Details about Nicholas Apergis
Access statistics for papers by Nicholas Apergis.
Last updated 2024-11-06. Update your information in the RePEc Author Service.
Short-id: pap5
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Working Papers
2022
- Do gasoline and diesel prices co-move? Evidence from the time–frequency domain
Post-Print, HAL View citations (3)
2021
- Does Climate Policy Uncertainty Affect Tourism Demand? Evidence from Time-Varying Causality Tests
Working Papers, University of Pretoria, Department of Economics View citations (1)
See also Journal Article Does climate policy uncertainty affect tourism demand? Evidence from time-varying causality tests, Tourism Economics (2023) (2023)
2019
- How do human rights violations affect poverty and income distribution?
WIDER Working Paper Series, World Institute for Development Economic Research (UNU-WIDER)
See also Journal Article How do human rights violations affect poverty and income distribution?, International Economics, Elsevier (2020) View citations (2) (2020)
2018
- Electricity supply shocks and economic growth across the US states: evidence from a time-varying Bayesian panel VAR model, aggregate and disaggregate energy sources
MPRA Paper, University Library of Munich, Germany View citations (2)
- Globalisation, Economic Growth and Energy Consumption in the BRICS Region: The Importance of Asymmetries
MPRA Paper, University Library of Munich, Germany View citations (28)
See also Journal Article Globalisation, economic growth and energy consumption in the BRICS region: The importance of asymmetries, The Journal of International Trade & Economic Development, Taylor & Francis Journals (2018) View citations (28) (2018)
2016
- An Analysis of the Relationship between U.S. State Level Carbon Dioxide Emissions and Health Care Expenditure
Working Papers, University of Pretoria, Department of Economics View citations (1)
- Can Weather Conditions in New York Predict South African Stock Returns?
Working Papers, University of Pretoria, Department of Economics
- Convergence in Income Inequality: Further Evidence from the Club Clustering Methodology across the U.S. States
Working papers, University of Connecticut, Department of Economics
Also in Working Papers, University of Pretoria, Department of Economics (2015)
- Does Geopolitical Risks Predict Stock Returns and Volatility of Leading Defense Companies? Evidence from a Nonparametric Approach
Working Papers, University of Pretoria, Department of Economics View citations (14)
2015
- Convergence of Health Care Expenditures across the US States: A Reconsideration
Working Papers, University of Pretoria, Department of Economics View citations (2)
See also Journal Article Convergence of Health Care Expenditures Across the US States: A Reconsideration, Social Indicators Research: An International and Interdisciplinary Journal for Quality-of-Life Measurement, Springer (2017) View citations (3) (2017)
- Does Renewable Energy Consumption and Health Expenditure Decrease Carbon Dioxide Emissions? Evidence for sub-Saharan Africa Countries
MPRA Paper, University Library of Munich, Germany View citations (2)
See also Journal Article Does renewable energy consumption and health expenditures decrease carbon dioxide emissions? Evidence for sub-Saharan Africa countries, Renewable Energy, Elsevier (2018) View citations (61) (2018)
- Hydroelectricity Consumption and Economic Growth Nexus: Evidence from a Panel of Ten Largest Hydroelectricity Consumers
Working Papers, University of Pretoria, Department of Economics
See also Journal Article Hydroelectricity consumption and economic growth nexus: Evidence from a panel of ten largest hydroelectricity consumers, Renewable and Sustainable Energy Reviews, Elsevier (2016) View citations (14) (2016)
- Identifying Asymmetries between Socially Responsible and Conventional Investments
Working Papers, University of Pretoria, Department of Economics View citations (2)
2014
- Are there Environmental Kuznets Curves for US State-Level CO2 Emissions?
