Collection's Items (Sorted by Submit Date in Descending order): 531 to 580 of 1065
Issue Date | Title | Author(s) |
2016 | Macro news and stock returns in the euro area: a VAR-GARCH-in-mean analysis | Caporale, GM; Spagnolo, F; Spagnolo, N |
2016 | A Simple Testing Procedure for Unit Root and Model Specification | Costantini, M; Sen, A |
2013 | The case of customer recruitment processes: Dynamic evolution of customer relationship management resource networks | Braganza, A; Stebbings, H; Ngosi, T |
2016 | Dynamic asymmetries in house price cycles: A generalized smooth transition model | Canepa, A; Zanetti Chini, E |
2016 | Searching for inefficiencies in exchange rate dynamics | Caporale, GM; Gil-Alana, L; Plastun, A |
2016 | Spillovers between food and energy prices and structural breaks | Al-Maadid, A; Caporale, GM; Spagnolo, F; Spagnolo, N |
2015 | Persistent Doubt: An examination of hedge fund performance | Dela O González, M; Papageorgiou, NA; Skinner, FS |
2014 | Did the market overreact to the mandatory switch to IFRS in Europe? | Chen, Q; Skerratte, L |
2016 | Unemployment and the speed of transition in China | Huang, S; Fidrmuc, J |
2016 | Linkages between the US and European stock markets: A fractional cointegration approach | Caporale, GM; Gil-Alana, LA; Orlando, CJ |
2016 | Portfolio flows and the US dollar-yen exchange rate | Menla Ali, F; Spagnolo, F; Spagnolo, N |
2015 | Contrarian strategy and herding behaviour in the Chinese stock market | Chen, Q; Hua, X; Jiang, Y |
2016 | The weekend effect: an exploitable anomaly in the Ukrainian stock market? | Caporale, GM; Gil-Alana, L; Plastun, A |
2016 | The impact of the 2007 reforms in China on the quality of earnings | Liu, S; Skerratt, L; Li, S |
2016 | Price regimes in an energy island: Tacit collusion vs. cost and network explanations | Spagnolo, N; Di Sapio, A |
2015 | Predictive Analytics and the Targeting of Audits | Rablen, MD; Hashimzade, N; Myles, GD |
2015 | Banking performance and industry growth in an oil-rich economy: Evidence from Qatar | Mirzaei, A; Moore, T |
2016 | Realism, skill & incentives: Current and future trends in investment management and investment performance | Mason, A; Agyei-Ampomah, S; Skinner, F |
2014 | Local banking and local economic growth in Italy: some panel evidence | Caporale, GM; Di Colli, S; Di Salvo, R; Lopez, JS |
2015 | Impact of IMF assistance on economic growth revisited | Fidrmuc, J; Kostagianni, S |
2015 | Political economy of fiscal unions | Fidrmuc, J; Munich, C |
2015 | Housing wealth, financial wealth, and consumption: New evidence for Italy and the UK | Barrell, R; Costantini, M; Meco, I |
2016 | How accurate are professional forecasts in Asia? Evidence from ten countries | Chen, Q; Costantini, M; Deschamps, B |
2015 | A note on Bartlett correction factor for tests on cointegrating relations | Canepa, A |
2015 | Animal spirits and credit cycles | De Grauwe, P; Macchiarelli, C |
2016 | Foreign languages and trade: Evidence from a natural experiment | Fidrmuc, J; Fidrmuc, J |
2015 | Happiness, Taxes and Social Provision: A Note | Albanese, M; Bonasia, M; Napolitano, O; Spagnolo, N |
2014 | Time-varying spot and futures oil price dynamics | Caporale, GM; Ciferri, D; Girardi, A |
2015 | China after 35 years of economic transition | Caporale, GM; You, K |
2014 | Sources of real exchange rate volatility and international financial integration: A dynamic generalised method of moments panel approach | Caporale, GM; Hadj Amor, T; Rault, C |
2015 | Testing stock market convergence: a non-linear factor approach | Caporale, GM; Erdogan, B; Kuzin, V |
2015 | Friday the 13th: The Empirics of Bad Luck | Fidrmuc, J; Tena, JD |
2015 | Macroeconomic effects of fiscal adjustment: A tale of two approaches | Yang, W; Fidrmuc, J; Ghosh, S |
2014 | Financial development and economic growth in an oil-rich economy: The case of Saudi Arabia | Samargandi, N; Fidrmuc, J; Ghosh, S |
2015 | Housing wealth, financial wealth, and consumption: new evidence for Italy and the UK | Costantini, M; Barrell, R; Meco, I |
2015 | Differently unequal: Zooming-in on the distributional dimensions of the crisis in euro area countries | D'Errico, M; Macchiarelli, C; Serafini, R |
2014 | Persistent doubt: An examination of the performance of hedge funds | O González, M; Papageorgiou, NA; Skinner, FS |
2015 | Financial development and economic growth: evidence from ten new European Union members | Caporale, GM; Rault, C; Sova, A; Sova, R |
2015 | Gender, style diversity and their effect on fund performance | Babalos, V; Caporale, GM; Philippas, N |
2015 | Exchange rate uncertainty and international portfolio flows: A multivariate GARCH-in-mean approach | Caporale, GM; Ali, FM; Spagnolo, N |
2014 | Modelling stock volatilities during financial crises: A time varying coefficient approach | Menla Ali, F; Karanasos, M; Paraskevopoulos, AG; Karoglou, M; Yfanti, S |
2015 | Self-employment, wage employment and informality in a developing economy | Bennett, J; Rablen, M |
2015 | Consumption, wealth, stock and housing returns: Evidence from emerging markets | Caporale, GM; Sousa, RM |
2015 | Can the consumption-wealth ratio predict housing returns? Evidence from OECD countries | Caporale, GM; Sousa, RM; Wohar, ME |
2015 | Testing PPP for the South African rand/US dollar real exchange rate at different frequencies | Caporale, GM; Gil-Alana, L |
2015 | Whither China? Reform and economic integration among Chinese regions | Fidrmuc, J; Huang, S; Fidrmuc, J |
2015 | State Aid Policy in the European Union | Fidrmuc, J; Tunali, CB |
2015 | Exchange rate uncertainty and international portfolio flows | Caporale, GM; Menla Ali, F; Spagnolo, N |
2014 | Comparing housing booms and mortgage supply in the major OECD countries | Davis, EP; Armstrong, A |
2015 | Multivariate FIAPARCH modelling of financial markets with dynamic correlations in times of crisis | Karanasos, M; Yfanti, S; Karoglou, M |
Collection's Items (Sorted by Submit Date in Descending order): 531 to 580 of 1065