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                             96 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A comparison of spatial error models through Monte Carlo experiments Kato, Takafumi
2013
30 C p. 743-753
11 p.
artikel
2 An alternative approach to income taxation An, Zhiyong
2013
30 C p. 875-878
4 p.
artikel
3 A new sustainable human development indicator for small island developing states: A reappraisal from data envelopment analysis Blancard, Stéphane
2013
30 C p. 623-635
13 p.
artikel
4 An improved inventory model with partial backlogging, time varying deterioration and stock-dependent demand Sarkar, Biswajit
2013
30 C p. 924-932
9 p.
artikel
5 An inventory model with variable demand, component cost and selling price for deteriorating items Sarkar, Biswajit
2013
30 C p. 306-310
5 p.
artikel
6 A note on the use of fractional Brownian motion for financial modeling Rostek, S.
2013
30 C p. 30-35
6 p.
artikel
7 Applying engineering and fleet detail to represent passenger vehicle transport in a computable general equilibrium model Karplus, Valerie J.
2013
30 C p. 295-305
11 p.
artikel
8 A ridge bootstrap method for analyzing APT effects on the mortgage loan market Sjölander, Pär
2013
30 C p. 844-855
12 p.
artikel
9 Assessing structural changes in the Malaysian economy: I–O approach Bekhet, Hussain Ali
2013
30 C p. 126-135
10 p.
artikel
10 A study on three different dimensional facility location problems Sarkar, Biswajit
2013
30 C p. 879-887
9 p.
artikel
11 Asymmetries in the revenue–expenditure nexus: A tale of three countries Paleologou, Suzanna-Maria
2013
30 C p. 52-60
9 p.
artikel
12 Can Google data help predict French youth unemployment? Fondeur, Y.
2013
30 C p. 117-125
9 p.
artikel
13 Cognitive skills, innovation and technology diffusion Messinis, George
2013
30 C p. 565-578
14 p.
artikel
14 Conditional market beta for REITs: A comparison of modeling techniques Zhou, Jian
2013
30 C p. 196-204
9 p.
artikel
15 Consumption and precautionary saving: An empirical analysis under both financial and environmental risks Baiardi, Donatella
2013
30 C p. 157-166
10 p.
artikel
16 Convergence dynamics of output: Do stochastic shocks and social polarization matter? Parhi, Mamata
2013
30 C p. 42-51
10 p.
artikel
17 Credibility and monetary transmission channels under inflation targeting: An econometric analysis from a developing country Montes, Gabriel Caldas
2013
30 C p. 670-684
15 p.
artikel
18 Dependence of defaults and recoveries in structural credit risk models Schäfer, Rudi
2013
30 C p. 1-9
9 p.
artikel
19 Devaluation, pass-through and foreign reserves dynamics in a tourism economy Chao, Chi-Chur
2013
30 C p. 456-461
6 p.
artikel
20 D-GMDH: A novel inductive modelling approach in the forecasting of the industrial economy Zhang, Mingzhu
2013
30 C p. 514-520
7 p.
artikel
21 Do corporate executives have accurate predictions for the economy? A directional analysis Tsuchiya, Yoichi
2013
30 C p. 167-174
8 p.
artikel
22 Does the exchange rate matter to bilateral trade between Korea and Japan? Evidence from commodity trade data Baek, Jungho
2013
30 C p. 856-862
7 p.
artikel
23 Dynamic optimal capital growth with risk constraints Yong, Luo
2013
30 C p. 586-594
9 p.
artikel
24 Dynamic transmission effects between the interest rate, the US dollar, and gold and crude oil prices Wang, Yu Shan
2013
30 C p. 792-798
7 p.
artikel
25 Economic growth and polluting resources: Market equilibrium and optimal policies Silva, Susana
2013
30 C p. 825-834
10 p.
artikel
26 Effects of financial liberalization on financial market development and economic performance of the SSA region: An empirical assessment Ahmed, Abdullahi D.
2013
30 C p. 261-273
13 p.
artikel
27 Efficient bargaining versus right to manage: A stability analysis in a Cournot duopoly with trade unions Fanti, Luciano
2013
30 C p. 205-211
7 p.
artikel
28 Endogenous fluctuations with procyclical R&D Shinagawa, Shunsuke
2013
30 C p. 274-280
7 p.
artikel
29 Environmental Kuznets curve: Evidence from the British Household Panel Survey Giovanis, Eleftherios
2013
30 C p. 602-611
10 p.
artikel
30 Factor mobility and skilled–unskilled wage inequality in the presence of internationally traded product varieties Zhang, Jingjing
2013
30 C p. 579-585
7 p.
artikel
31 Financial development and energy consumption nexus in Malaysia: A multivariate time series analysis Islam, Faridul
2013
30 C p. 435-441
7 p.
artikel
32 Foreign aid and tax revenue in Uganda Hisali, Eria
2013
30 C p. 356-365
10 p.
