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                             57 results found
no title author magazine year volume issue page(s) type
1 A general theory of corporate international investment under incomplete information, short sales and taxes Bellalah, Mondher
2016
58 C p. 615-626
12 p.
article
2 An efficient estimate and forecast of the implied volatility surface: A nonlinear Kalman filter approach Chen, Si
2016
58 C p. 655-664
10 p.
article
3 Assessing the impact of the global financial crisis on the profit efficiency of Indian banks Gulati, Rachita
2016
58 C p. 167-181
15 p.
article
4 Detecting nonlinear dependencies in eurozone peripheral equity markets: A multistep filtering approach Avdoulas, Christos
2016
58 C p. 580-587
8 p.
article
5 Determinants of sovereign bond yield spreads and contagion in the peripheral EU countries Silvapulle, Param
2016
58 C p. 83-92
10 p.
article
6 Did the global financial crisis hit Africa? Insights from a multi-country firm level survey Duygun, Meryem
2016
58 C p. 308-316
9 p.
article
7 Does debt curb controlling shareholders' private benefits? Modelling in a contingent claim framework de La Bruslerie, Hubert
2016
58 C p. 263-282
20 p.
article
8 Does public investment stimulate private investment? Evidence for the euro area Dreger, Christian
2016
58 C p. 154-158
5 p.
article
9 Does the digital divide across countries lead to convergence? New international evidence Rath, Badri Narayan
2016
58 C p. 75-82
8 p.
article
10 Do production managers predict turning points? A directional analysis Tsuchiya, Yoichi
2016
58 C p. 1-8
8 p.
article
11 Do remittances improve income inequality? An instrumental variable quantile analysis of the Kenyan case Bang, James T.
2016
58 C p. 394-402
9 p.
article
12 Dynamic scoring of tax reforms in a small open economy model Choi, Yoonseok
2016
58 C p. 182-193
12 p.
article
13 Estimating the Indian natural interest rate: A semi-structural approach Goyal, Ashima
2016
58 C p. 141-153
13 p.
article
14 Euro, crisis and unemployment: Youth patterns, youth policies? Ghoshray, Atanu
2016
58 C p. 442-453
12 p.
article
15 Evidence of cross-asset contagion in U.S. markets Chang, Guang-Di
2016
58 C p. 219-226
8 p.
article
16 Exchange rate as a shock absorber in Poland and Slovakia: Evidence from Bayesian SVAR models with common serial correlation Dąbrowski, Marek A.
2016
58 C p. 249-262
14 p.
article
17 Exchange rate volatility and international trade: International evidence from the MINT countries Asteriou, Dimitrios
2016
58 C p. 133-140
8 p.
article
18 Explicit solutions to dynamic portfolio choice problems: A continuous-time detour Legendre, François
2016
58 C p. 627-641
15 p.
article
19 External shocks and exchange rate regimes in Southeast Asia: A DSGE analysis Sangaré, Ibrahima
2016
58 C p. 365-382
18 p.
article
20 Fiscal and monetary policies in the BRICS: A panel VAR approach Jawadi, Fredj
2016
58 C p. 535-542
8 p.
article
21 Forecasting structural change and fat-tailed events in Australian macroeconomic variables Cross, Jamie
2016
58 C p. 34-51
18 p.
article
22 Gold price and stock markets nexus under mixed-copulas Nguyen, Cuong
2016
58 C p. 283-292
10 p.
article
23 Government spending on education, human capital accumulation, and growth Dissou, Yazid
2016
58 C p. 9-21
13 p.
article
24 Harsh occupations, life expectancy and social security Pestieau, Pierre
2016
58 C p. 194-202
9 p.
article
25 Homeward bound FDI: Are migrants a bridge over troubled finance? Cuadros, Ana
2016
58 C p. 454-465
12 p.
article
26 How is China's coke price related with the world oil price? The role of extreme movements Guo, Yanfeng
2016
58 C p. 22-33
12 p.
article
27 How rational could VIX investing be? Bahaji, Hamza
2016
58 C p. 556-568
13 p.
article
28 Income growth and inequality: The threshold effects of trade and financial openness Lim, G.C.
2016
58 C p. 403-412
10 p.
