Content
December 2021, Volume 19, Issue 1
- 419-441 Estimation of Random Components and Prediction in One and Two-Way Error Component Regression Models
by Subhash C. Sharma & Anil K. Bera
December 2020, Volume 18, Issue 4
- 733-745 Bayesian Estimation and Unit Root Test for Logistic Smooth Transition Autoregressive Process
by Anoop Chaturvedi & Shivam Jaiswal - 747-766 A Comparative Study of Alternative Approaches to Estimate Productivity
by Saleem Shaik & Joseph Atwood - 767-782 Order Flows, Investor Sentiments and Feedback Trade in Index Futures Market
by Ameet Kumar Banerjee & H. K. Pradhan - 783-798 How Do Factor Specificity and Emigration Make Income Inequality Worse in Developing Countries?
by Dambar Uprety - 799-823 Are Current Account Deficits Sustainable? Evidence from Dynamic Panel Data Analysis
by Santosh Kumar Dash - 825-859 Quantile Regression Analysis of Predictors of Calorie Demand in India: An Implication for Sustainable Development Goals
by Biswabhusan Bhuyan & Bimal Kishore Sahoo & Damodar Suar - 861-890 Selective Mortality and Malnutrition in India
by Pallavi Panda - 891-909 Empirical Assessment of Money Demand Stability Under India’s Open Economy: Non-linear ARDL Approach
by Masudul Hasan Adil & Salman Haider & Neeraj R. Hatekar - 911-926 Time-Series Based Empirical Assessment of Random Urban Growth: New Evidence from France
by Aurélie Lalanne & Martin Zumpe - 927-939 Communication Cost, Skilled-Unskilled Wage, and Informality
by Biswajit Mandal & Sujata Ghosh - 941-954 Political Business Cycles, Elections and Entrepreneurial Finance: A Framework
by Rohan Chinchwadkar - 955-957 Asis Kumar Banerjee: Measuring Development: An Inequality Dominance Approach
by Soumyen Sikdar - 959-962 Panchanan Das: Econometrics in Theory and Practice—Analysis of Cross Section, Time Series and Panel Data with Stata 15.1
by Rajarshi Majumder
September 2020, Volume 18, Issue 3
- 471-493 A Theory of Growth and Threshold Inflation with Estimates
by Ravindra H. Dholakia - 495-523 Smoking Behavior of Older Adults: A Panel Data Analysis Using HRS
by Kajal Lahiri & Xian Li - 525-550 Is Exchange Rate Volatility Symmetric to Oil Price Volatility? An Investigation for India
by Vinish Kathuria & Jyotirmayee Sabat - 551-585 A Bayesian Signals Approach for the Detection of Crises
by Panayotis Michaelides & Mike Tsionas & Panos Xidonas - 587-610 Value-at-Risk in the Presence of Structural Breaks Using Unbiased Extreme Value Volatility Estimator
by Dilip Kumar - 611-630 Can Robust Optimization Offer Improved Portfolio Performance? An Empirical Study of Indian market
by Shashank Oberoi & Mohammed Bilal Girach & Siddhartha P. Chakrabarty - 631-655 Comparison of Some Static Hedging Models of Agricultural Commodities Price Uncertainty
by Jules Sadefo Kamdem & Zoulkiflou Moumouni - 657-681 Robust Inference by Sub-sampling
by Nasreen Nawaz - 683-707 Fiscal Deficit and Economic Growth Nexus in India: A Simultaneous Error Correction Approach
by Ranjan Kumar Mohanty - 709-731 Catastrophe Theory Predicts International Concern for Global Warming
by Mohamed M. Mostafa
June 2020, Volume 18, Issue 2
- 235-252 Software-Illustrated Explanations of Econometrics Contributions by CR Rao for his 100-th Birthday
by H. D. Vinod - 253-291 Financial Frictions and Shocks in an Estimated Small Open Economy DSGE Model
by Gan-Ochir Doojav & Kaliappa Kalirajan - 293-326 Simplified Matrix Methods for Multivariate Edgeworth Expansions
by Gubhinder Kundhi & Paul Rilstone - 327-358 Multi-level Determinants of Inward FDI Ownership
by Samyukta Bhupatiraju - 359-381 Bank Lending and Monetary Transmission: Does Politics Matter?
