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                             55 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A conditional autoregressive range model with gamma distribution for financial volatility modelling Xie, Haibin
2017
64 C p. 349-356
8 p.
artikel
2 Are government transfers harmful to economic growth? A meta-analysis Awaworyi Churchill, S.
2017
64 C p. 270-287
18 p.
artikel
3 Are there bubbles in exchange rates? Some new evidence from G10 and emerging market economies Hu, Yang
2017
64 C p. 419-442
24 p.
artikel
4 Assessing efficiency and investment opportunities in commodities: A time series and portfolio simulations approach Jawadi, Fredj
2017
64 C p. 567-588
22 p.
artikel
5 Asset prices and economic fluctuations: The implications of stochastic volatility Chen, Junping
2017
64 C p. 128-140
13 p.
artikel
6 Asset pricing and institutional investors with disagreements Ma, Chaoqun
2017
64 C p. 231-248
18 p.
artikel
7 Bank overall financial strength: Islamic versus conventional banks Doumpos, Michael
2017
64 C p. 513-523
11 p.
artikel
8 Can asymmetric conditional volatility imply asymmetric tail dependence? Kim, Jong-Min
2017
64 C p. 409-418
10 p.
artikel
9 Can volume predict Bitcoin returns and volatility? A quantiles-based approach Balcilar, Mehmet
2017
64 C p. 74-81
8 p.
artikel
10 Capital and liquidity in a dynamic model of banking Hasman, Augusto
2017
64 C p. 172-177
6 p.
artikel
11 Catching the curl: Wavelet thresholding improves forward curve modelling Power, Gabriel J.
2017
64 C p. 312-321
10 p.
artikel
12 Child Labour's effect on long-run earnings: An analysis of cohorts Posso, Alberto
2017
64 C p. 465-472
8 p.
artikel
13 Co-movement of ASEAN stock markets: New evidence from wavelet and VMD-based copula tests Jiang, Yonghong
2017
64 C p. 384-398
15 p.
artikel
14 Daily happiness and stock returns: The case of Chinese company listed in the United States Li, Xiao
2017
64 C p. 496-501
6 p.
artikel
15 Disagreement and the risk-return relation Jia, Yun
2017
64 C p. 97-104
8 p.
artikel
16 Dividend policy: Shareholder rights and creditor rights under the impact of the global financial crisis Tran, Quoc Trung
2017
64 C p. 502-512
11 p.
artikel
17 Does immigration crowd out foreign direct investment inflows? Tradeoff between contemporaneous FDI-immigration substitution and ethnic network externalities Tomohara, Akinori
2017
64 C p. 40-47
8 p.
artikel
18 Equity market information and credit risk signaling: A quantile cointegrating regression approach Gatfaoui, Hayette
2017
64 C p. 48-59
12 p.
artikel
19 Executive compensation among Australian mining and non-mining firms: Risk taking, long and short-term incentives Yarram, Subba Reddy
2017
64 C p. 211-220
10 p.
artikel
20 Expected default based score for identifying systemically important banks Yao, Yanzhen
2017
64 C p. 589-600
12 p.
artikel
21 Fiscal financing and the efficacy of fiscal policy in Korea: An empirical assessment with comparison to the U.S. evidence Hur, Joonyoung
2017
64 C p. 473-486
14 p.
artikel
22 Forecasting the oil futures price volatility: A new approach Ma, Feng
2017
64 C p. 560-566
7 p.
artikel
23 Hitting SKEW for SIX Liu, Zhangxin (Frank)
2017
64 C p. 449-464
16 p.
artikel
24 How Islamic are Islamic banks? A non-linear assessment of Islamic rate – conventional rate relations Sukmana, Raditya
2017
64 C p. 443-448
6 p.
artikel
25 International trade and firms' attitude towards risk Broll, Udo
2017
64 C p. 69-73
5 p.
artikel
26 Investigating Global Imbalances: Empirical evidence from a GVAR approach Bettendorf, Timo
2017
64 C p. 201-210
10 p.
artikel
27 Islamic banking and risk: The impact of Basel II Zins, Alexandra
2017
64 C p. 626-637
12 p.
