Collection's Items (Sorted by Submit Date in Descending order): 131 to 180 of 989
Issue Date | Title | Author(s) |
21-Jan-2023 | Distributional Effects of Endogenous Discounting | Hashimzade, N; Kirsanova, T; Kirsanov, O |
2023 | Price gaps: another market anomaly? | Caporale, GM; Plastun, A |
26-Dec-2022 | Persistence in the passion investment market | Caporale, GM; Gil-Alana, LA; Alex, P |
23-Dec-2022 | Macro-financial linkages in the high-frequency domain: Economic fundamentals and the Covid-induced uncertainty channel in US and UK financial markets | Caporale, GM; Karanasos, M; Yfanti, S |
21-Dec-2022 | Shadow rates as a measure of the monetary policy stance: some international evidence | Anderl, C; Caporale, GM |
20-Dec-2022 | The effects of us covid-19 policy responses on cryptocurrencies, fintech and artificial intelligence stocks: A fractional integration analysis | Abakah, EJA; Caporale, GM; Gil-Alana, LA |
11-Nov-2022 | The impact of the Covid-19 pandemic on persistence in the European stock markets | Caporale, GM; Gil-Alana, L; Arrese Lasaosa, I |
21-Oct-2022 | A Broader View of Housing-Market Macroprudential Measures | Davis, EP |
22-Oct-2022 | Nonlinearities in the exchange rate pass-through: the role of inflation expectations | Anderl, C; Caporale, GM |
8-Oct-2022 | Oil prices and sectoral stock returns in the BRICS-T countries: a time-varying approach | Caporale, GM; Catik, AN; Kisla, GSH; Helmi, MH; Akdeniz, C |
14-Sep-2022 | Financial Development, Political Instability, Trade Openness and Growth in Brazil: Evidence from a New Dataset, 1890-2003 | Campos, N; Glebkina, E; Karanasos, M; Koutroumpis, P |
19-Sep-2022 | The Covid-19 pandemic, policy responses and stock markets in the G20 | Caporale, GM; Kang, W-Y; Spagnolo, F; Spagnolo, N |
20-Sep-2022 | Fiscal policy and inequality in a model with endogenous positional concerns | Borissov, K; Hashimzade, N |
13-Jun-2022 | Conservation through conversation? Therapeutic engagement on biodiversity and extinction between NGOs and companies | Atkins, JF; Atkins, B; Maroun, W; Barone, E; Gozman, D |
19-Jan-2022 | Children and Life-Cycle Consumption | Grant, C |
2022 | Modelling persistence and non-linearities in the US Treasury 10-year bond yields | Caporale, GM; Gil-Alana, LA; Yaya, OS |
3-Jul-2022 | The Covid-19 pandemic and the degree of persistence of US stock prices and bond yields | Caporale, GM; Gil-Alana, LA; Poza, C |
1-Jun-2022 | Fiscal policy and inequality in a model with endogenous positional concerns | Borissov, K; Hashimzade, N |
29-Jun-2022 | Underwriter networks and the 2012 JOBS Act | Colaco, HMJ |
12-Nov-2021 | Trade Flows, Private Credit and the COVID-19-Pandemic: Panel Evidence from 35 OECD Countries | Caporale, GM; Sova, A; Sova, R |
4-Feb-2022 | Peer interactions and performance in a high-skilled labour market | - |
15-Mar-2022 | Migrant diversity and team performance in a high-skilled labour market | Addessa, F; Pazzona, M; Rossi, G |
27-Mar-2014 | Modelling Returns and Volatilities During Financial Crises: a Time Varying Coefficient Approach | Karanasos, M; Paraskevopoulos, A; Ali, FM; Karoglou, M; Yfanti, S |
7-May-2022 | Persistence in ESG and conventional stock market indices | Caporale, GM; Gil-Alana, LA; Plastun, A; Makarenko, I |
19-Apr-2022 | The short-run and long-run effects of trade openness on financial development: some panel evidence for Europe | Caporale, GM; Sova, AD; Sova, R |
2-Feb-2022 | Unemployment persistence in Europe: evidence from the 27 EU countries | Caporale, GM; Gil-Alana, L; Trejo, PV |