article
29 Increasing the substitution elasticity can improve VAT compliance and social welfare Bognetti, Giuseppe
2016
58 C p. 293-307
15 p.
article
30 Inflation persistence: The path of labor market structural reforms Geronikolaou, George
2016
58 C p. 317-322
6 p.
article
31 International sign predictability of stock returns: The role of the United States Nyberg, Henri
2016
58 C p. 323-338
16 p.
article
32 Is fiscal devaluation welfare enhancing? Hohberger, Stefan
2016
58 C p. 512-522
11 p.
article
33 Modeling the short-run effect of fiscal stimuli on GDP: A new semi-closed input–output model Chen, Quanrun
2016
58 C p. 52-63
12 p.
article
34 Modelling events: The short-term economic impact of leaving the EU Baker, Jessica
2016
58 C p. 339-350
12 p.
article
35 On the isolated impact of copulas on risk measurement: Asimulation study Berger, Theo
2016
58 C p. 475-481
7 p.
article
36 Optimal funding and hiring/firing policies with mean reverting demand Bouasker, O.
2016
58 C p. 569-579
11 p.
article
37 Real estate investment: Market volatility and optimal holding period under risk aversion Amédée-Manesme, Charles-Olivier
2016
58 C p. 543-555
13 p.
article
38 Regional bank efficiency and its effect on regional growth in “normal” and “bad” times Belke, Ansgar
2016
58 C p. 413-426
14 p.
article
39 Regret, rejoicing, and mixed insurance Fujii, Yoichiro
2016
58 C p. 126-132
7 p.
article
40 Robust tests for change in intercept and slope in linear regression models with application to manager performance in the mutual fund industry Pouliot, William
2016
58 C p. 523-534
12 p.
article
41 Safe-haven demand for housing in London Eraslan, Sercan
2016
58 C p. 482-493
12 p.
article
42 Shining a light on the shadows: Identifying robust determinants of the shadow economy Goel, Rajeev K.
2016
58 C p. 351-364
14 p.
article
43 Short selling constraints and stock returns volatility: Empirical evidence from the German stock market Bohl, Martin T.
2016
58 C p. 159-166
8 p.
article
44 Solvency capital requirement for a temporal dependent losses in insurance Araichi, Sawssen
2016
58 C p. 588-598
11 p.
article
45 Structured products under generalized kappa ratio Hentati-Kaffel, Rania
2016
58 C p. 599-614
16 p.
article
46 The bank lending channel of unconventional monetary policy: The impact of the VLTROs on credit supply in Spain García-Posada, Miguel
2016
58 C p. 427-441
15 p.
article
47 The dark side of the black gold shock onto Europe: One stock's joy is another stock's sorrow Kaabia, Olfa
2016
58 C p. 642-654
13 p.
article
48 The effects of FDI, economic growth and energy consumption on carbon emissions in ASEAN-5: Evidence from panel quantile regression Zhu, Huiming
2016
58 C p. 237-248
12 p.
article
49 The interactive impact of press freedom and media reach on corruption Dutta, Nabamita
2016
58 C p. 227-236
10 p.
article
50 The masquerade ball of the CEOs and the mask of excessive risk Citci, Sadettin Haluk
2016
58 C p. 383-393
11 p.
article
51 The role of fiscal policy in Britain's Great Inflation Fan, Jingwen
2016
58 C p. 203-218
16 p.
article
52 The skewness risk premium in currency markets Broll, Michael
2016
58 C p. 494-511
18 p.
article
53 Trend inflation, firms' backward-looking behavior, and inflation gap persistence Kim, Insu
2016
58 C p. 116-125
10 p.
article
54 Unemployment–inflation trade-offs in OECD countries Bhattarai, Keshab
2016
58 C p. 93-103
11 p.
article
55 Uninsured expense shocks and equity premia Wang, Qin
2016
58 C p. 64-74
11 p.
article
56 Volatility risk premium implications of GARCH option pricing models Papantonis, Ioannis
2016
58 C p. 104-115
12 p.
article
57 What drives interdependence of FDI among host countries? The role of geographic proximity and similarity in public debt Alamá-Sabater, Luisa
2016
58 C p. 466-474
9 p.
article
                             57 results found
 
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