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                             38 results found
no title author magazine year volume issue page(s) type
1 Approximate Non-Similar critical values based tests vs Maximized Monte Carlo tests Sriananthakumar, Sivagowry
2015
49 C p. 387-394
8 p.
article
2 Arbitrage and leverage strategies in bubbles under synchronization risks and noise-trader risks Tan, Senren
2015
49 C p. 331-343
13 p.
article
3 A shaft of light into the black box of CGE analyses of tax reforms Fæhn, Taran
2015
49 C p. 320-330
11 p.
article
4 Competitiveness and government expenditure: The Australian example Makin, Anthony J.
2015
49 C p. 154-161
8 p.
article
5 Disentangling the bond–CDS nexus: A stress test model of the CDS market Vuillemey, Guillaume
2015
49 C p. 32-45
14 p.
article
6 Economic growth and crime: Is there an asymmetric relationship? Goulas, Eleftherios
2015
49 C p. 286-295
10 p.
article
7 Economic growth and the harmful effects of student loan debt on biomedical research Ferretti, Fabrizio
2015
49 C p. 308-313
6 p.
article
8 Gurus and belief manipulation Jouini, Elyès
2015
49 C p. 11-18
8 p.
article
9 Heterogeneity in the relationship between subjective well-being and its determinants over the life cycle: A varying-coefficient ordered probit approach Lin, Yi-Chen
2015
49 C p. 372-386
15 p.
article
10 How does Google search affect trader positions and crude oil prices? Li, Xin
2015
49 C p. 162-171
10 p.
article
11 Interest rate pass through and asymmetries in retail deposit and lending rates: An analysis using data from Colombian banks Holmes, Mark J.
2015
49 C p. 270-277
8 p.
article
12 International income convergence: Is Latin America actually different? King, Alan
2015
49 C p. 212-222
11 p.
article
13 Macroeconomic dynamics in a model with heterogeneous wage contracts Matsui, Muneya
2015
49 C p. 72-80
9 p.
article
14 Measuring energy inefficiency with undesirable outputs and technology heterogeneity in Chinese cities Hang, Ye
2015
49 C p. 46-52
7 p.
article
15 Modeling the impact of exchange rates using a multicurrency framework Meng, Sam
2015
49 C p. 223-231
9 p.
article
16 Modelling the meat consumption patterns in Australia Wong, Lucille
2015
49 C p. 1-10
10 p.
article
17 Monetary policy and commodity terms of trade shocks in emerging market economies Hove, Seedwell
2015
49 C p. 53-71
19 p.
article
18 New empirical evidence from assessing financial market integration, with application to Saudi Arabia Jouini, Jamel
2015
49 C p. 198-211
14 p.
article
19 Oil price shocks and global imbalances: Lessons from a model with trade and financial interdependencies Allegret, Jean-Pierre
2015
49 C p. 232-247
16 p.
article
20 Price asymmetry revisited from a marketing perspective Lim, Yoonsung
2015
49 C p. 314-319
6 p.
article
21 Reallocation effects in the specific factors and Heckscher–Ohlin models under firm heterogeneity Bekkers, Eddy
2015
49 C p. 104-119
16 p.
article
22 Red herrings and revelations: does learning about a new variable worsen forecasts? Shea, Paul
2015
49 C p. 395-406
12 p.
article
23 Residential versus financial wealth effects on consumption from a shock in interest rates León Navarro, Manuel
2015
49 C p. 81-90
10 p.
article
24 Revisiting sulfur Kuznets curves with endogenous breaks modeling: Substantial evidence of inverted-Us/Vs for individual OECD countries Liddle, Brantley
2015
49 C p. 278-285
8 p.
article
25 Revisiting the Feldstein–Horioka puzzle with regime switching: New evidence from European countries Chen, Shyh-Wei
2015
49 C p. 260-269
10 p.
article
26 Risk estimation of CSI 300 index spot and futures in China from a new perspective Suo, Yuan-Yuan
2015
49 C p. 344-353
10 p.
article
27 Statistical premium in correlated losses of insurance Lai, Li-Hua
2015
49 C p. 248-253
6 p.
article
28 Success and failure of bargaining in merger control: The case of asset divestitures Chopard, Bertrand
2015
49 C p. 254-259
6 p.
article
29 Sudden changes in extreme value volatility estimator: Modeling and forecasting with economic significance analysis Kumar, Dilip
2015
49 C p. 354-371
18 p.
article
30 The behaviour of the bank lending channel when interest rates approach the zero lower bound: Evidence from quantile regressions Apergis, Nicholas
2015
49 C p. 296-307
12 p.
article
31 The dynamics of bank debt renegotiation in Europe: A survival analysis approach Godlewski, Christophe J.
2015
49 C p. 19-31
13 p.
article
32 The effect of federal government size on private economic performance in Canada: 1870–2011 Ferris, J. Stephen
2015
49 C p. 172-185
14 p.
article
33 The Greek equity market in European equity portfolios Vortelinos, Dimitrios I.
2015
49 C p. 144-153
10 p.
article
34 The impact of financial crises on the risk–return tradeoff and the leverage effect Christensen, Bent Jesper
2015
49 C p. 407-418
12 p.
article
35 The Phillips curve in the US: A nonlinear quantile regression approach Xu, Qifa
2015
49 C p. 186-197
12 p.
article
36 The relationship between income and housing deprivation: A longitudinal analysis Fusco, Alessio
2015
49 C p. 137-143
7 p.
article
37 The Rotterdam demand model half a century on Clements, Kenneth W.
2015
49 C p. 91-103
13 p.
article
38 Understanding the common dynamics of the emerging market currencies Chadwick, Meltem Gülenay
2015
49 C p. 120-136
17 p.
article
                             38 results found
 
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