by Saibal Ghosh - 383-402 Understanding the Short Run Relationship Between Stock Market and Growth in Emerging Economies
by Agnirup Sarkar - 403-423 RETRACTED ARTICLE: Google Search Intensity and the Investor Attention Effect: A Quantile Regression Approach
by Vighneswara Swamy & M. Dharani - 425-445 Financial Development Thresholds and the Remittances-Growth Nexus
by Chrysost Bangake & Jude Eggoh - 447-456 Threshold Effect in the Relationship Between External Debt and Economic Growth: A Dynamic Panel Threshold Specification
by Taha Zaghdoudi - 457-470 The New Monetary Policy Framework: What it Means
by Rangarajan Chakravarty
March 2020, Volume 18, Issue 1
- 1-28 Shall One Sit “Longer” for a Free Lunch? Impact of Trading Durations on the Realized Variances and Volatility Spillovers
by Gaurav Raizada & Vartika Srivastava & S. V. D. Nageswara Rao - 29-51 Optimal Decision on Dynamic Insurance Price and Investment Portfolio of an Insurer with Multi-dimensional Time-Varying Correlation
by Hong Mao & Zhongkai Wen - 53-79 Optimal Time Interval Selection in Long-Run Correlation Estimation
by Pedro H. Albuquerque - 81-102 Procyclical Debt as Automatic Stabilizer
by Dennis Wesselbaum - 103-127 Time Varying Efficiency in Indian Sectors: An Event Study on Demonetization
by Samit Paul - 129-142 A Comparative Analysis of the Hedging Effectiveness of Farmgate Milk Prices for New Zealand and United States Dairy Farmers
by Nawazish Mirza & Krishna Reddy & Amir Hasnaoui & Peter Yates - 143-167 The Impact of Cooperative R&D and Advertising on Innovation and Welfare
by Parisa Pourkarimi & Gamal Atallah - 169-189 Time Series Dynamics of Sugar Export Earnings in Fiji with Multiple Endogenous Structural Breaks: Implications for EU Sugar and Industry Reforms
by Janesh Sami - 191-229 Improving Nigeria’s Inflation Forecast with Oil Price: The Role of Estimators
by Moses Tule & Afees Salisu & Charles Chiemeke - 231-234 Economic Properties of Statistical Indices: The Case of a Multidimensional Gini Index: A Correction and an Addition
by Asis Kumar Banerjee
December 2019, Volume 17, Issue 4
- 711-725 Production Sectors and Regions in Macroeconometric Models of India
by Shashanka Bhide - 727-739 Unilateral Support Equilibrium, Berge Equilibrium, and Team Problems Solutions
by Bertrand Crettez - 741-762 Political Risk and Real Exchange Rate: What Can We Learn from Recent Developments in Panel Data Econometrics for Emerging and Developing Countries?
by Mohsen Bahmani-Oskooee & Thouraya Hadj Amor & Ridha Nouira & Christophe Rault - 763-779 An Approach Using Entropy and Supervised Classifications to Disaggregate Agricultural Data at a Local Level
by António Xavier & Rui Fragoso & Maria Belém Costa Freitas & Maria Socorro Rosário - 781-799 Welfare Cost of Inflation: Evidence from India
by Irfan Ahmad Shah & Manmohan Lal Agarwal & Srikanta Kundu - 801-827 Monetary Policy Announcements and Stock Returns: Some Further Evidence from India
by Sashikanta Khuntia & Gourishankar S. Hiremath - 829-855 A Flexible Approach to Age Dependence in Organizational Mortality: Comparing the Life Duration for Cooperative and Non-Cooperative Enterprises Using a Bayesian Generalized Additive Discrete Time Survival Model
by Damien Rousselière - 857-868 When Spillovers Enhance R&D Incentives
by Rittwik Chatterjee & Srobonti Chattopadhyay & Tarun Kabiraj - 869-884 Evidence on Relationship Between Economic Growth and Financial Development of Selected Northern Indian States: Using Panel VEC Approach
by Shravani Sharma & Supran Kumar Sharma - 885-912 Gold as Safe Haven for G-7 Stocks and Bonds: A Revisit
by Syed Jawad Hussain Shahzad & Naveed Raza & David Roubaud & Jose Arreola Hernandez & Stelios Bekiros - 913-935 Analysing Changes in Gender Difference in Learning in Rural India over Time
by Chandan Jain - 937-948 Some Logical and Normative Issues Relating to Measurement in the Social Sciences
by S. Subramanian
September 2019, Volume 17, Issue 3
