Content
2019, Volume 12, Issue 3
- 233-247 Asymmetric dynamics of insurance premium: the impact of monetary policy uncertainty on insurance premiums in Japan
by Mehmet Balcilar & Godwin Oluseye Olasehinde-Williams & Muhammad Shahbaz
2019, Volume 12, Issue 2
- 75-97 Cryptocurrencies, Fiat money or gold standard: an empirical evidence from volatility structure analysis using news impact curve
by Anwar Hasan Abdullah Othman & Syed Musa Alhabshi & Razali Haron - 98-117 An ARDL and cointegration approach for analysing determinants of foreign portfolio investors' in India
by Parul Kumar & R.K. Sharma & Sunil Kumar - 118-132 Does the US economy face a long run trade off between inflation and unemployment?
by Jamil Sayeed & Md. Deen Islam & Shanjida Yasmin - 133-151 Diversification and cash holdings: comparison between Indonesia and the Netherlands firms
by I. Made Sudana & Fahima Budi Imaniar & Nugroho Sasikirono & Sanju Kumar Singh - 152-168 Analysis of structural linkages and inter-temporal stability in a cross-country BRICS portfolio
by Harman Arora & Parminder Kaur
2019, Volume 12, Issue 1
- 3-14 US monetary policy surprises transmission to European stock markets
by Tarek Chebbi & Abdelkader Derbali - 15-24 Macroeconomic determinants of credit risk: a P-VAR approach evidence from Europe
by Ahlem-Selma Messai & Mohamed Imen Gallali - 25-38 The effect of sustainability assurance demand on information asymmetry: evidence from French companies
by Yosra Mnif Sellami & Nada Damak Ben Hlima - 39-58 Dynamic analysis of implied risk neutral density
by Abderrahmen Aloulou & Younes Boujelbene - 59-74 FDPM after the global price crisis in the coal industry
by Ni Nyoman Sawitri
2018, Volume 11, Issue 6
- 525-542 The impact of commercial banking development on economic growth: a principal component analysis of association between banking industry and economic growth in Eastern Europe
by Shahdad Naghshpour & Hugh L. Davis III - 543-566 How does momentum exist? The case of the Indonesian stock market
by Sudarso Kaderi Wiryono & Sinta Aryani & Mandra Lazuardi Kitri & Umi Kulsum - 567-617 An estimated DSGE model with search and matching frictions in the credit market
by Danilo Liberati
2018, Volume 11, Issue 5
- 416-435 Central bank communication and transparency: the ECB and the European Parliament
by Ansgar Belke - 436-479 The magnitude of the macroeconomic impact of oil price: the case of BRICS
by Salma Ben-Lalouna & Joseph Pearlman - 480-498 Unconventional monetary policies and the credit market
by Jose Olmo & Marcos Sanso-Navarro - 499-515 On the effect of Cournot and Stackelberg competition in the banking sector on the investment cycle
by Eleni Dalla - 516-523 Can countries lobby for foreign direct investment? Evidence from the US
by Gabriel V. Montes-Rojas
2018, Volume 11, Issue 4
- 317-326 Reexamine performance of foreign banks in Indonesia
by Irwan Trinugroho & Sylviana Maya Damayanti & Sudarso Kaderi Wiryono & Mochammad Doddy Ariefianto - 327-344 Systemically important financial institutions (SIFI) in Indonesian banking system
by Zaafri Ananto Husodo & Daniel Wojtyla - 345-353 Culture and corruption in bank lending revisited
by Siwapong Dheera-aumpon - 354-362 Bank's middle office analytics, risk modelling and comparative Basel regimes
by Shahid Waseem Anjum - 363-383 Price efficiency on Islamic banks vs. conventional banks in Bahrain, UAE, Kuwait, Oman, Qatar and Saudi Arabia: impact of country governance
by Fakarudin Kamarudin & Fadzlan Sufian & Annuar Md. Nassir & Nazratul Aina Mohamad Anwar & Nur Ainna Ramli & Khar Mang Tan & Hafezali Iqbal Hussain - 384-393 Random walk and structural break in exchange rates
by Kenneth A. Tah - 394-410 Phenomena and determinants of underpricing, flipping activity and long term performance: an empirical investigation of sharia IPO in Indonesia
by Ahmad Rodoni & Ade Sofyan Mulazid & Rama Febriyanti
2018, Volume 11, Issue 3
- 179-191 Factors affecting internal audit function effectivity (internal auditor competence and objectivity, management support and organisation culture) at local government