artikel
28 Macroeconomic and financial effects of oil price shocks: Evidence for the euro area Morana, Claudio
2017
64 C p. 82-96
15 p.
artikel
29 Measuring the output gap in Switzerland with linear opinion pools Buncic, Daniel
2017
64 C p. 153-171
19 p.
artikel
30 Mexican real wages and the U.S. economy Cabral, René
2017
64 C p. 141-152
12 p.
artikel
31 Modelling European sovereign bond yields with international portfolio effects Martin, Franck
2017
64 C p. 178-200
23 p.
artikel
32 Modelling the implied volatility surface based on Shanghai 50ETF options Wang, Jinzhong
2017
64 C p. 295-301
7 p.
artikel
33 New technology and old institutions: An empirical analysis of the skill-biased demand for older workers in Europe Peng, Fei
2017
64 C p. 1-19
19 p.
artikel
34 On estimating long-run effects in models with lagged dependent variables Reed, W. Robert
2017
64 C p. 302-311
10 p.
artikel
35 Optimal combination of innovation and environmental policies under technology licensing Hattori, Keisuke
2017
64 C p. 601-609
9 p.
artikel
36 Output stabilization in fixed and floating regimes: Does trade of new products matter? Cavallari, Lilia
2017
64 C p. 365-383
19 p.
artikel
37 Political stability and growth: An application of dynamic GMM and quantile regression Uddin, Md Akther
2017
64 C p. 610-625
16 p.
artikel
38 Price volatility, tariff structure and the special safeguard mechanism Countryman, Amanda M.
2017
64 C p. 399-408
10 p.
artikel
39 Publisher Note 2017
64 C p. iv-
1 p.
artikel
40 Regional variation in the capital structure adjustment speed of listed firms: Evidence from China Mai, Yong
2017
64 C p. 288-294
7 p.
artikel
41 Robust minimum variance portfolio optimization modelling under scenario uncertainty Xidonas, Panos
2017
64 C p. 60-71
12 p.
artikel
42 Sources of economic growth in China from 2000–2013 and its further sustainable growth path: A three-hierarchy meta-frontier data envelopment analysis Feng, Chao
2017
64 C p. 334-348
15 p.
artikel
43 Statistical inference of partially linear varying coefficient spatial autoregressive models Wei, Chuanhua
2017
64 C p. 553-559
7 p.
artikel
44 Subsidizing healthcare in the presence of market distortions Chaudhuri, Sarbajit
2017
64 C p. 539-552
14 p.
artikel
45 Taxing financial transactions in fundamentally heterogeneous markets Gaffeo, Edoardo
2017
64 C p. 322-333
12 p.
artikel
46 The impact of equity ownership groups on investment: Evidence from Ukraine Mykhayliv, Dariya
2017
64 C p. 20-25
6 p.
artikel
47 The impact of income distribution on structural transformation: The role of extensive margin Liu, Yue
2017
64 C p. 357-364
8 p.
artikel
48 The importance of being remembered: Prices for cemetery plots in the US Canofari, Paolo
2017
64 C p. 638-645
8 p.
artikel
49 The intraday directional predictability of large Australian stocks: A cross-quantilogram analysis Todorova, Neda
2017
64 C p. 221-230
10 p.
artikel
50 The new MIBA model: Real-time nowcasting of French GDP using the Banque de France's monthly business survey Mogliani, Matteo
2017
64 C p. 26-39
14 p.
artikel
51 The role of financial shocks in business cycles with a liability side financial friction Afrin, Sadia
2017
64 C p. 249-269
21 p.
artikel
52 To tax or not to tax? When does it matter for informality? Mitra, Shalini
2017
64 C p. 117-127
11 p.
artikel
53 Unemployment persistence in OECD countries after the Great Recession Marques, André M.
2017
64 C p. 105-116
12 p.
artikel
54 What have we learned? Assessing the effectiveness of counterterrorism strategies in Pakistan Rehman, Faiz Ur
2017
64 C p. 487-495
9 p.
artikel
55 Withdrawal of Italy from the euro area: Stochastic simulations of a structural macroeconometric model Bagnai, Alberto
2017
64 C p. 524-538
15 p.
artikel
                             55 gevonden resultaten
 
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