- 459-475 Imputation of Missing Values in the Fundamental Data: Using MICE Framework
by Balasubramaniam Meghanadh & Lagesh Aravalath & Bhupesh Joshi & Raghunathan Sathiamoorthy & Manish Kumar - 477-512 Gini-PLS Regressions
by Stéphane Mussard & Fattouma Souissi-Benrejab - 513-524 A Hierarchical Stochastic Frontier Model for Efficiency Measurement Under Technology Heterogeneity
by Ioannis Skevas - 525-540 Modeling the Education Supply Chain with Network DEA Model: The Case of Tunisia
by Sourour Ramzi - 541-549 The West African Economic and Monetary Union: Optimality Revisited
by Marcelin W. Diagne - 551-577 Analysing the spillover of inflation in selected Euro-area countries
by Aviral Kumar Tiwari & Muhammad Shahbaz & Haslifah M. Hasim & Mohamed M. Elheddad - 579-601 An Empirical Investigation of Twin Deficits Hypothesis: Evidence from India
by Ranjan Kumar Mohanty - 603-622 Socio-economic Determinants of Multidimensional Poverty in Rural West Bengal: A Household Level Analysis
by Poulomi Roy & Soma Ray & Sushil Kumar Haldar - 623-665 Conventional and Islamic Banks’ Performance in the Gulf Cooperation Council Countries; Efficiency and Determinants
by Ihsen Abid & Mohamed Goaied & Mouldi Ben Ammar - 667-698 Extremal Economic (Inter)Dependence Studies: A Case of the Eastern European Countries
by Roman Matkovskyy - 699-705 Patent Protection and R&D Incentives Under Incomplete Information
by Srobonti Chattopadhyay & Rittwik Chatterjee - 707-709 Dilip M. Nachane: Critique of the new consensus macroeconomics and implications for India
by Kamaiah Bandi & Rajendra N. Paramanik
June 2019, Volume 17, Issue 2
- 251-270 A Recursive Monte Carlo Study of Structural-Break Sensitivity of Adjustment Coefficients in Cointegrated VAR Systems
by Takamitsu Kurita - 271-285 Efficiency Decomposition in two-stage Data Envelopment Analysis: An application to Life Insurance companies in India
by Suvvari Anandarao & S. Raja Sethu Durai & Phanindra Goyari - 287-309 Asymmetric Causality Between Inflation and Uncertainty: Evidences from 33 Developed and Developing Countries
by Mehdi Hajamini - 311-329 Local Leadership and Public Good: Evidence from The National Rural Employment Guarantee Scheme in India
by Ronit Mukherji - 331-343 Inflation Forecast: Just use the Disaggregate or Combine it with the Aggregate
by Kausik Chaudhuri & Saumitra N. Bhaduri - 345-360 Evaluation of the Survey of Professional Forecasters in the Greenbook’s Loss Function
by Tae-Hwy Lee & Yiyao Wang - 361-375 Government Expenditures and Revenues in Italy in a Long-run Perspective
by Gordon L. Brady & Cosimo Magazzino - 377-396 Non-farm Income and Consumption Expenditures in Rural Bangladesh: Empirical Evidence from Multilevel Regression Modelling
by M. J. Hossain & A. K. M. Abdullah Al-Amin - 397-420 New Evidence on the Relationship Between Crude Oil Consumption and Economic Growth in the US: A Quantile Causality and Cointegration Approach
by Amine Lahiani & Ramzi Benkraiem & Anthony Miloudi & Muhammad Shahbaz - 421-432 Zakat and Poverty Alleviation in Tunisia Using the Fuzzy Approach
by Mejda Bouanani & Besma Belhadj - 433-446 Application of Neural Networks to Short Time Series Composite Indexes: Evidence from the Nonlinear Autoregressive with Exogenous Inputs (NARX) Model
by Roman Matkovskyy & Taoufik Bouraoui - 447-457 The Inefficiency of Litecoin: A Dynamic Analysis
by R. K. Jana & Aviral Kumar Tiwari & Shawkat Hammoudeh
March 2019, Volume 17, Issue 1
- 1-9 Ranking Investments Using the Lorenz Curve
by Doron Nisani - 11-39 Regional Convergence in the Russian Federation: Spatial and Temporal Dynamics
by Jens K. Perret - 41-56 Economic Properties of Statistical Indices: The Case of a Multidimensional Gini Index
by Asis Kumar Banerjee - 57-91 Robust Volatility Estimation with and Without the Drift Parameter
by Muneer Shaik & S. Maheswaran - 93-120 Globalisation and Gender Inequality: Evidence from Labour Market in India