by Rindu Rika Gamayuni - 192-204 The attitude towards the new rice direct-seeding device
by Dumrongdej Pramitithanakan & Supawan Tantayanon & Kanit Wattanavichien & Laddawan Kunnoot - 205-214 Econometric analysis of real exchange rate shocks and real growth of the tourism sector in South Africa
by Paul-Francois Muzindutsi & Jean Claude Manaliyo - 215-223 The impact of financial and trade integration on business cycles in emerging markets
by Lathaporn Ratanavararak - 224-234 Financial development and the lending channel of monetary policy transmission: evidence from Thailand
by Attasuda Lerskullawat - 235-242 Does market capitalisation matters? Tests of weak-form efficient market hypothesis for Thai stock market
by Ramede Sodsai & Karoon Suksonghong - 243-250 Asset allocation strategy to create superior portfolio from equity mutual funds
by Sylviana Maya Damayanti & Isrochmani Murtaqi & Rudy Bekti & Anggoro Budi Nugroho - 251-259 Capital structure active adjustment of Indonesian state-owned enterprises (SOEs)
by Subiakto Soekarno & Edo Prayogo - 260-270 The impact of board ethnic diversity on firm performance: evidence from public listed firms in Malaysia
by Shu Fen Chuah & Chee-Wooi Hooy - 271-279 Strategic challenge in the management of the regional water company: study in West Java Indonesia
by Sam'un Jaja Raharja - 280-288 Supply-side pay determinants in the Malaysian manufacturing sector
by Normala Zulkifli & Shahrun Nizam Abdul-Aziz - 289-297 Creating economic value through multi-stakeholder partnership (case study on the black soybean farmers development programme of Unilever Indonesia)
by Kartika Dewi Sri Susilowati - 298-306 Analysis of transformational leadership effect towards organisational citizenship behaviour mediated by organisational commitment in the heritage hotel
by Noermijati & Misbahuddin Azzuhri - 307-315 Generic drug in Indonesia: why physicians and pharmacists matters
by Amelia Amelia & Ronald Ronald
2018, Volume 11, Issue 2
- 95-109 Re-examination of an improved Euro index under different market conditions
by Musa Essayyad & Omar Al-Titi - 110-125 Sovereign credit default swap and bond markets' dynamics: evidence from the European debt crisis
by Ioannis A. Tampakoudis & Demetres N. Subeniotis & Ioannis G. Kroustalis - 126-139 Regional banks and market power: evidence from Indonesia
by Irwan Trinugroho & Sutaryo & Sylviana Maya Damayanti & Sudarso Kaderi Wiryono & Linggar Ikhsan Nugroho - 140-162 Unconventional monetary policy expansion: the economic impact through a dynamic CGE model
by Claudio Socci & Francesca Severini & Rosita Pretaroli & Irfan Ahmed & Clio Ciaschini - 163-176 A hybrid Phillips curve and consumer confidence: the case of Brazil
by Thiago Henrique Carneiro Rios Lopes & Cleiton Silva De Jesus & Miguel Angel Rivera-Castro
2018, Volume 11, Issue 1
- 3-19 Interest rate development as an indicator of credit market integration
by Jan Černohorský - 20-35 Effect of macroeconomic determinants on non-performing loans in Central and Eastern European countries
by Irena Szarowska - 36-55 The evaluation of banking stability in the European Union countries
by Kristína Kočišová & Daniel Stavárek - 56-75 SVAR description of ECB monetary policy effects via banking sector in individual EA countries: case of Slovenia
by Maria Siranova & Jana Kotlebova - 76-94 Conventional and unconventional balance sheet practices and their impact on currency stability
by Gábor Dávid Kiss & Enikő Balog
2017, Volume 10, Issue 3/4
- 227-234 A study on analysis of the determinants of capital structure with special focus on automobile sector of India
by Gurmeet Singh - 235-249 Debt or equity? Optimal capital structure in Indonesia's construction sector companies listed in Indonesia stock exchange (IDX)
by Mautia Kusuma Wardani & Sylviana Maya Damayanti - 250-256 Predicting the financial distress of Indonesian manufacturing companies: an application of the multinomial logit model
by Jaja Suteja & Ardi Gunardi & R. Avianty Octavia - 257-269 The influence of accounting education on the prospects of becoming a member of the chartered accountant profession: opportunities, challenges and expectations of Indonesia towards the ASEAN economic community