artikel
33 Foreign penetration and undesirable competition Wang, Leonard F.S.
2013
30 C p. 729-732
4 p.
artikel
34 Governments under influence: Country interactions in discretionary fiscal policy Cassette, Aurélie
2013
30 C p. 79-89
11 p.
artikel
35 Guns, highways and economic growth in the United States Kollias, Christos
2013
30 C p. 449-455
7 p.
artikel
36 Has the structural break slowed down growth rates of stock markets? Narayan, Paresh Kumar
2013
30 C p. 595-601
7 p.
artikel
37 Heterogeneous technology and the technological catching-up hypothesis: Theory and assessment in the case of MENA countries Serranito, Francisco
2013
30 C p. 685-697
13 p.
artikel
38 How an export boom affects unemployment Gaston, Noel
2013
30 C p. 343-355
13 p.
artikel
39 Impact of heterogeneous beliefs and short sale constraints on security issuance decisions Wang, Yahua
2013
30 C p. 539-545
7 p.
artikel
40 Income–happiness paradox in Australia: Testing the theories of adaptation and social comparison Paul, Satya
2013
30 C p. 900-910
11 p.
artikel
41 Integrated paradigm for sustainable development: A panel data study Abou-Ali, Hala
2013
30 C p. 334-342
9 p.
artikel
42 Irreversibility, mean reversion, and investment timing Wong, Kit Pong
2013
30 C p. 770-775
6 p.
artikel
43 Is parity good? Externalities in professional sports Biner, Burhan
2013
30 C p. 715-720
6 p.
artikel
44 Is the value added tax a useful macroeconomic stabilization instrument? Claus, Iris
2013
30 C p. 366-374
9 p.
artikel
45 Joint determinants of fiscal policy, income inequality and economic growth Muinelo-Gallo, Leonel
2013
30 C p. 814-824
11 p.
artikel
46 Kinetics of jobs in multi-link cities with migration-driven aggregation process Sun, Ruoyan
2013
30 C p. 36-41
6 p.
artikel
47 Low-inflation-targeting monetary policy and differential unemployment rate: Is monetary policy to be blamed for the financial crisis? — Evidence from major OECD countries Jean Louis, Rosmy
2013
30 C p. 546-564
19 p.
artikel
48 Macroeconomic Variables and South African Stock Return Predictability Gupta, Rangan
2013
30 C p. 612-622
11 p.
artikel
49 Markups and oil prices in Canada Khan, Hashmat
2013
30 C p. 799-813
15 p.
artikel
50 Modelling the economic impact of sports events: The case of the Beijing Olympics Li, ShiNa
2013
30 C p. 235-244
10 p.
artikel
51 Monetary policy channels in Brazil through the lens of a semi-structural model Minella, André
2013
30 C p. 405-419
15 p.
artikel
52 Multi-period mean–variance asset–liability management with uncontrolled cash flow and uncertain time-horizon Yao, Haixiang
2013
30 C p. 492-500
9 p.
artikel
53 Non-linearities in inflation–growth nexus in the SADC region: A panel smooth transition regression approach Seleteng, Monaheng
2013
30 C p. 149-156
8 p.
artikel
54 North American trade and US monetary policy Laganà, Gianluca
2013
30 C p. 698-705
8 p.
artikel
55 Oil prices and the macroeconomy reconsideration for Germany: Using continuous wavelet Tiwari, Aviral Kumar
2013
30 C p. 636-642
7 p.
artikel
56 On innovation cycles in a finite discrete R&D game Luckraz, Shravan
2013
30 C p. 510-513
4 p.
artikel
57 On the dynamics of convergence in cross-country incomes Hashemi, Fariba
2013
30 C p. 394-404
11 p.
artikel
58 Optimal contract strategies for two stage supply chain Sana, Shib Sankar
2013
30 C p. 253-260
8 p.
artikel
59 Optimal R&D subsidies in a model with physical capital, human capital and varieties Gómez, Manuel A.
2013
30 C p. 217-224
8 p.
artikel
60 OWA-based ANFIS model for TAIEX forecasting Cheng, Ching-Hsue
2013
30 C p. 442-448
7 p.
artikel
61 Price-level targeting rules and financial shocks: The case of Canada Dib, Ali
2013
30 C p. 941-953
13 p.
artikel
62 Pricing and production decisions in a dual-channel supply chain when production costs are disrupted Huang, Song
2013
30 C p. 521-538
18 p.
artikel
63 Pricing bond options under a Markovian regime-switching Hull–White model Shen, Yang
2013
30 C p. 933-940
8 p.
artikel
64 Public debt management and credibility: Evidence from an emerging economy de Mendonça, Helder Ferreira
2013
30 C p. 10-21
12 p.
artikel
65 Quantile regression and structural change in the Italian wage equation Furno, Marilena
2013
30 C p. 420-434
15 p.