by Shamim Ara - 121-151 Gender Wage Gap: Some Recent Evidences from India
by Somasree Poddar & Ishita Mukhopadhyay - 153-165 On the Instability of Tunisian Money Demand: Some Empirical Issues with Structural Breaks
by Nidhal Mgadmi & Houssem Rachdi & Hichem Saidi & Khaled Guesmi - 167-196 Drivers of Forest Ecosystem Change in Purnapani Area: Empirical Evidence and Policy Suggestions
by Narendra N. Dalei & Yamini Gupt - 197-213 On General and Specific Transfers for Child Support in Divorce
by Tilak Sanyal & Vivekananda Mukherjee - 215-236 A Study on Happiness and Related Factors Among Indian College Students
by Bidisha Chakraborty & Souparna Maji & Anamika Sen & Isha Mallik & Sayantan Baidya & Esha Dwibedi - 237-248 Towards India’s New Fiscal Federalism
by Vijay Kelkar - 249-250 Book Review: “Oligopoly, Auctions and Market Quality” by Krishnendu Ghosh Dastidar
by Arunava Sen
September 2018, Volume 16, Issue 3
- 615-629 Gender Differences in Health Expenditure of Rural Cancer Patients: Evidence from a Public Tertiary Care Facility in India
by Akansha Batra & Indrani Gupta & Abhiroop Mukhopadhyay - 631-646 Forecasting Inflation Rate: Professional Against Academic, Which One is More Accurate
by Hossein Hassani & Jan Coreman & Saeed Heravi & Joshy Easaw - 647-680 Inequality in Food Expenditure in India and the Contributing Factors
by Kakoli Borkotoky & Sayeed Unisa - 681-707 What Can We Learn About the Real Exchange Rate Behavior in the Case of a Peripheral Country?
by Zied Ftiti & Slim Chaouachi - 709-725 Health Policy Changes and Its Effect on Equity in Healthcare Financing in India
by Swadhin Mondal - 727-747 Performance and Persistence in Performance of Actively Managed Chinese Equity Funds
by Zia-ur-Rehman Rao & Tanveer Ahsan & Muhammad Zubair Tauni & Muhammad Umar - 749-767 Fee vs. Royalty Licensing and Consumers’ Welfare
by Tarun Kabiraj - 769-786 Quantifying the Landlocked Trade Penalty using Structural Gravity
by Alexander J. Moore - 787-810 Foreign Direct Investment and Rural Farm and Nonfarm Sectors in a Developing Economy
by Sarbajit Chaudhuri & Arnab Ghosh & Sattiki Deb - 811-830 Costing for Elevation in Development Expenditure: Illustrative Evidence from India
by Purnamita Dasgupta & Bishwanath Goldar - 831-840 A Two-Sector Model of Creative Capital Driven Regional Economic Growth
by Amitrajeet A. Batabyal & Peter Nijkamp - 841-851 Agricultural Fluctuations and Demographic Crisis in British India (1820–1870): A Case Study
by Panchanan Das & Amiya Kumar Bagchi - 853-861 Partially Altruistic Choice in Presence of Consensus Bias
by Sumit Sarkar & Arundhati Sarkar Bose
June 2018, Volume 16, Issue 2
- 313-335 Modeling and Forecasting Unbiased Extreme Value Volatility Estimator in Presence of Leverage Effect
by Dilip Kumar - 337-362 Business Cycle and Financial Cycle Interdependence and the Rising Role of China in SAARC
by Wasim Ahmad & Sanjay Sehgal - 363-388 Integration of Financial Markets in Post Global Financial Crises and Implications for British Financial Sector: Analysis Based on A Panel VAR Model
by Muhammad Ali Nasir & Min Du - 389-425 Stock Market Integration Dynamics and its Determinants in the East Asian Economic Community Region
by Sanjay Sehgal & Piyush Pandey & Florent Deisting - 427-473 On the Dynamic Linkages Among International Emerging Currencies
by Zouheir Mighri - 475-500 Credit Risk Capital Estimation Under IRB Approach for Banks in India
by Richa Verma Bajaj - 501-525 Regional Incentives and Location Choice of New Firms in India: A Nested Logit Model
by Nalin Kumar Ramaul & Pinki Ramaul - 527-552 Electoral Cycles and Project Outcomes
by Saibal Ghosh - 553-571 Skill Formation, Public Expenditure on Education and Wage Inequality: Theory and Evidence
by Anindya Biswas & Sarbajit Chaudhuri - 573-588 From Income to Household Welfare: Lessons from Refrigerator Ownership in India
by Sowmya Dhanaraj & Vidya Mahambare & Poonam Munjal - 589-594 Do the Maids Get a Meager Pie?