Working Papers, University of Pretoria, Department of Economics View citations (3)
See also Journal Article Are there Environmental Kuznets Curves for US state-level CO2 emissions?, Renewable and Sustainable Energy Reviews, Elsevier (2017) View citations (42) (2017)
- Causal relationship between asset prices and output in the US: Evidence from state-level panel Granger causality test
Working Papers, University of Pretoria, Department of Economics View citations (21)
- Dutch Disease Effect of Oil Rents on Agriculture Value Added in MENA Countries
Working Papers, University of Pretoria, Department of Economics View citations (32)
- Energy Efficiency of Selected OECD Countries: A Slacks Based Model with Undesirable Outputs
Working Papers, University of Pretoria, Department of Economics
See also Journal Article Energy efficiency of selected OECD countries: A slacks based model with undesirable outputs, Energy Economics, Elsevier (2015) View citations (58) (2015)
- The Asymmetric Effect of Oil Price on Growth across US States
Working Papers, University of Pretoria, Department of Economics
- The Dynamic Linkage between CO2 emissions, Economic Growth, Renewable Energy Consumption, Number of Tourist Arrivals and Trade
MPRA Paper, University Library of Munich, Germany View citations (14)
- The dynamic interaction between combustible renewables and waste consumption and international tourism: The case of Tunisia
MPRA Paper, University Library of Munich, Germany View citations (6)
2013
- Convergence in Provincial-Level South African House Prices: Evidence from the Club Convergence and Clustering Procedure
Working Papers, University of Pretoria, Department of Economics
See also Journal Article CONVERGENCE IN PROVINCIAL-LEVEL SOUTH AFRICAN HOUSE PRICES: EVIDENCE FROM THE CLUB CONVERGENCE AND CLUSTERING PROCEDURE, Review of Urban & Regional Development Studies, Wiley Blackwell (2015) View citations (12) (2015)
- Forecasting fiscal variables: Only a strong growth plan can sustain the Greek austerity programs - Evidence from simultaneous and structural models
CAMA Working Papers, Centre for Applied Macroeconomic Analysis, Crawford School of Public Policy, The Australian National University
- New Evidence on the Remedies of the Greek Sovereign Debt Problem
GreeSE – Hellenic Observatory Papers on Greece and Southeast Europe, Hellenic Observatory, LSE View citations (16)
Also in LSE Research Online Documents on Economics, London School of Economics and Political Science, LSE Library (2013) View citations (16)
- The Dynamic Relationship between House Prices and Output: Evidence from US Metropolitan Statistical Areas
Working Papers, University of Pretoria, Department of Economics View citations (4)
- The Long-Run Relationship between Consumption, House Prices and Stock Prices in South Africa: Evidence from Provincial-Level Data
Working Papers, University of Pretoria, Department of Economics View citations (3)
See also Journal Article The Long-Run Relationship Between Consumption, House Prices, and Stock Prices in South Africa: Evidence from Provincial-level Data, Journal of Real Estate Literature, Taylor & Francis Journals (2014) (2014)
2012
- Country and Industry Convergence of Equity Markets: International Evidence from Club Convergence and Clustering
Working papers, University of Connecticut, Department of Economics View citations (1)
Also in Working Papers, University of Nevada, Las Vegas , Department of Economics (2011) View citations (11)
See also Journal Article Country and industry convergence of equity markets: International evidence from club convergence and clustering, The North American Journal of Economics and Finance, Elsevier (2014) View citations (28) (2014)
- The Bank Lending Channel and Monetary Policy Rules for European Banks: Further Extensions
Working Papers, University of Nevada, Las Vegas , Department of Economics View citations (1)
Also in Working papers, University of Connecticut, Department of Economics (2012) View citations (1)
- What Are the Driving Factors behind the Rise of Spreads and CDSs of Euro-area Sovereign Bonds? A FAVAR Model for Greece and Ireland
Economics Working Paper Archive, Levy Economics Institute
See also Journal Article What are the driving factors behind the rise of spreads and CDS of euro-area sovereign bonds? A FAVAR model for Greece and Ireland, International Journal of Economics and Business Research, Inderscience Enterprises Ltd (2014) View citations (3) (2014)
2011
- Characteristics of inflation in Greece: Mean Spillover Effects among CPI Components
GreeSE – Hellenic Observatory Papers on Greece and Southeast Europe, Hellenic Observatory, LSE View citations (35)
Also in LSE Research Online Documents on Economics, London School of Economics and Political Science, LSE Library (2011) View citations (34)
- Convergence Patterns in Financial Development: Evidence from Club Convergence
Working Papers, University of Nevada, Las Vegas , Department of Economics
Also in Working papers, University of Connecticut, Department of Economics (2010) View citations (2)
See also Journal Article Convergence patterns in financial development: evidence from club convergence, Empirical Economics, Springer (2012) View citations (23) (2012)
- Credit rating changes’ impact on banks: evidence from the US banking industry
MPRA Paper, University Library of Munich, Germany
- The Greek Sovereign Debt Crisis: Testing for Regime Changes
Working Paper series, Rimini Centre for Economic Analysis View citations (2)
2009
- Do Structural Oil-Market Shocks Affect Stock Prices?
