia after the “Great Recession” Blueschke, Dmitri
2012
2 p. 54-93
artikel
51 Modeling and forecasting Hang Seng index volatility with day-of-week effect, spillover effect based on ARIMA and HAR Chen, Yanhui
2015
2 p. 113-132
artikel
52 Mongolian and World Equity Markets: Volatilities and Correlations Tanai, Yertai
2013
2 p. 136-164
artikel
53 Nonlinearity and asymmetry in the monetary policy reaction function: a partially generalized ordered probit approach Danis, Hakan
2017
2 p. 161-178
artikel
54 Optimal output for the regret-averse competitive firm under price uncertainty Egozcue, Martín
2015
2 p. 279-295
artikel
55 Outsourcing, factor prices and skill formation in countries with non-overlapping time zones Mandal, Biswajit
2018
2 p. 289-304
artikel
56 Ownership structure and firm patenting activity in Italy Succurro, Marianna
2018
2 p. 239-266
artikel
57 Pan(dem)ic reactions in Turkish stock market: evidence from share repurchases Pirgaip, Burak

2 p. 381-402
artikel
58 Portfolio and hedging effectiveness of financial assets of the G7 countries Izadi, Selma
2018
2 p. 183-213
artikel
59 Privatization, intermediation and performance: global evidence Dyer, Doug
2015
2 p. 207-229
artikel
60 Regular employment and intergenerational income mobility in Japan Jia, Zhi-xiao

2 p. 187-212
artikel
61 Shock transmission and volatility spillover in stock and commodity markets: evidence from advanced and emerging markets Vardar, Gülin
2018
2 p. 231-288
artikel
62 Stickiness of employee expenses and implications for stock returns Taussig, Roi D.
2017
2 p. 297-309
artikel
63 Stock liquidity on China NEEQ exchange Liu, Ning
2016
2 p. 255-275
artikel
64 Stock markets and effective exchange rates in European countries: threshold cointegration findings Kollias, Christos
2015
2 p. 215-274
artikel
65 Tax reform and fiscal space in developing countries Gnangnon, Sèna Kimm

2 p. 237-265
artikel
66 Technological Choices and Labor Market Participation: Negative Income Tax Amine, Samir
2013
2 p. 98-113
artikel
67 The challenge of predicting currency crises: how do definition and probability threshold choice make a difference? Emin, Dogus
2016
2 p. 195-213
artikel
68 The comparison of empirical methods for modeling credit ratings of industrial companies from BRICS countries Karminsky, Alexander M.

2 p. 333-348
artikel
69 The Composition of Foreign Reserves of the Central Banks of Selected Countries: Will the Euro Replace the Dollar? Komijani, Akbar
2011
2 p. 143-156
artikel
70 The COVID-19 crisis in the EU: the resilience of healthcare systems, government responses and their socio-economic effects Aristodemou, Katerina

2 p. 251-281
artikel
71 The effect of ICT development on innovation: evidence from G-20 countries Pradhan, Rudra P.

2 p. 361-371
artikel
72 The financial access, ICT trade balance and dark and bright sides of digitalization nexus in OECD countries Alraja, Mansour Naser

2 p. 177-209
artikel
73 The financial distress indicators trend in Italy: an analysis of medium-size enterprises Zeli, Alessandro
2014
2 p. 199-221
artikel
74 The impact of oil price volatility on net-oil exporter and importer countries’ stock markets Aydoğan, Berna
2017
2 p. 231-253
artikel
75 The Impact of Ownership Concentration, Commissioners on Bank Risk and Profitability: Evidence from Indonesia Hanafi, Mamduh M.
2013
2 p. 183-202
artikel
76 The impact of scale of operation on financial performance in microfinance Ngo, Trong Vi
2014
2 p. 177-198
artikel
77 The Relationship between Economic Growth and Income Distribution in Turkey and the Turkish Republics of Central Asia and Caucasia: Dynamic Panel Data Analysis with Structural Breaks Mercan, Mehmet
2013
2 p. 165-182
artikel
78 The role of local government policy on secondary school enrolment decision in Indonesia Prasetyia, Ferry
2018
2 p. 139-172
artikel
79 Towards a more resilient European Union after the COVID-19 crisis Barbier-Gauchard, Amélie

2 p. 321-348
artikel
80 Trade and income growth in the Ottoman Empire: assessing the role of volatility and trend growth in terms of trade Arbatli, Cemal Eren
2015
2 p. 173-194
artikel
81 Trade-off between financial sustainability and outreach of microfinance institutions Nurmakhanova, Mira
2015
2 p. 231-250
artikel
82 US banks in the time of COVID-19: fresh insights from the wavelet approach Jeris, Saeed Sazzad

2 p. 349-361
artikel
83 Value at risk (VaR) analysis for fat tails and long memory in returns Günay, Samet
2017
2 p. 215-230
artikel
84 Volatility dependent smooth transitions and abrupt switches: why they are needed for better forecasting the FX rates Söylemez, Arif Orçun

2 p. 315-332
artikel
85 What makes banking crisis resolution difficult? Lessons from Japan and the Nordic Countries Diemer, Michael
2015
2 p. 251-277
artikel
86 Young people and the digital divide in Egypt: an empirical study Badran, Mona Farid
2014
2 p. 223-250
artikel
                             86 gevonden resultaten
 
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