by Sahana Roy Chowdhury - 595-611 A Note on Conditional Variance and Decaying Rate: Chinese Equity Market
by Amanjot Singh - 613-613 Correction to: Gender Wage Inequality and Economic Recession
by Somasree Poddar
December 2018, Volume 16, Issue 1
- 1-21 Some Basic Issues in Time Series Modelling
by Bandi Kamaiah - 23-46 Estimating Sectoral Disinflation Cost in India: Some Structural VAR Evidence
by Dinabandhu Sethi & Debashis Acharya - 47-85 Government Expenditure in India: Composition and Multipliers
by Ashima Goyal & Bhavyaa Sharma - 87-119 Targeting Debt and Deficits in India: A Structural Macroeconometric Approach
by N. R. Bhanumurthy & Sukanya Bose & Parma Chakravartti - 121-142 Do Macroeconomics Channels Matter for Examining Relationship Between Public Debt and Economic Growth in India?
by Debi Prasad Bal & Badri Narayan Rath - 143-162 Spillover Effects of Real and Nominal Uncertainties in India
by B. Balaji & S. Raja Sethu Durai & M. Ramachandran - 163-185 Financial Liberalization and Allocation of Capital: Dark Side of the Moon
by Saumitra Bhaduri & Aditi Bhattacharya - 187-198 Macroeconomic Determinants of Crime: Evidence from India
by Devika Hazra & Zhen Cui - 199-207 Is PMI Useful in Quarterly GDP Growth Forecasts for India? An Exploratory Note
by Sangeeta Das & Dipankor Coondoo - 209-228 Some Economics of Fertiliser Subsidy
by Mihir Rakshit
March 2018, Volume 16, Issue 1
- 1-12 Individual Freedom and Welfare Economics
by Prasanta K. Pattanaik - 13-35 Evolving Efficiency of Dually-Listed Indian Stocks: A Nonlinear Perspective
by Vinodh Madhavan & Partha Ray - 37-56 Stabilization of Mortgage Price Dynamics Using a Boundary PDE Feedback Control Approach
by G. Rigatos & P. Siano - 57-88 Ad-Hoc Black–Scholes vis-à-vis TSRV-based Black–Scholes: Evidence from Indian Options Market
by Alok Dixit & Shivam Singh - 89-99 On the Dynamics of Inflation-Stock Returns in India
by Avishek Bhandari & Kamaiah Bandi - 101-127 Covariate and Idiosyncratic Shocks and Coping Strategies for Poor and Non-poor Rural Households in India
by Kailash Chandra Pradhan & Shrabani Mukherjee - 129-154 Price Discovery and Efficiency of Indian Agricultural Commodity Futures Market: An Empirical Investigation
by Sarveshwar Kumar Inani - 155-171 Gender Wage Inequality and Economic Recession
by Somasree Podder - 173-183 Demographic Transition and Economic Development in Karnataka
by M. N. Megeri & G. Manoj Kumar - 185-225 Information Transmission between Mature and Emerging Equity Markets During Normal and Crisis Periods: An Empirical Examination
by Sanjay Sehgal & Payal Jain & Florent Deisting - 227-233 Marital Infidelity: A Game-Theoretic Analysis
by Amitrajeet A. Batabyal - 235-264 Value-Added Trade and Empirical Distributions of RCA Indices
by Kaveri Deb & Bodhisattva Sengupta - 265-288 Determinants of Nominal Interest Rates in India
by Biswajit Maitra - 289-307 On Standard-Error-Decreasing Complementarity: Why Collinearity is Not the Whole Story
by Bernd Hayo - 309-312 Macroeconomics and Markets in Developing and Emerging Economies by Ashima Goyal
by Gourishankar S. Hiremath
September 2017, Volume 15, Issue 3
- 427-449 Is the Hybrid New Keynesian Phillips Curve Stable? Evidence from Some Emerging Economies
by Kushal Banik Chowdhury & Nityananda Sarkar - 451-459 A New Sufficient Condition for a Berge Equilibrium to be a Berge–Vaisman Equilibrium
by Bertrand Crettez - 461-488 Competition or Comparative Advantage: What Drives Cross Border Mergers and Acquisitions?
