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                             45 results found
no title author magazine year volume issue page(s) type
1 Anticipated versus unanticipated productivity shocks and hours-worked Ali, Syed Zahid

72 C p. 547-572
article
2 Anti-corruption courts and foreign direct investments Kuvvet, Emre

72 C p. 573-582
article
3 A study on the motivation of financialization in emerging markets: The case of Chinese nonfinancial corporations Xu, Xingmei

72 C p. 606-623
article
4 Bank ownership and lending dynamics: Evidence from Turkish banking sector Çolak, Mehmet Selman

72 C p. 583-605
article
5 Can workers’ increased pessimism about the labor market conditions raise unemployment? Silveira, Jaylson Jair da

72 C p. 125-134
article
6 Commodity futures returns and policy uncertainty Bannigidadmath, Deepa

72 C p. 364-383
article
7 Corrigendum to ‘Dynamic impacts of crude oil price on Chinese investor sentiment: Nonlinear causality and time-varying effect’ [International Review of Economics & Finance 66 (2020), 131–153] He, Zhifang

72 C p. 546
article
8 Crisis response of nursing homes during COVID-19: Evidence from China Liang, Yu

72 C p. 700-710
article
9 Determinants of defaults on P2P lending platforms in China Gao, M.

72 C p. 334-348
article
10 Do credit conditions matter for the impact of oil price shocks on stock returns? Evidence from a structural threshold VAR model Jiang, Yong

72 C p. 1-15
article
11 Does the Belt and Road Initiative cause more troubled Chinese overseas investments? Jin, Gang

72 C p. 217-232
article
12 Do higher-order realized moments matter for cryptocurrency returns? Ahmed, Walid M.A.

72 C p. 483-499
article
13 Do sovereign ratings cause instability in cross-border emerging CDS markets? Ballester, Laura

72 C p. 643-663
article
14 Earnings management at target firms and the acquirers’ performance Mughal, Azhar

72 C p. 384-404
article
15 Editorial Board
72 C p. ii
article
16 Environmental regulation and corporate R&D investment—evidence from a quasi-natural experiment Huang, Jingchang

72 C p. 154-174
article
17 Forecasting bond returns in a macro model Hou, Keqiang

72 C p. 524-545
article
18 GDP per capita IN SUB-SAHARAN Africa: A time series approach using long memory Gil-Alana, Luis A.

72 C p. 175-190
article
19 Government financial assistance as catalyst for private financing Bakhtiari, Sasan

72 C p. 59-78
article
20 Government size and speculative attacks on public debt Della Posta, Pompeo

72 C p. 79-89
article
21 Harnessing the decomposed realized measures for volatility forecasting: Evidence from the US stock market Lu, Botao

72 C p. 672-689
article
22 How does economic policy uncertainty affect corporate diversification? Hoang, Khanh

72 C p. 254-269
article
23 Inequality hikes, saving surges, and housing bubbles Zhao, Qingbin

72 C p. 349-363
article
24 Information asymmetry and financing choice between debt, equity and dual issues by Indian firms Sony, Bipin

72 C p. 90-101
article
25 Institutions, regulations and initial coin offerings: An international perspective Shrestha, Prabal

72 C p. 102-120
article
26 International reserves and economic growth Sula, Ozan

72 C p. 16-28
article
27 Intraday analysis of the limit order bias on the ex-dividend day of U.S. common stocks Efthymiou, Vassilis A.

72 C p. 405-421
article
28 It ain’t over until it’s over: English auctions with subsequent negotiations Koska, Onur A.

72 C p. 121-124
article
29 Land finance, land attracting investment and housing price fluctuations in China Wang, Ren

72 C p. 690-699
article
30 Local financial intermediation and foreign direct investment: Evidence from China Yao, Yao

72 C p. 198-216
article
31 Macroeconomic policies and the pandemic-driven recession Costa Junior, Celso J.

72 C p. 438-465
article
32 Ownership structure and R&D: The role of regional governance environment Wan, Wei

72 C p. 45-58
article
33 Pandemic uncertainties and fiscal procyclicality: A dynamic non-linear approach Chakrabarty, Himadri Shekhar

72 C p. 664-671
article
34 R&D competition and cooperation with asymmetric spillovers in an oligopoly market Ishikawa, Nana

72 C p. 624-642
article
35 Redistribution and wage inequality Pi, Jiancai

72 C p. 510-523
article
36 Stock price crashes in emerging markets Bai, Min

72 C p. 466-482
article
37 Strategic CSR and merger decisions in multiproduct mixed markets with state-holding corporation Leal, Mariel

72 C p. 319-333
article
38 The effectiveness of the counter-cyclical loan-to-value regulation: Generic versus sector-specific rules Liu, Guangling

72 C p. 270-288
article
39 The imputed effect of US tariffs on wages Thompson, Alexi

72 C p. 191-197
article
40 The response of hedge fund higher moment risk to macroeconomic and illiquidity shocks Racicot, François-Éric

72 C p. 289-318
article
41 The transmission of default risk between banks and countries based on CAViaR models Peng, Wei

72 C p. 500-509
article
42 The welfare implications of housing-related tax policies in China Guo, Shen

72 C p. 135-153
article
43 Trade liberalization and incentives to implement antidumping protection Mukunoki, Hiroshi

72 C p. 422-437
article
44 Understanding cryptocurrency volatility: The role of oil market shocks Yin, Libo

72 C p. 233-253
article
45 Unionised labour market, environment and endogenous growth Bhattacharyya, Chandril

72 C p. 29-44
article
                             45 results found
 
 Koninklijke Bibliotheek - National Library of the Netherlands