Working Papers, University of Nevada, Las Vegas , Department of Economics View citations (440)
Also in Working papers, University of Connecticut, Department of Economics (2008) View citations (7)
See also Journal Article Do structural oil-market shocks affect stock prices?, Energy Economics, Elsevier (2009) View citations (450) (2009)
2008
- Innovation, Technology Transfer and Labor Productivity Linkages: Evidence from a Panel of Manufacturing Industries
Working Papers, Utrecht School of Economics View citations (17)
See also Journal Article Innovation, Technology Transfer and Labor Productivity Linkages: Evidence from a Panel of Manufacturing Industries, Review of World Economics (Weltwirtschaftliches Archiv), Springer (2008) View citations (14) (2008)
- International Technology Spillovers, Human Capital and Productivity Linkages: Evidence from the Industrial
Working Papers, Utrecht School of Economics View citations (2)
2007
- Total Factor Productivity and Monetary Policy: Evidence from Conditional Volatility
Working papers, University of Connecticut, Department of Economics
See also Journal Article Total Factor Productivity and Monetary Policy: Evidence from Conditional Volatility, International Finance, Wiley Blackwell (2007) (2007)
2006
- Consumption Asymmetry and the Stock Market: Empirical Evidence
Working papers, University of Connecticut, Department of Economics View citations (91)
See also Journal Article Consumption asymmetry and the stock market: Empirical evidence, Economics Letters, Elsevier (2006) View citations (86) (2006)
2005
- Consumption asymmetry and the stock market: New evidence through a threshold adjustment model
Working papers, University of Connecticut, Department of Economics View citations (9)
- Inflation Targeting and Output Growth: Evidence from Aggregate European Data
Working papers, University of Connecticut, Department of Economics View citations (6)
- Resurrecting the Wealth Effect on Consumption: Further Analysis and Extension
Working papers, University of Connecticut, Department of Economics View citations (5)
2004
- Consumption Asymmetry and the Stock Market: Further Evidence
Working papers, University of Connecticut, Department of Economics View citations (7)
Journal Articles
2024
- COVID-19 and US females’ portfolio decisions
International Review of Economics & Finance, 2024, 95, (C)
- Convergence of public expenditures and revenues in EU28 during 2002–2019: Evidence from club‐clustering analysis before and after the European debt crisis
International Journal of Finance & Economics, 2024, 29, (2), 1856-1876
- Crafting monetary policy beyond low carbon legacy
International Review of Economics & Finance, 2024, 91, (C), 764-781
- Does classification of green aid flows matter for environmental quality?
Empirical Economics, 2024, 66, (1), 53-73
- Does environmental policy stringency discourage inbound tourism in the G7 countries? Evidence from panel quantile regression
Environment, Development and Sustainability: A Multidisciplinary Approach to the Theory and Practice of Sustainable Development, 2024, 26, (6), 15109-15123
- Emissions Prices, Commodity Futures, Equity Prices, and Geopolitical Risks Dependence Structure: Implications for Portfolio Diversification
Emerging Markets Finance and Trade, 2024, 60, (14), 3237-3253
- Euro area inflation in the era of COVID‐19: A permanent or a transitory phenomenon?
Manchester School, 2024, 92, (3), 231-245
- Eurozone inflation: fresh projections from global factors
Economics and Business Letters, 2024, 13, (1), 39-47
- Extreme co-movements between CO2 emission allowances and commodity markets and their response to economic policy uncertainty
Energy Economics, 2024, 138, (C)
- Extreme co-movements between decomposed oil price shocks and sustainable investments
Energy Economics, 2024, 134, (C)
- Local stock liquidity and local factors: Fresh evidence from US firms across states
Research in International Business and Finance, 2024, 67, (PA)
- Monetary policy shocks and corporate cash holdings: New European evidence
Economics Letters, 2024, 237, (C)
- Pandemic, sentiments over COVID-19, and EU convergence
Empirical Economics, 2024, 66, (4), 1683-1707
- Temperature shocks and stock returns: evidence from major markets
Applied Economics Letters, 2024, 31, (17), 1757-1765
- The presence of a latent factor in gasoline and diesel prices co-movements
Empirical Economics, 2024, 66, (5), 1921-1939
- The role of COVID-19 in herding: evidence from the Croatian stock market
Applied Economics, 2024, 56, (36), 4363-4373
- The role of Covid-19 in bank profitability convergence: evidence from a sample of US banks and club clustering
Applied Economics, 2024, 56, (10), 1155-1166 View citations (1)
- The role of loan loss provisions in income inequality: Evidence from a sample of banking institutions
Journal of Financial Stability, 2024, 73, (C)
2023
- Another look at contagion across United States and European financial markets: Evidence from the credit default swaps markets
International Journal of Finance & Economics, 2023, 28, (1), 1137-1155
- Challenges for sustainable productivity in developing economies: shortage of energy and corruption
Journal of Chinese Economic and Business Studies, 2023, 21, (2), 239-261
- Club convergence and factors of income inequality in the European Union
International Journal of Finance & Economics, 2023, 28, (4), 3654-3666
- Correction to: does economic structure matter for income inequality?
Quality & Quantity: International Journal of Methodology, 2023, 57, (6), 5739-5739
- Corruption and partisan polarization: evidence from the European Union
Empirical Economics, 2023, 64, (1), 277-301
- Do weather disasters affect banks’ systemic risks? Two channels that confirm it
Applied Economics Letters, 2023, 30, (14), 1936-1939 View citations (1)
- Does climate policy uncertainty affect tourism demand? Evidence from time-varying causality tests
Tourism Economics, 2023, 29, (6), 1484-1498
See also Working Paper Does Climate Policy Uncertainty Affect Tourism Demand? Evidence from Time-Varying Causality Tests, Working Papers (2021) View citations (1) (2021)
- Does economic structure matter for income inequality?
