no |
title |
author |
magazine |
year |
volume |
issue |
page(s) |
type |
1 |
A model-based index for systemic risk contribution measurement in financial networks
|
Deng, Yang |
|
|
95 |
C |
p. 35-48 |
article |
2 |
A model for calculating optimal credit guarantee fee for small and medium-sized enterprises
|
Taghizadeh-Hesary, Farhad |
|
|
95 |
C |
p. 361-373 |
article |
3 |
Can a new model of infrastructure financing mitigate credit rationing in poorly governed countries?
|
Xu, Jiajun |
|
|
95 |
C |
p. 111-120 |
article |
4 |
Capital flow and banking credit in Indonesia
|
Mara, Mirza Yuniar Isnaeni |
|
|
95 |
C |
p. 298-310 |
article |
5 |
Chief executive officer (CEO)’s rural origin and internal control quality
|
Shen, Huayu |
|
|
95 |
C |
p. 441-452 |
article |
6 |
Conference presentations and academic publishing
|
Gorodnichenko, Yuriy |
|
|
95 |
C |
p. 228-254 |
article |
7 |
Cooperation and spillovers in healthcare R&D: Theory and evidence
|
Faria, João Ricardo |
|
|
95 |
C |
p. 68-75 |
article |
8 |
Default risks, moral hazard and market-based solution: Evidence from renewable energy market in Bangladesh
|
Hossain, Monzur |
|
|
95 |
C |
p. 489-499 |
article |
9 |
Disagreement on sunspots and soybeans futures price
|
Wang, Hanjie |
|
|
95 |
C |
p. 385-393 |
article |
10 |
Disintegration scenarios in the European Union: A case study of Eastern European economies
|
Bolea, Lucía |
|
|
95 |
C |
p. 1-12 |
article |
11 |
Does economic convergence hold? A spatial quantile analysis on European regions
|
Cartone, Alfredo |
|
|
95 |
C |
p. 408-417 |
article |
12 |
Editorial Board
|
|
|
|
95 |
C |
p. ii |
article |
13 |
Effects of minimum wage on workers’ on-the-job effort and labor market outcomes
|
Zhao, Naibao |
|
|
95 |
C |
p. 453-461 |
article |
14 |
Effects of political promotion on local firms’ social responsibility in China
|
Kong, Dongmin |
|
|
95 |
C |
p. 418-429 |
article |
15 |
Effects of Saudi Arabia’s economic reforms: Insights from a DSGE model
|
Blazquez, Jorge |
|
|
95 |
C |
p. 145-169 |
article |
16 |
Equity premium and monetary policy in a model with limited asset market participation
|
Horvath, Roman |
|
|
95 |
C |
p. 430-440 |
article |
17 |
Further tests of asset pricing models: Liquidity risk matters
|
Ma, Xiuli |
|
|
95 |
C |
p. 255-273 |
article |
18 |
How does inequality affect long-run growth? Cross-industry, cross-country evidence
|
Gutiérrez-Romero, Roxana |
|
|
95 |
C |
p. 274-297 |
article |
19 |
Hysteresis and the welfare costs of recessions
|
Tervala, Juha |
|
|
95 |
C |
p. 136-144 |
article |
20 |
Inefficiency and bank failure: A joint Bayesian estimation method of stochastic frontier and hazards models
|
Sanchez González, Jim |
|
|
95 |
C |
p. 344-360 |
article |
21 |
Institutional change in the global economy: How trade reform can be detrimental to welfare
|
Saad, Ayhab F. |
|
|
95 |
C |
p. 97-110 |
article |
22 |
Intraday momentum and return predictability: Evidence from the crude oil market
|
Wen, Zhuzhu |
|
|
95 |
C |
p. 374-384 |
article |
23 |
Investigating dynamic price co-movements in the international milk market using copulas: The role of trade agreements
|
Rezitis, Anthony N. |
|
|
95 |
C |
p. 215-227 |
article |
24 |
Market-based environmental regulation and total factor productivity: Evidence from Chinese enterprises
|
Peng, Jiaying |
|
|
95 |
C |
p. 394-407 |
article |
25 |
Mixed-frequency SV model for stock volatility and macroeconomics
|
Shang, Yuhuang |
|
|
95 |
C |
p. 462-472 |
article |
26 |
Monetary–fiscal policy regime and macroeconomic dynamics in China
|
Liu, Ding |
|
|
95 |
C |
p. 121-135 |
article |
27 |
New nonlinear estimators of the gravity equation
|
Mnasri, Ayman |
|
|
95 |
C |
p. 192-202 |
article |
28 |
Quantifying sovereign risk in the euro area
|
Singh, Manish K. |
|
|
95 |
C |
p. 76-96 |
article |
29 |
Returns and volume: Frequency connectedness in cryptocurrency markets
|
Fousekis, Panos |
|
|
95 |
C |
p. 13-20 |
article |
30 |
Revisiting the roles of cryptocurrencies in stock markets: A quantile coherency perspective
|
Jiang, Yonghong |
|
|
95 |
C |
p. 21-34 |
article |
31 |
Stock market mispricing and firm innovation based on path analysis
|
Shen, Huayu |
|
|
95 |
C |
p. 330-343 |
article |
32 |
The effects of urban transformation on productivity spillovers in China
|
He, Ming |
|
|
95 |
C |
p. 473-488 |
article |
33 |
The golden hedge: From global financial crisis to global pandemic
|
Burdekin, Richard C.K. |
|
|
95 |
C |
p. 170-180 |
article |
34 |
Time-varying individual effects in a panel data probit model with an application to female labor force participation
|
Xin, Kai |
|
|
95 |
C |
p. 181-191 |
article |
35 |
Trade credit, group affiliation, and credit contraction: Evidence from the 1997 Korean financial crisis
|
Hyun, Junghwan |
|
|
95 |
C |
p. 203-214 |
article |
36 |
Transitions between monetary policy frameworks and their effects on economic performance
|
Cobham, David |
|
|
95 |
C |
p. 311-329 |
article |
37 |
Words and deeds in managing expectations: Empirical evidence from an inflation targeting economy
|
Baranowski, Paweł |
|
|
95 |
C |
p. 49-67 |
article |