by Poonam Mehra Singh - 489-508 Improvement of a Bio-Economic Mathematical Programming Model in the Case of On-Farm Source Inputs and Outputs
by Parisa Aghajanzadeh-Darzi & Pierre-Alain Jayet & Athanasios Petsakos - 509-541 Do Technological Conditions of Production Explain Industrial Growth? The Indian Manufacturing, 1998–1999 to 2007–2008
by Alokesh Barua & Bishwanath Goldar & Himani Sharma & Priyanta Ghosh - 543-564 Dynamic Performance Benchmarking of Indian General Insurers
by Ram Pratap Sinha - 565-581 ASEAN Plus Three Stock Markets Integration
by Khaled Guesmi & Olfa Kaabia & Ilyes Abid - 583-610 Forecasting Turkey’s Credit Ratings with Multivariate Grey Model and Grey Relational Analysis
by Abdulkerim Karaaslan & Kürşat Özgür Özden - 611-628 Fisher’s Effect: An Empirical Examination Using India’s Time Series Data
by Jamaladeen Abubakar & K. Jothi Sivagnanam - 629-646 Determinants of India’s Exports
by C. Rangarajan & R. Kannan - 647-649 The Economics of Child Labour in the Era of Globalization: Policy Issues By Sarbajit Chaudhuri and Jayanta Kumar Dwibedi Routledge, 2017
by Saqib Jafarey
June 2017, Volume 15, Issue 2
- 209-226 Macroeconomic Modelling and Bayesian Methods
by Pami Dua - 227-240 A Theoretical Framework for Understanding Transnational Public Goods (TPGs) to Upgrade Environmental Quality
by Parag Chandra & Saptorshee Kanto Chakraborty - 241-263 Measuring Inequality of Access to Higher Education in India
by Vani K. Borooah - 265-289 Investment, Uncertainty and Credit Market Imperfection in India
by Vikash Gautam & Vikash Vaibhav - 291-305 Impact of Socio-Economic factors on Consumption Expenditure through Public Distribution System in rural India
by Mukesh & Neha Srivastava - 307-328 Growth Convergence and Regional Inequality in India (1981–2012)
by Aparna Lolayekar & Pranab Mukhopadhyay - 329-342 Is USD-INR Really an Excessively Volatile Currency Pair?
by Parthajit Kayal & S. Maheswaran - 343-366 Competition and Industry Performance: A Panel VAR Analysis in Indian Manufacturing Sector
by Jhuma Mukhopadhyay & Indrani Chakraborty - 367-393 Sunk Costs, Firm Heterogeneity, Export Market Entry and Exit: Evidence from India
by M. Padmaja & Subash Sasidharan - 395-422 Changing Contours of Income Stratification and Decomposition of Income Inequality: Evidence from Recent Longitudinal Survey in India
by Aswini Kumar Mishra & Viral M. Parmar - 423-426 Votes, Parties and Seats : A Quantitative Analysis of Indian Parliamentary Elections, 1962–2014 by Vani Kant Borooah
by Dilip M. Nachane
March 2017, Volume 15, Issue 1
- 1-14 Too Small to Regulate
by Kaushik Basu & Avinash Dixit - 15-26 On the Inconsistency of Instrumental Variables Estimators for the Coefficients of Certain Dummy Variables
by David E. Giles - 27-44 How Costly is the Deliberate Disinflation in India? Estimating the Sacrifice Ratio
by Ravindra H. Dholakia & Kadiyala Sri Virinchi - 45-74 Benchmarking Banking Efficiency Using a Meta-Profit Function
by Ihsen Abid & Mohamed Goaied - 75-99 Growth in India’s Service Sector: Implications of Structural Breaks
by Purba Roy Choudhury & Biswajit Chatterjee - 101-120 India’s Potential Output Revisited
by Barendra Kumar Bhoi & Harendra Kumar Behera - 121-149 Spatial Convergence and Growth in Indian Agriculture: 1967–2010
by Tirtha Chatterjee - 151-171 Hedging in Presence of Crop Yield, Crop Revenue and Rainfall Insurance
by Thiagu Ranganathan & Usha Ananthakumar - 173-196 Gender Bias in Education in West Bengal