artikel
66 Realized volatility or price range: Evidence from a discrete simulation of the continuous time diffusion process Degiannakis, Stavros
2013
30 C p. 212-216
5 p.
artikel
67 Real or spurious long memory characteristics of volatility: Empirical evidence from an emerging market Yalama, Abdullah
2013
30 C p. 67-72
6 p.
artikel
68 Regional divergence and club convergence in India Ghosh, Madhusudan
2013
30 C p. 733-742
10 p.
artikel
69 Religion, income inequality, and the size of the government Elgin, Ceyhun
2013
30 C p. 225-234
10 p.
artikel
70 Resource scarcity, effort allocation and environmental security: An agent-based theoretical approach Hassani-Mahmooei, Behrooz
2013
30 C p. 183-192
10 p.
artikel
71 Response of the term structure of forward exchange rate to jump in the interest rate Li, Xiao-Ping
2013
30 C p. 863-874
12 p.
artikel
72 RETRACTED: The consequences of revenue gap in Pakistan: Unveiling the reality Salar, Laleena
2013
30 C p. 281-294
14 p.
artikel
73 RETRACTED: The relationship between growth and poverty in forecasting framework: Pakistan's future in the year 2035 Zaman, Khalid
2013
30 C p. 468-491
24 p.
artikel
74 RETRACTED: The relationship between growth–inequality–poverty triangle and pro-poor growth policies in Pakistan: The twin disappointments Zaman, Khalid
2013
30 C p. 375-393
19 p.
artikel
75 Revisiting the mean reversion of inflation rates for 22 OECD countries Chang, Tsangyao
2013
30 C p. 245-252
8 p.
artikel
76 Risk index based models for portfolio adjusting problem with returns subject to experts' evaluations Huang, Xiaoxia
2013
30 C p. 61-66
6 p.
artikel
77 Robust delegation with uncertain monetary policy preferences Sorge, Marco M.
2013
30 C p. 73-78
6 p.
artikel
78 Robust monetary policy under model uncertainty and inflation persistence Qin, Li
2013
30 C p. 721-728
8 p.
artikel
79 Sentiment asset pricing model with consumption Yang, Chunpeng
2013
30 C p. 462-467
6 p.
artikel
80 Simulation model to forecast the consequences of changes introduced into the 2nd pillar of the Polish pension system Mielczarek, Bożena
2013
30 C p. 706-714
9 p.
artikel
81 Stock market response to monetary and fiscal policy shocks: Multi-country evidence Chatziantoniou, Ioannis
2013
30 C p. 754-769
16 p.
artikel
82 Strategic correlativity and network games Yang, Jianxia
2013
30 C p. 663-669
7 p.
artikel
83 Structural versus matching estimation: Transmission mechanisms in Armenia Poghosyan, Karen
2013
30 C p. 136-148
13 p.
artikel
84 Tax avoidance, human capital accumulation and economic growth Freire-Serén, María Jesús
2013
30 C p. 22-29
8 p.
artikel
85 The asymmetric reaction of monetary policy to inflation and the output gap: Evidence from Canada Komlan, Fiodendji
2013
30 C p. 911-923
13 p.
artikel
86 The changing international transmission of U.S. monetary policy shocks: Is there evidence of contagion effect on OECD countries Kazi, Irfan Akbar
2013
30 C p. 90-116
27 p.
artikel
87 The effects of fiscal spending shocks on the performance of simple monetary policy rules Malik, Ali K.
2013
30 C p. 643-662
20 p.
artikel
88 The exact linkage between the Beveridge–Nelson decomposition and other permanent-transitory decompositions Sbrana, Giacomo
2013
30 C p. 311-316
6 p.
artikel
89 The interaction among production, hedging and investment decisions Alghalith, Moawia
2013
30 C p. 193-195
3 p.
artikel
90 The loss from uncertainty on policy targets Di Giorgio, Giorgio
2013
30 C p. 175-182
8 p.
artikel
91 Time stability of the beta convergence among EU countries: Bayesian model averaging perspective Próchniak, Mariusz
2013
30 C p. 322-333
12 p.
artikel
92 Translating financial integration into correlation risk: A weekly reporting's viewpoint for the volatility behavior of stock markets Gatfaoui, Hayette
2013
30 C p. 776-791
16 p.
artikel
93 Utilitarianism and unequal longevities: A remedy? Leroux, Marie-Louise
2013
30 C p. 888-899
12 p.
artikel
94 Wavelet based outlier correction for power controlled turning point detection in surveillance systems Li, Yushu
2013
30 C p. 317-321
5 p.
artikel
95 Which stock exchanges are more attractive? The competition analysis of listing and trading performance Lo, Shih-Fang
2013
30 C p. 501-509
9 p.
artikel
96 Work now, pay later? An empirical analysis of the pension–pay trade off Haynes, Jonathan B.
2013
30 C p. 835-843
9 p.
artikel
                             96 gevonden resultaten
 
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