2-May-2022 | Cross-border portfolio flows and news media coverage | Caporale, GM; Menla Ali, F; Spagnolo, F; Spagnolo, N |
5-Apr-2022 | Inflation in the G7 countries: persistence and structural breaks | Caporale, GM; Gil-Alana, LA; Poza, C |
16-Mar-2022 | The direct and indirect effects of financial development on international trade: evidence from the CEEC-6 | Caporale, GM; Sova, AD; Sova, R |
23-Aug-2021 | Financial volatility modeling with option-implied information and important macro-factors | Yfanti, S; Karanasos, M |
30-Mar-2022 | Abnormal returns and stock price movements: some evidence from developed and emerging markets | Caporale, GM; Plastun, A |
7-Apr-2022 | Time trends and persistence in US sea level data: an investigation using fractional integration methods | Caporale, GM; Gil-Alana, LA; Sauci, L |
13-Sep-2020 | Increasing Female Participation on Boards: Effects on Sustainability Reporting | Buallay, A; Hamdan, R; Barone, E; Hamdan, A |
1-Nov-2017 | Market fundamentalism in the age of ‘haute finance’: The enclosing of policy space in ‘emerging’ India | Lakshminarayan, S |
9-May-2022 | The relationship between prices and output in the UK and the US | Caporale, GM; Claudio-Quiroga, G; Gil-Alana, L |
1-Feb-2022 | Does macroprudential policy alleviate the adverse impact of COVID-19 on the resilience of banks? | Igan, D; Mirzaei, A; Moore, T |
3-Dec-2021 | Effect of Media News on Radicalization of Attitudes to Immigration | Agovino, M; Carillo, MR; Spagnolo, N |
20-Nov-2017 | TARGET (im)balances at record level: Should we worry? | De Grauwe, P; Ji, Y; Macchiarelli, C |
7-Dec-2021 | Macroprudential policy, bank competition and bank risk in East Asia | Chan, KK; Davis, EP; Karim, D |
11-Jan-2022 | Exchange rate parities and Taylor rule deviations | Anderl, C; Caporale, GM |
30-May-2024 | Do not shut up and do dribble: social media and TV consumption | Pazzona, M; Spagnolo, N |
3-Dec-2021 | Inflection Points, Kinks, and Jumps: A Statistical Approach to Detecting Nonlinearities | Arin, P; Minniti, M; Murtinu, S; Spagnolo, N |
21-Apr-2021 | Emerging stock market volatility and economic fundamentals: the importance of US uncertainty spillovers, financial and health crises | Karanasos, M; Yfanti, S; Hunter, J |
29-Nov-2021 | The Effects of Macroprudential Policy on Banks' Profitability | Davis, EP; Karim, D; Noel, D |
25-Oct-2021 | Sustainability reporting in banking and financial services sector: a regional analysis | Mohamed Buallay, A; Al Marri, M; Nasrallah, N; Hamdan, A; Barone, E; Zureigat, Q |
15-Jul-2021 | Evidence of Stock Market Contagion during the COVID-19 Pandemic: A Wavelet-Copula-GARCH Approach | Alqaralleh, H; Canepa, A |
14-Feb-2022 | Testing for UIP-type relationships: nonlinearities, monetary announcements and interest rate expectations | Anderl, C; Caporale, GM |
2-Sep-2021 | Interpreting banks’ sustainability initiatives as reputational risk management and mechanisms for coping, re-embedding and rebuilding societal trust | Saeudy, M; Atkins, J; Barone, EAV |
29-Sep-2019 | On the ‘Disclosure Initiative–Principles of Disclosure’: The EAA Financial Reporting Standards Committee’s View | Abad, C; Barone, E; Gullkvist, BM; Hellman, N; Marques, A; Marton, J; Mason, S; Silva, RLM; Morais, A; Moya Gutierrez, S; Quagli, A; Vysotskaya, A |
28-Oct-2021 | Do households with debt cut back their consumption more? New evidence from the UK | Fasianos, A; Lydon, R |
Collection's Items (Sorted by Submit Date in Descending order): 131 to 180 of 989