by Amita Majumder & Chayanika Mitra - 197-208 A Short Note on Information Transmissions Across US-BRIC Equity Markets: Evidence from Volatility Spillover Index
by Amanjot Singh & Parneet Kaur
December 2016, Volume 14, Issue 2
- 167-178 Optimal Controls for a Large Insurance Under a CEV Model: Based on the Legendre Transform-Dual Method
by Kun Wu & Weixing Wu - 179-198 Clustering of Territorial Areas: A Multi-Criteria Districting Problem
by Rui Fragoso & Conceição Rego & Vladimir Bushenkov - 199-215 Long Range Dependence in the Indian Stock Market: Evidence of Fractional Integration, Non-Linearities and Breaks
by Luis A. Gil-Alana & Trilochan Tripathy - 217-236 Optimal Organization of Surrogacy Contracts and Underinvestment
by Amrita Pramanick & Swapnendu Banerjee - 237-255 Inflation Dynamics in India: Relative Role of Structural and Monetary Factors
by Biswajit Maitra - 257-282 Determinants of Public Expenditure on Health in India: A Panel Data Analysis at Sub-National Level
by Shailender Kumar Hooda - 283-300 Productivity, Energy Intensity and Output: A Unit Level Analysis of the Indian Manufacturing Sector
by Santosh Kumar Sahu & Himani Sharma - 301-321 Economic Reforms and Gender-Based Wage Inequality in the Presence of Factor Market Distortions
by Somasree Poddar & Sarbajit Chaudhuri - 323-344 Volatility and Market Risk of Rubber Price in Malaysia: Pre- and Post-Global Financial Crisis
by Han Hwa Goh & Kim Leng Tan & Chia Ying Khor & Sew Lai Ng - 345-354 A Game Model of New and Remanufactured Goods, Brown and Green Consumers, and Market Share Dominance
by Amitrajeet A. Batabyal & Hamid Beladi - 355-358 Principles of Econometrics: A Modern Approach Using Eviews by Sankar Kumar Bhaumik
by Poonam Singh
June 2016, Volume 14, Issue 1
- 1-14 The Dynamics Between Inflation and Inflation Uncertainty: Evidence from India
by B. Balaji & S. Raja Sethu Durai & M. Ramachandran - 15-27 The Role of the Business Cycle in Exchange Rate Pass-Through: The Case of Finland
by Nidhaleddine Ben Cheikh & Christophe Rault - 29-56 Determinants of Industrial Location Choice in India: A Polychoric Principal Component Analysis Approach
by Nalin Kumar Ramaul & Pinki Ramaul - 57-86 Determinants and Forecast of Price Level in India: a VAR Framework
by Cindrella Shah & Nilesh Ghonasgi - 87-116 Domestic Energy Consumption and Country’s Income Growth: A Quantitative Analysis of Developing and Developed Countries Using Panel Causality, Panel VECM, Panel Cointegration and SURE
by Somesh K. Mathur & Rahul Arora & Ishita Ghoshal & Sarbjit Singh - 117-136 Impact of Payment Technology on Seasonality of Currency in Circulation: Evidence from the USA and India
by Kaushik Bhattacharya & Sunny Kumar Singh - 137-150 Modeling Jumps and Volatility of the Indian Stock Market Using High-Frequency Data
by Rituparna Sen & Pulkit Mehrotra - 151-158 An Application of Quah and Vahey’s SVAR Methodology for Estimating Core Inflation in India: A Note
by Joice John & Abhiman Das & Sanjay Singh - 159-165 K.V. Ramaswamy: Labour, Employment and Economic Growth in India
by Shashanka Bhide
July 2006, Volume 4, Issue 2
- 1-1 In Memory of Milton Friedman, a Great Economic Scientist and Person
by Arnold Zellner - 1-13 Wavelet Analysis of Price and Volatility Spillovers in Stock Markets: The Case of India and the US
by Pratap Chandra Biswal & Prabir Kumar Mohanty - 14-24 Application of Stein-Rule Estimation to Linear Regression Models with Some Missing Observations
by H. Toutenburg & V. K. Srivastava & C. Heumann