by Khomsiyah & Lindrianasari - 270-280 The effect of corporate governance's application on banks' performance: empirical study of banks listed on the Indonesian Stock Exchange
by Irma & Olivia Idrus - 281-294 Implementation of corporate governance and mandatory disclosure in the Indonesian banking sector: good news or bad news
by Zaidirina & Lindrianasari & Satria Bangsawan - 295-308 An analysis on financial and social performance of Islamic banks in Indonesia
by Hasan Mukhibad & Kiswanto & Prabowo Yudho Jayanto - 309-321 Market timing and stock selection performance of mutual fund in bull and bear market condition
by V. Santi Paramita & Bahri Jafar & Ifan Wicaksana Siregar - 322-340 Ownership structures and productivity in Indonesia and Malaysia
by Citra Sukmadilaga & M. Shamsher & Taufiq Hassan - 341-352 Safe harbours for intra-group loans in Eurozone: experience from selected countries
by Veronika Solilová & Danuše Nerudová - 353-365 Analysis of short- and long-run interactions between real exchange rate and private domestic investment in South Africa
by Magdeline M. Maepa & Paul-Francois Muzindutsi - 366-378 Labour mobility in the European Union: What can ASEAN learn?
by Usanee Aimsiranun - 379-403 Does inflation targeting lower inflation? If yes, then when?
by Amr Sadek Hosny - 404-425 The effects of interest rates, stock prices and trading day to the duration of daily exchange rate pattern: using survival analysis
by Seo-Hyeong Lee & Ki-Dong Lee & Yoon Chul Kim
2017, Volume 10, Issue 2
- 111-143 The determinants of credit and insolvency risk of European commercial banks: a dynamic panel data analysis
by Wiem Ben Jabra & Zouheir Mighri & Faysal Mansouri - 144-182 Tax and monetary policy rules in a small open economy with disaggregated government purchases
by Boniface Pepino Yemba - 183-205 Does the FED care about income inequality? A quantitative examination
by Stuart J. Fowler & Jennifer J. Fowler - 206-223 Oil price, macroeconomic environment and stock market performance in an oil-exporting country: evidence from Nigeria
by Chinazaekpere Nwani & Chijioke Okogbue
2017, Volume 10, Issue 1
- 1-23 GCC monetary union and the transmission of business cycles: evidence from temporal correlations
by Imed Medhioub & Lotfi Ben Jedidia - 24-46 CEO emotional intelligence and firm dividend policy: decision tree analysis
by Mohamed Ali Azouzi & Anis Jarboui - 47-67 Emphasis and effectiveness of monetary policy of the Fed: a historical comparative analysis (1871-2013)
by Ling T. He - 68-95 Spatial agglomeration in a monetary multi-regional growth model with urban residential distribution
by Wei-Bin Zhang - 96-109 Financial deepening and stock market returns: panel data analyses for selected developed and developing economies
by Matiur Rahman & Muhammad Mustafa
2016, Volume 9, Issue 4
- 319-329 The reaction of the Japanese REIT market to stock prices and interest rates: a comparison of the periods before and after Abenomics
by Takayasu Ito - 330-352 Bayesian estimation of a new Keynesian policy model for a small open economy
by Bechir Bouzid - 353-362 Competition law and the Malaysian financial services market: an analysis of the structure and level of competition in the market
by Nasarudin Abdul Rahman & Mohd Hasbullah Mohamad Faudzi & Haniff Ahamat & Zuhairah Ariff Abd Ghadas - 363-378 Study on empirical characteristic of rural bank sustainability in Indonesia
by Muljanto Moechdi & Munawar Ismail & Candra Fajri Ananda & Ahmad Erani Yustika - 379-387 The implication of firm-specific characteristics on disclosure: the case of Indonesia
by Ardi Gunardi & Erie Febrian & Aldrin Herwany - 388-400 Capital structure determinants and the speed of adjustment towards capital structure target: evidence from Indonesian state-owned enterprises
by Subiakto Soekarno & Mandra Lazuardi Kitri & Suryo Utomo - 401-416 The South African monetary policy and inflation targeting as a nominal anchor: Does the monetary policy become more effective?
