Collection's Items (Sorted by Submit Date in Descending order): 981 to 1030 of 1065
Issue Date | Title | Author(s) |
2003 | Equity prices, productivity growth and the "new economy" | Madsen, J; Davis, EP |
2003 | Panel estimation of the impact of exchange rate uncertainty on investment in the major industrial countries | Byrne, JP; Davis, EP |
2003 | Macroeconomic effects of reallocation shocks: a generalised impulse response function analysis for three European countries | Panagiotidis, T; Pelloni, G; Polasek, W |
2003 | Demographics and financial asset prices in the major industrial economies | Davis, EP; Li, C |
2003 | Market efficiency and the Euro: the case of the Athens Stock Exchange | Panagiotidis, T |
2003 | A panel analysis of UK industrial company failure | Hunter, J; Isachenkova, N |
2001 | Efficiency and News in Exchange Rate Market. The Euro/Dollar Case | Canale, RR; Napolitano, O |
2001 | Finite Horizon Portfolio Selection | Monoyios, M |
2002 | Are currency crises self-fulfilling? The case of Argentina | Boinet, V; Napolitano, O; Spagnolo, N |
2002 | Unemployment alters the set-point for life satisfaction | Clark, AF; Georgellis, Y; Lucas, RE; Diener, E |
2002 | The Euro exchange rate market efficiency and the risk premium: an empirical analysis with an ecm model | Napolitano, O |
2002 | Competitiveness and the external trade performance of Greece in the 1990s: a cross-sectoral investigation. | Arghyrou, MG; Bazina, E |
2002 | Common risk factors in the US and UK interest swap markets-evidence from a non-linear vector autoregression approach | Lekkos, I; Milas, C |
2002 | Asymmetric and non linear adjustment in the revenue expenditure models | Legrenzi, G; Milas, C |
2003 | Should Monetary Policy Respond to Asset Price Misalignments? | Kontonikas, A; Ioannidis, C |
2002 | Communication and antithesis in corporate annual reports: a research note | Davison, J |
2003 | The Impact of Risk on the Decision to Exercise an ESO | Kyriacou, K |
2002 | Openness and efficiency of India and China relative to the world economy: a comparative study. | Liu, GS; Liu, X; Wei, Y |
2002 | The class of shareholdings and its impacts on corporate performance: a case of state shareholding composition in Chinese publicly listed companies. | Liu, GS; Sun, SP |
2003 | Towards a typology for systemic financial instability | Davis, EP |
2002 | Are international R&D spillovers costly for the US? | Luintel, K B; Khan, M |
2002 | Informal credit markets, interlinkage and migration | Khwaja, Y |
2002 | On the dynamics of lending and deposit interest rates in emerging markets: A non-linear approach | Iregui, AM; Milas, C; Otero, J |
2002 | The impact of changes in the FTSE 100 index | Mase, B |
2002 | Migration, credit markets, moral hazard, interlinkage. | Monoyios, M |
2002 | Monetary policy rules and the persistence of inflation and output | Bratsiotis, GJ; Martin, C |
2000 | Inflation and inflation uncertainty in the United Kingdom: Evidence from GARCH modelling | Kontonikas, A |
2002 | Monetary policy rules, real rigidity and endogenous persistence | Bratsiotis, GJ; Martin, C |
2000 | Acquisition Activity in the United Kingdom: Parametric and Semi-Parametric Estimation | Hunter, J; Komis, S |
2002 | Partial delegation in a model of currency crisis | Boinet, V |
2002 | A test for volatility spillovers | Sola, M; Spagnolo, F; Spagnolo, N |
2002 | Decision rules and information provision: monitoring versus manipulation | Iossa, E; Palumbo, G |
2002 | The role and nature of market sentiment in the 1992 ERM crisis. | Napolitano, O; Montagnoli, A; Canale, RR |
2002 | Should I stay or should I go? Migration under uncertainty: a real options approach | Khwaja, Y |
2002 | Building and managing facilities for public services | Bennett, J; Iossa, E |
2002 | Has monetary policy reacted to asset price movements? Evidence from the UK | Kontonikas, A; Montagnoli, A |
2002 | Government solvency: revisiting some EMU countries | Arghyrou, MG; Luintel, KB |
2002 | Inflation targeting and inflation persistence | Bratsiotis, GJ; Madsen, J; Martin, C |
2003 | The Information Contained in The Exercise of Executive Stock Options | Kyriacou, K; Mase, B |
2001 | Long-Range Dependence in Daily Interest Rate | Ioannidis, C; Monoyios, M |
2000 | Failure risk: A comparative study of UK and Russian firms | Hunter, J; Isachenkova, N |
2001 | Stock Returns and Inflation: Some New Evidence | Luintel, K B; Paudyal, K |
2003 | Aggregate economy risk and company failure: An examination of UK quoted firms in the early 1990s | Hunter, J; Isachenkova, N |
2001 | A Panel Test of Purchasing Power Parity Under the Null of Stationarity | Hunter, J; Simpson, M |
2001 | Option Pricing with Transaction Costs Using a Markov Chain Approximation | Monoyios, M |
2001 | Third Party Monitoring and Golden Parachutes | Iossa, E; Legros, P |
2001 | A Non-Linear Multivariate Model of the U.K. Real Exchange Rate | Milas, C |
2001 | Disaggregate wealth and aggregate consumption: An investigation of empirical relationships for the G7 | Byrne, JP; Davis, EP |
2001 | Productivity and equity returns: A century of evidence for 9 OECD countries | Davis, P; Madsen, J |
2001 | The Predictability of Excess Returns on UK Bonds: a Non-Linear Approach | Lekkos, I; Costas, M |
Collection's Items (Sorted by Submit Date in Descending order): 981 to 1030 of 1065