Collection's Items (Sorted by Submit Date in Descending order): 581 to 630 of 1065
Issue Date | Title | Author(s) |
2014 | Does faith move stock markets? Evidence from Saudi Arabia | Canepa, A; Ibnrubbian, A |
2014 | The nexus between prices, employment and output growth: a global and national evidence | Caporale, GM; Skare, M |
2014 | Short- and long-run linkages between employment growth, inflation and output growth: evidence from a large panel | Skare, M; Caporale, GM |
2015 | Modelling African inflation rates: nonlinear deterministic terms and long-range dependence | Caporale, GM; Carcel, H; Gil-Alana, LA |
2015 | Governance quality and information asymmetry | Skinner, F; Elbadry, A; Gounopoulos, D |
2014 | Social networks and occupational choice: The endogenous formation of attitudes and beliefs about tax compliance | Hashimzade, N; Myles, GD; Page, F; Rablen, MD |
2013 | Divergence in credit ratings | Rablen, MD |
2014 | The use of agent-based modelling to investigate tax compliance | Hashimzade, N; Myles, GD; Page, F; Rablen, MD |
2014 | Money demand instability and real exchange rate persistence in the monetary model of USD-JPY exchange rate | Hunter, J; Menla Ali, F |
2014 | Self employment, wage employment and informality in a developing economy | Rablen, MD; Bennett, J |
2014 | Military spending and economic growth in China: a regime-switching analysis | Menla Ali, F; Dimitraki, O |
2012 | Term structure information and bond strategies | González, MO; Skinner, FS; Agyei-Ampomah, S |
2014 | Oil price uncertainty and sectoral stock returns in China: A time-varying approach | Caporale, GM; Ali, FM; Spagnolo, N |
2014 | Self- and peer-assessment: Evidence from the accounting and finance discipline | Hassan, OAG; Fox, A; Hannah, G |
2014 | Determinants of sovereign bond yield spreads in the EMU: An optimal currency area perspective. | Costantini, M; Fragetta, M; Melina, G |
2014 | On the usefulness of cross-validation for directional forecast evaluation | Bergmeir, C; Costantini, M; Benítez, JM |
2014 | Dynamic linkage between real exchange rates and stock prices: Evidence from developed and emerging Asian markets | Moore, T; Wang, P |
2014 | #CHIMoney: Financial interactions, digital cash, capital exchange and mobile money | Kaye, J; Brown, B; Vertesi, J; Perry, M; Ferreira, J |
2013 | A simple panel-CADF test for unit roots | Costantini, M; Lupi, C |
2014 | The Choice Between Callable And Noncallable Bonds | Booth, L; Gounopoulos, D; Skinner, F |
2009 | Efficiency and productivity of Greek banks in the EMU era | Ventouri-Dimitropoulou, A; Chortareas, G; Girardone, C |
2015 | International capital markets structure, preferences and puzzles In a "US-China World" | Caporale, GM; Donadelli, M |
2014 | Bank lending procyclicality and credit quality during financial crises | Caporale, GM; Di Colli, S; Lopez, JS |
2014 | Persistence and cycles in US hours worked | Caporale, GM; Gil-Alana, LA |
2013 | Impact of irreversibility and uncertainty on the timing of infrastructure projects | Doan, P; Menyah, K |
2014 | Trade intensity and output synchronisation: on the endogeneity properties of EMU | Caporale, GM; De Santis, R; Girardi, A |
2016 | Intraday anomalies and market efficiency: A trading robot analysis | Caporale, GM; Gil-Alana, LA; Plastun, A |
2014 | Fractional integration and cointegration in US financial time series data | Caporale, GM; Gil-Alana, LA |
2014 | Long run and cyclical dynamics in the US stock market | Caporale, GM; Gil-Alana, LA |
2011 | Forecasting the Spanish stock market returns with fractional and non-fractional models | Caporale, GM; Cunado, J; Gil-Alana, LA |
2014 | What are the driving forces of bank competition across different income groups of countries? | Mirzaei, A; Moore, T |
2014 | The determinants of vulnerability to currency crises: country-specific factors versus regional factors | Wang, P; Moore, T |
2011 | Does market structure matter on banks' profitability and stability? Emerging versus advanced economies | Mirzaei, A; Liu, G; Moore, T |
2015 | Is the relationship between financial development and economic growth monotonic? evidence from a sample of middle income countries | Samargandi, N; Fidrmuc, J; Ghosh, S |
2014 | The impact of the global financial crisis on industry growth | Moore, T; Mirzaei, A |
2010 | Performance targets, effort and risk-taking | Rablen, MD |
2010 | Tax evasion and exchange equity: a reference-dependent approach | Rablen, MD |
6-Jan-2014 | On the linkages between stock prices and exchange rates: evidence from the banking crisis of 2007-2010 | Caporale, GM; Hunter, J; Menla Ali, F |
2012 | The promotion of local wellbeing: A primer for policymakers | Rablen, MD |
2013 | Price competition with consumer confusion | Chioveanu, I; Zhou, J |
2008 | Public capital maintenance and congestion: Long-run growth and fiscal policies | Dioikitopoulos, EV; Kalyvitis, S |
2008 | Advertising, brand loyalty and pricing | Chioveanu, I |
2014 | The relative price of non-traded goods under imperfect competition | Coto-Martinez, J; Reboredo, JC |
2012 | The state of the market and the contrarian strategy: Evidence from China’s stock market | Chen, Q; Jiang, Y; Li, Y |
2009 | ATM surcharges: Effects on deployment and welfare | Chioveanu, I; Fauli-Oller, R; Sandonis, J; Santamaria, J |
2014 | Audit probability versus effectiveness: The Beckerian approach revisited | Rablen, MD |
2010 | Fiscal policy, fairness between generations, and national saving | Barrell, R; Weale, M |
2008 | The composition of government spending and growth: Is current or capital spending better? | Ghosh, S; Gregoriou, A |
2012 | Bank supervision, regulation, and efficiency: Evidence from the European Union | Chortareas, GE; Girardone, C; Ventouri, A |
2011 | Financial frictions, bank efficiency and risk: Evidence from the Eurozone | Chortareas, GE; Girardone, C; Ventouri, A |
Collection's Items (Sorted by Submit Date in Descending order): 581 to 630 of 1065