by Mohammed Umar & Jauhari Dahalan & Mukhriz Izraf Azman Aziz
2016, Volume 9, Issue 3
- 225-244 Volatility spillovers between exchange rates and Indian stock markets in the post-recession period: an APARCH approach
by Bhaskar Bagchi - 245-266 Euro area stock markets performance comparison and its dependence on macroeconomic variables
by José Soares Da Fonseca - 267-293 The stability of learning prior to an anticipated change in the target inflation rate
by Bartholomew Moore - 294-316 Is the relationship between macroeconomy and stock market liquidity mutually reinforcing? Evidence from an emerging market
by Ijaz Ur Rehman & Nurul Shahnaz Mahdzan & Rozaimah Zainudin
2016, Volume 9, Issue 2
- 102-114 The behaviour of sovereign CDS and government bond in the Euro zone crisis
by Takayasu Ito - 115-131 Fragility and contagion within European Union's banking system: the network prospective
by Muhammad Mohsin Hakeem & Ken-ichi Suzuki - 132-148 Financial contagion in interbank network
by Dengbao Yao & Xiaoxing Liu & Xu Zhang - 149-163 Creating contestable banking market: the effect of changes in the regulatory structure in Indonesia
by Tri Mulyaningsih & Anne Daly & Riyana Miranti - 164-186 International trade financing: a comparative study on the performance of state-owned and private commercial banks of Bangladesh
by Hazera Akter & Suborna Barua - 187-197 Evaluating gender responsive budgeting in Turkey
by Cevat Tosun & Necmiddin Bağdadioğlu - 198-211 Good government governance and opinions of the audit board of Republik Indonesia
by Aminah & Lindrianasari & Rosmiaty - 212-223 The role of money multiplier in monetary transmission mechanism in Iran (bank lending and money supply)
by Jafar Haghighat & Tanaz Salahesh
2016, Volume 9, Issue 1
- 1-24 Dynamic relations of the inertia of monetary policy: application to the Brazilian case by a Kalman approach
by Manuel Joaquim Da Natividade Silva & Gutemberg Hespanha Brasil & Ricardo Ramalhete Moreira - 25-44 Inflation persistence: revisited
by Edward N. Gamber & Jeffrey P. Liebner & Julie K. Smith - 45-66 Volatility of stock market and exchange rate returns in Peru: Long memory or short memory with level shifts?
by Andrés Herrera Aramburú & Gabriel Rodríguez - 67-89 Liquidity, liquidity risk and stock returns: evidence from Vietnam
by Xuan Vinh Vo & Hong Thu Bui - 90-99 Beating the market: Can evolutionary-based portfolio optimisation outperform the Talmudic diversification strategy?
by Safwan Mohd Nor & Sardar M.N. Islam
2015, Volume 8, Issue 4
- 332-344 Analysis of customer mindset change and accounting practice of garbage bank as medium of edupreneurship
by Anna Purwaningsih - 345-359 Effect of auditor and client negotiation experience on audit results: an experimental test
by Leliana Maria Angela & Fitria Husnatarina - 360-384 The impact of financial inclusion on monetary policy effectiveness: the case of Malawi
by Angella Faith Lapukeni - 385-397 Corporate governance perception index, performance and value of the firm in Indonesia
by Zaidirina & Lindrianasari - 398-421 A global game analysis of the LLR: the role of creditors' behaviour and penalty rate lending
by Junnosuke Shino
2015, Volume 8, Issue 3
- 229-241 On the existence of loss function for some useful classes of central bankers
by Marcelo de Carvalho Griebeler - 242-264 Determinants of bank customers' demand for liquidity: the effect of bank capital and customers' characteristics
by Cláudia D. Bernardo & Sérgio C. Lagoa & Emanuel R. Leão - 265-273 Credit for equity investment and stock market volatility: evidence of variance causality
by Ibrahim A. Onour - 274-281 Determinants of the CNY/USD exchange rate: a simultaneous-equation model
by Yu Hsing - 282-301 Exchange rate pass-through to domestic prices in Tunisia: a short- and long-run analysis
by Kamel Helali & Maha Kalai - 302-317 Features of Korean SMEs exchange exposure
by Sunghee Choi & Woohyung Lee - 318-329 A maximum likelihood estimator for information precision in the financial market
by George Li
2015, Volume 8, Issue 2
- 111-125 The effect of earnings management with special item to investment decision: empirical study at manufacture firm listed in Indonesia Stock Exchange 2008-2010
by S. Rahmawati & Sri Wahyu Agustiningsih & Erna Setiany - 126-142 An empirical examination of the role of the remuneration committee in the relationship between board of directors and remuneration
by Syaiful Baharee Jaafar & Mohd Mohid Rahmat & Kieran James - 143-161 The impact of corporate governance on corporate social disclosure: comparative study in South East Asia
by Edy Supriyono & Abdul Kharis Almasyhari & Djoko Suhardjanto & S. Rahmawati - 162-177 Intellectual capital disclosure, corporate governance structure and firm value in Indonesian banking industry
by Lia Uzliawati & Kartika Djati - 178-190 Can shareholder rights protection reduce corruption in lending?
