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Collection's Items (Sorted by Submit Date in Descending order): 51 to 100 of 543
Issue DateTitleAuthor(s)
2016Credit default and the real estate marketKhaled, Fawaz
2017EU membership, Mrs Thatcher's reforms and the british relative economic declineCampos, NF; Coricelli, F
2016Modelling inflation, output growth and their uncertaintiesAlliwa, Maher
2017Liquidity measurements and the return-liquidity relationship: empirical evidence from Germany, the UK, the US and ChinaBo, Yibo
2015Aggregate insider trading activity in the UK stock and option marketsWuttidma, Clarisse Pangyat
2016Effects of oil prices, food prices and macroeconomic news on Gcc stock marketsAl-Maadid, Alanoud
2016How do listing requirements impact firms: The case of AIMMortazian, Mona
2016Essays on modelling the volatility dynamics and linkages of emerging and frontier stock marketsAl Mughairi, Habiba
2016Essays in international finance and bankingNahhas, Abdulkader
2016What determines oil production? A case study of Nigeria and the United KingdomAlalade, Oluwadunsin
2016Essays on failure risk of firms using multivariate frailty modelsAtsu, Francis
2016Essays on monetary policy with Islamic banksHelmi, Mohamad Husam
2016Examining the relationship between trading volume, market return volatility and U.S. aggregate mutual fund flowOmran, Hayan
2016Essays on tourism and its determinantsGhalia, Thaana
2012An international study of bank performance: from the perspective of sustainability and externalityMirzaei, Ali
2016The significance of mapping data sets when considering commodity time series and their use in algorithmically-traded portfoliosMargaronis, Zannis N. P.
2016Corporate credit risk and economic performanceAliakbari, Saeideh
2016Essays in Ricardian trade theorySbracia, Massimo
2012The impact of legal responsibility of external auditors on auditing quality and investment levelMatar, Soud
2015Essays on financial development and economic growthSamargandi, Nahla
2015Essays on oil: project evaluation and investment impactBagh, Dima
2015How does the life insurance business perform and behave: the case of the UK industryAlmezweq, Muhammad
2015Banking instability: causes and remediesTajik, Mohammad
2015Do more mergers and acquisitions create value for the firm?Li, Shaomeng
2014Non-linear time series models with applications to financial dataYfanti, Stavroula
2013Price competition with consumer confusionChioveanu, I; Zhou, J
2008Public capital maintenance and congestion: Long-run growth and fiscal policiesDioikitopoulos, EV; Kalyvitis, S
2008Advertising, brand loyalty and pricingChioveanu, I
2014The relative price of non-traded goods under imperfect competitionCoto-Martinez, J; Reboredo, JC
2012The state of the market and the contrarian strategy: Evidence from China’s stock marketChen, Q; Jiang, Y; Li, Y
2009ATM surcharges: Effects on deployment and welfareChioveanu, I; Fauli-Oller, R; Sandonis, J; Santamaria, J
2014Audit probability versus effectiveness: The Beckerian approach revisitedRablen, MD
2010Fiscal policy, fairness between generations, and national savingBarrell, R; Weale, M
2008The composition of government spending and growth: Is current or capital spending better?Ghosh, S; Gregoriou, A
2012Bank supervision, regulation, and efficiency: Evidence from the European UnionChortareas, GE; Girardone, C; Ventouri, A
2011Financial frictions, bank efficiency and risk: Evidence from the EurozoneChortareas, GE; Girardone, C; Ventouri, A
2014The determinants of election to the United Nations Security CouncilDreher, A; Gould, M; Rablen, MD; Vreeland, JR
2011Contemporaneous-threshold smooth transition GARCH modelsDueker, MJ; Psaradakis, Z; Sola, M; Spagnolo, F
2012Understanding the performance of the electric power industry in ChinaLiu, G; Zhang, L
2013Structural analysis of energy market failure: Empirical evidence from USHosseini Tabaghdehi, Seyedeh Asieh
2008Mortality and immortality: The Nobel Prize as an experiment into the effect of status upon longevityRablen, MD; Oswald, AJ
2008Relativity, rank and the utility of incomeRablen, MD
2011The growth impact of political regimes and instability: impirical evidences from Western EuropeDimitraki, Ourania
2012The integration of the credit default swap markets during the US subprime crisis: Dynamic correlation analysisMoore, T
2009Sudden changes in volatility: The case of five central European stock marketsMoore, T
2008Stock market integration for the transition economies: Time-varying conditional correlation approachMoore, T
2010A critical appraisal of McKinnon's complementarity hypothesis: Does the real rate of return on money matter for investment in developing countries?Moore, T
2014Financial development, political instability and growth: evidence for Brazil since 1870Zhang, Jihui
2014Essays in exchange rates and international financeMenla Ali, Faek
2013Modelling long-run trends and cycles in financial time series dataCuñado, J; Gil-Alana, LA
Collection's Items (Sorted by Submit Date in Descending order): 51 to 100 of 543