Collection's Items (Sorted by Submit Date in Descending order): 171 to 220 of 555
    
    
    
| Issue Date | Title | Author(s) | 
| 2012 | Robust Bartlett adjustment for hypotheses testing on cointegrating vectors: A bootstrap approach | Canepa, A | 
| 2012 | Audit probability versus effectiveness: The Beckerian approach revisited | Rablen, M | 
| 2012 | Financial freedom and bank efficiency: Evidence from the European Union | Chortareas, GE; Girardone, C; Ventouri, A | 
| 2013 | Financial freedom and bank efficiency: Evidence from the European Union | Chortareas, GE; Girardone, C; Ventouri, A | 
| 2014 | The sovereign spread in Asian emerging economies: The significance of external versus internal factors | Banerji, S; Ventouri, A; Wang, Z | 
| 2012 | The sovereign spread in Asian emerging economies: The significance of external versus internal factors | Banerji, S; Ventouri, A; Wang, Z | 
| 2012 | Loyalty discounts | Akgun, U; Chioveanu, I | 
| 2012 | The impact of mandatory IFRS adoption on accrual anomaly and earning conservatism | Chen, Q; Jiang, Y | 
| 2012 | Risk and seasonal effects: International evidence | Chen, Q | 
| 2012 | The role of capital, liquidity and credit growth in financial crises in Latin America and East Asia | Barrell, R; Karim, D | 
| 2012 | Off-balance sheet exposures and banking crises in OECD countries | Barrell, R; Davis, P; Liadze, I; Karim, D | 
| 2012 | Government spending shocks and the multiplier: New evidence from the U.S. based on natural disasters | Yang, W; Fidrmuc, J; Ghosh, S | 
| 2012 | Reform, uncertainty and spillovers a gravity model approach | Fidrmuc, J; Karaja, E; Tichit, A | 
| 2012 | How I learned to stop worrying and love the crisis | Fidrmuc, J; Tichit, A | 
| 2012 | Testing the PPP hypothesis in the sub-Saharan countries | Caporale, GM; Gil-Alana, LA | 
| 2012 | Persistence and cycles in the US Federal Funds rate | Caporale, GM; Gil-Alana, LA | 
| 2016 | Business cycles, international trade and capital flows: Evidence from Latin America | Caporale, GM; Girardi, A | 
| 2012 | Testing the Marshall-Lerner condition in Kenya | Caporale, GM; Gil-Alana, LA; Mudida, R | 
| 2012 | Persistence in youth unemployment | Caporale, GM; Gil-Alana, LA | 
| 2012 | Long memory in Angolan macroeconomic series: Mean reversion versus explosive behaviour | Barros, CP; Caporale, GM; Gil-Alana, LA | 
| 2012 | Re-examining the decline in the US saving rate: The impact of mortgage equity withdrawal | Caporale, GM; Costantini, M; Paradiso, A | 
| 2012 | Persistence and cycles in US hours worked | Caporale, GM; Gil-Alana, LA | 
| 2012 | Banking consolidation in Nigeria, 2000-2010 | Barros, CP; Caporale, GM | 
| 2012 | Long memory in German energy price indices | Barros, CP; Caporale, GM; Gil-Alana, LA | 
| 2012 | Examination of energy sector: The implications and effects of financing for innovations, corporate governance for company value, and resource abundance and corruption for investment attractiveness | Kuznecovs, Mihails | 
| 2012 | Essays on political economy of economic growth, institutions and the business environment in the industrial sector | Saleh, Ahmad | 
| 2004 | Identifying asymmetric, multi-period Euler equations estimated by non-linear IV/GMM | Hunter, J; Ioannidis, C | 
| 2010 | Investigation into intrinsic motivation and reputational concerns in the public sector | Tabvuma, Vurain | 
| 2012 | Effect of regulation, Islamic law and noise traders on the Saudi stock market | Ibnrubbian, Abdullah | 
| 2011 | Implementation of taylor type rules in nascent money and capital markets under managed exchange rates | Birchwood, Anthony | 
| 2000 | On asset pricing and the equity premium puzzle | Bart-Williams, Claudius | 
| 2011 | Multifactor consumption based asset pricing model of the UK stock market: The US stock market as a wealth reference | Hunter, J; Wu, F | 
| 2014 | Multifactor consumption based asset pricing models using the US stock market as a reference: Evidence from a panel of developed economies | Hunter, J; Wu, F | 
| 2011 | Long-run equilibrium price targetting | Burke, SP; Hunter, J | 
| 1993 | The decline of the British film industry: An analysis of market structure, the firm and product competition | Romer, Stephen | 
| 2009 | Four essays on return behaviour and market microstructures: Evidence from the Saudi stock market | Alzahrani, Ahmed A | 
| 1996 | The anticipation and interpretation of UK company announcements: The incentives to acquire information | Foreman, Denise Ann Wren | 
| 1995 | Is financial statement information about future earnings changes impounded in returns? | Constantinou, Eleni | 
| 2011 | Economic transition and happiness and life satisfaction in Algeria, Egypt and Morocco | Djiar, Ikram | 
| 2012 | Corporate financing in transition: Implications for institutions and ownership | Owolabi, Oluwarotimi Ayokunnu | 
| 2011 | The Frisch elasticity in the Mercosur countries: A pseudo-panel approach | Gonzalez, R; Sala, H | 
| 2011 | “Robin Hook”: The developmental effects of Somali piracy | Shortland, A | 
| 2011 | Corruption, fiscal policy, and growth: A unified approach | Ghosh, S; Neanidis, KC | 
| 2011 | Employment growth, inflation and output growth: Was phillips right? Evidence from a dynamic panel | Caporale, GM; Skare, M | 
| 2011 | Price discovery and trade fragmentation in a multi-market environment: Evidence from the MTS system | Caporale, GM; Girardi, A | 
| 2011 | Persistence and cyclical dependence in the monthly Euribor rate | Caporale, GM; Gil-Alana, LA | 
| 2011 | Consumption, wealth, stock and housing returns: Evidence from emerging markets | Caporale, GM; Sousa, RM | 
| 2011 | Are stock and housing returns complements or substitutes? Evidence from OECD countries | Caporale, GM; Sousa, RM | 
| 2011 | Stock market and economic growth: Evidence from three CEECs | Caporale, GM; Spagnolo, N | 
| 2011 | Short- and long- run linkages between employment growth, inflation and output growth: Evidence from a large panel | Caporale, GM; Skare, M | 
    
    
        Collection's Items (Sorted by Submit Date in Descending order): 171 to 220 of 555