by Siwapong Dheera-aumpon - 191-201 Large shareholders' relationship, active shareholder and supervision
by Tingli Liu & Qianqian Shi - 202-212 Market reaction on income smoothing in the Indonesian manufacturing industry
by Iwan Setiadi & S. Purnamasari & Erna Setiany - 213-227 The effect of audit committee quality and internal auditor objectivity on the prevention of fraudulent financial reporting and the impact on financial reporting quality (a survey on state-owned company in Indonesia)
by Angrita Denziana
2015, Volume 8, Issue 1
- 4-19 Does news on the euro area impact the sovereign yield spreads?
by Houssam Bouzgarrou & Tarek Chebbi - 20-33 Information flow between derivatives and spot market; the reason of studies results divergence
by Abderrahmen Aloulou & Younes Boujelbene - 34-48 Does inflation targeting decrease the primary budget deficit in emerging markets? An empirical evidence
by Mohamed Kadria & Mohamed Safouane Ben Aissa - 49-70 The impact of extreme values on the assessment of financial assets
by Sihem Mansour & Slaheddine Hellara - 71-84 Do macroeconomic factors matter for stock returns? Evidence from the European automotive industry
by Rim M. El Khoury - 85-108 Post-privatisation ownership structure and firm performance: what is the matter?
by Mouna Mrad
2014, Volume 7, Issue 4
- 249-265 Bank debt and financial flexibility
by Nont Dhiensiri & Xiaohong (Sara) Wang - 266-287 A comparison of the dynamics of inflation in the USA and Japan: a VAR-VEC analysis
by Livia Fraccalvieri & Mattia Rosada & Emiliano Sironi - 288-301 Comparing the measures of core inflation in India: trimmed mean and structural vector auto-regression approach
by Arundhati Mallick & Narayan Sethi - 302-327 Evaluating quantitative easing: a DSGE approach
by Matteo Falagiarda - 328-346 Post-acquisition performance of European cross-border bank M%As
by Evangelos Drymbetas & George Kyriazopoulos
2014, Volume 7, Issue 3
- 157-174 Monetary policy and oil price fluctuations following the subprime mortgage crisis
by Naoyuki Yoshino & Farhad Taghizadeh-Hesary - 175-191 Non-linear effects in the Croatian inflation-generating process
by Ivana Lolić & Petar Sorić - 192-206 Asymmetric effects of monetary policy on an emerging stock market
by Guowen Han & Yongjin Wu & Warren Young - 207-228 Real exchange rate misalignment and economic growth: empirical evidence from Sudan
by Alamedin A. Bannaga & Ahmed A.A. Badawi - 229-247 Market power vs. financial stability: evidence from the MENA region's Islamic and conventional banking industries
by Louati Salma & Boujelbene Younes
2014, Volume 7, Issue 2
- 81-106 Does the policy trilemma still hold? Fresh evidence and its implications
by Amit Ghosh - 107-121 Sign asymmetry and exchange rate market volatility: empirical evidence from two developing countries
by Kwame Osei-Assibey - 122-134 Central bank independence and the price-output-variability trade-off
by Mats Landström - 135-156 Selection of the right risk measures for portfolio allocation
by Thanh Nguyen
2014, Volume 7, Issue 1
- 1-12 Analysing monetary policy's transmission mechanisms through effective and expected interest rates: an application of MS-models, Bayesian VAR and cointegration approaches for Brazil
by Ricardo Ramalhete Moreira & Chukiat Chaiboonsri & Prasert Chaitip - 13-27 Interaction among stock prices and monetary variables in Pakistan
by Ghulam Abbas & David G. McMillan - 28-39 Yield curve changes effect on Euro area bond indexes: a partial durations approach
by José Soares Da Fonseca - 40-65 Financial liberalisation, financial development and productivity growth: an overview
by Agnieszka Gehringer - 66-80 The effects of public debt on capital formation in India: evidence from structural VAR analysis
by Debi Prasad Bal
2013, Volume 6, Issue 4
- 271-284 Are frontier stock markets more inefficient than emerging stock markets?
by Prakash L. Dheeriya & Erdost Torun - 285-301 The influence of global financial crisis on Jordanian equity market: VECM approach
by Hussain Ali Bekhet & Ali Matar - 302-308 A Euro area stock market model with betas dependent on the financial markets cycle
by José Soares Da Fonseca - 309-324 Industry-level exchange risk exposure of US multinationals: evidence from the Mexican and Asian financial crises
by Sunghee Choi - 325-367 The implications of credit risk transfer for the credit channel
by Mari L. Robertson
2013, Volume 6, Issue 2/3
- 101-115 Financial corporations' performances and corruption indices around Europe 1996-2008
by Carlo Bellavite Pellegrini & Laura Pellegrini - 116-149 The impact of external governance quality on the economic and social success of microfinance institutions
by Oliver Müller & André Uhde - 150-185 Economic freedom and bank efficiency nexus
by Fadzlan Sufian - 186-202 The historical economics of corruption and development within Italy
by Ilaria Petrarca & Roberto Ricciuti - 203-212 Corruption, political instability and public finance in Europe
by Emiliano Sironi & Martina Tornari - 213-231 Corruption, governance and sustainable development
by Valdir de Jesus Lameira & Walter Lee Ness Jr. & Marcio Alves Amaral-Baptista & Roberto G. Pereira & Osvaldo Luiz Gonçalves Quelhas - 232-243 A new corruption index based on individual attitudes
by Andrea Bonanomi & Silvia Angela Osmetti - 244-260 Economic aspects of the complementarity between corruption and crime: evidence from Italy in the period 1996-2005
by Raul Caruso & Adelaide Baronchelli - 261-270 Organised crime and corruption. The effects on legitimate business: evidence from Northern Italy
by Eleonora Montani
2013, Volume 6, Issue 1
- 1-16 Revisiting the dollar index
by Musa Essayyad & Khaled Albinali & Omar Al-Titi & Banamber Mishra - 17-39 An empirical comparison of credit channel in emerging markets: evidence from five Asian economies
by Muhamed Zulkhibri - 40-54 Weak dependence between the Brazilian consumer inflation and expected inflation: non-linear and Copulas methods and a note on the Central Bank's credibility
by Ricardo Ramalhete Moreira & Chukiat Chaiboonsri & Prasert Chaitip - 55-80 Money supply and economic growth under environmental pressure: the strategy for re-growth
by Feng Dai & Ling Liang & Songtao Wu - 81-95 Fiscal indiscipline and monetary policy in EMU: Is there any need for a fiscal policy concerned ECB?
by Pasquale Foresti & Ugo Marani
2012, Volume 5, Issue 4
- 325-344 Macroeconomic uncertainty, excess liquidity and stability of money demand (M3) in Australia
by Fassil Fanta - 345-369 What determines inflation?
by Martina Alexová - 370-394 Forecasting foreign exchange rates using artificial neural networks: a trader's approach
by Adam Stokes & Ahmed S. Abou-Zaid - 395-414 Debt overhang and bank bailouts
by Linus Wilson
2012, Volume 5, Issue 3
- 223-243 Market structure and competitiveness of Credit Associations and Credit Cooperatives in Japan
by Shinya Minegishi - 244-267 Modelling euro area money demand and forecasting inflation in a time-varying environment
by Robert Czudaj - 268-276 Exchange rate volatility and demand for money in Iran
by Sahar Bahmani & Mohsen Bahmani-Oskooee - 277-298 Structural change in tail behaviour and the recent financial crises
by Bechir Raggad & Mohamed Boutahar - 299-324 Current account dynamics and optimal monetary policy in a two-country economy
by Min Lu
2012, Volume 5, Issue 2
- 102-123 Repairing the original sin of the European Monetary Union
by Sergio Rossi & Bernard Dafflon - 124-138 Reassessment of the OCA criteria in the Euro area: the case of Greece
by Pantelis Sklias & George Maris - 139-152 Optimal stabilisation policy in a monetary union: implications of the Mankiw-Weinzierl model
by Georgios Karras - 153-168 Implicit Taylor reaction functions for Euro area countries
by Jens Klose - 169-182 The effect of inter-country competition on interest rate pass-through in the European Union
by Rishav Bista & Biniv Maskay & James W. Saunoris - 183-191 Stock market, economic growth and EU accession: evidence from three CEECs
by Guglielmo Maria Caporale & Nicola Spagnolo - 192-209 Egypt-EU commodity trade and the J-Curve
by Mohsen Bahmani-Oskooee & Amr Sadek Hosny - 210-221 Convergence and clustering of Tier 1 capital in the European banking sector: a non-linear factor approach
by Nicholas Apergis & Alexandros Gabrielsen & James E. Payne & Paolo Zagaglia
2012, Volume 5, Issue 1
- 1-10 Crude oil price and stock markets in major oil-exporting countries: evidence of decoupling feature
by Ibrahim A. Onour - 11-23 Hitting the right target: an examination of inflation targeting and labour within the varieties of capitalism framework
by Joseph J. St. Marie - 24-37 Monetary environment and market inefficiency
by Yacine Hammami - 38-63 Credit rating announcements, trading activity and yield spreads: the Spanish evidence
by Pilar Abad & Antonio Díaz & M. Dolores Robles-Fernández - 64-75 Financial sector development and economic growth nexus in South Africa
by Tafirenyika Sunde - 76-86 Estimating the output gap for the UAE: a production function approach
by Mohamed A. Osman & Rosmy Jean Louis & Faruk Balli - 87-98 Price linkages between the GCC stock markets: a bounds test using an Auto Regressive-Distributed Lag model
by Abraham Abraham & Haider Madani
2011, Volume 4, Issue 4
- 330-354 New Keynesian aggregate supply in the tropics: food prices, wages and inflation
by Ashima Goyal & Shruti Tripathi - 355-371 Impact of exchange rate and money supply on growth, inflation and interest rates in the UK
by Keshab Bhattarai - 372-389 US and European stock market crashes: Any evidence of interdependence?
by Rajeev Sooreea & Mark Wheeler - 390-409 Causes of financial distress of Portuguese municipalities: empirical evidence
by Flora Cunha Lobo & Pedro Ramos & Oscar Lourenco - 410-431 Dynamics of investor's behaviour: a survey-based study on Indian securities market
by Saurabh Agarwal - 432-446 Exchange rate and exporting behaviour of Indian Textiles and Clothing sector across major destination countries
by P.L. Beena & Hrushikesh Mallick
2011, Volume 4, Issue 3
- 217-237 Equity-based compensation and performance of acquisitions
by Nont Dhiensiri & Olgun Fuat Sahin & Pattarake Sarajoti - 238-253 Equilibrium real exchange rate in Fiji: an empirical study
by T.K. Jayaraman & Chee-Keong Choong - 254-278 GARCH-class models estimations and value-at-risk analysis for exchange rate
by Samir Mabrouk & Chaker Aloui - 279-296 A simple way to overcome the zero lower bound of interest rates for central banks: Evidence from the Fed and the ECB within the financial crisis
by Jens Klose - 297-308 Revising the structure of the Euro index to improve measurement of movements in the currency markets
by Musa Essayyad & Khaled Albinali & Omar Al-Titi - 309-325 An approximate entropy approach to examine the non-linear dependence in daily Indian exchange rates
by Manish Kumar