Quality & Quantity: International Journal of Methodology, 2023, 57, (3), 2507-2527 View citations (3)
- Dynamic connectedness between COVID-19 news sentiment, capital and commodity markets
Applied Economics, 2023, 55, (24), 2740-2754 View citations (2)
- Forecasting energy prices: Quantile‐based risk models
Journal of Forecasting, 2023, 42, (1), 17-33
- Household choices on investing in financial risky assets: Do national institutional factors have their own merit?
International Journal of Finance & Economics, 2023, 28, (1), 405-420
- ICT Capital Formation, Unemployment, and the Solow Paradox
International Journal of the Economics of Business, 2023, 30, (1), 79-105
- Modelling Australian electricity prices using indicator saturation
Energy Economics, 2023, 120, (C) View citations (3)
- Realized higher-order moments spillovers across cryptocurrencies
Journal of International Financial Markets, Institutions and Money, 2023, 85, (C) View citations (9)
- Religion groups and portfolio choice decisions: Evidence from UK households
Finance Research Letters, 2023, 54, (C)
- The connectedness between green and conventional bond yields during the COVID-19 crisis: The role of the vaccination process
Economics Letters, 2023, 224, (C) View citations (3)
- The dynamic relationship between climate policy uncertainty and renewable energy in the US: Applying the novel Fourier augmented autoregressive distributed lags approach
Energy, 2023, 275, (C) View citations (15)
- The economic sustainability of optimizing feedstock imports with environmental constraints
Socio-Economic Planning Sciences, 2023, 87, (PB)
- The impact of COVID-19 on stock market liquidity: Fresh evidence on listed Chinese firms
International Review of Financial Analysis, 2023, 90, (C) View citations (1)
- The role of the COVID-19 pandemic in US market volatility: Evidence from the VIX index
The Quarterly Review of Economics and Finance, 2023, 89, (C), 27-35 View citations (1)
- US partisan conflict uncertainty and households' access to bank credit: Evidence from UK survey data
Global Finance Journal, 2023, 56, (C)
2022
- A technical efficiency analysis of intra-central bank settlement mechanism in Eurozone
Applied Economics, 2022, 54, (31), 3635-3653
- Borrower- and lender-based macroprudential policies: What works best against bank systemic risk?
Journal of International Financial Markets, Institutions and Money, 2022, 80, (C) View citations (8)
- CDS spreads and COVID-19 pandemic
Journal of International Financial Markets, Institutions and Money, 2022, 76, (C) View citations (6)
- COVID-19 and cryptocurrency volatility: Evidence from asymmetric modelling
Finance Research Letters, 2022, 47, (PA) View citations (6)
- COVID-19 pandemic, stock returns, and volatility: the role of the vaccination program in Canada
Applied Economics, 2022, 54, (42), 4825-4838 View citations (5)
- Climate factor and banks’ resilience: Evidence from US banks
Economics and Business Letters, 2022, 11, (4), 143-149
- College student loan debt and income inequality in the US: national and regional evidence
Journal of Economic Studies, 2022, 50, (6), 1210-1225
- Convergence in non-performing loans across EU banks: The role of COVID-19
Cogent Economics & Finance, 2022, 10, (1), 2024952 View citations (4)
- Do Remittances Promote Economic Growth? New Evidence from India
Economic Issues Journal Articles, 2022, 27, (1), 11-37 View citations (1)
- ESG scores and cost of debt
Energy Economics, 2022, 112, (C) View citations (41)
- Energy poverty and education: Fresh evidence from a panel of developing countries
Energy Economics, 2022, 106, (C) View citations (39)
- Evaluating tail risks for the U.S. economic policy uncertainty
International Journal of Finance & Economics, 2022, 27, (4), 3971-3989
- Financial frictions in the US: asymmetric effects per industry
Applied Economics Letters, 2022, 29, (8), 767-771
- Holidays and economic growth: Evidence from a panel of Indian states
Economics of Transition and Institutional Change, 2022, 30, (1), 33-50
- Hotel Revenue Convergence: Evidence Across Star Hotels in Chinese Provinces
Atlantic Economic Journal, 2022, 50, (1), 37-51
- Industry momentum and reversals in stock markets
International Journal of Finance & Economics, 2022, 27, (3), 3093-3138 View citations (1)
- Investigating the role of globalization, and energy consumption for environmental externalities: Empirical evidence from developed and developing economies
Renewable Energy, 2022, 183, (C), 219-228 View citations (43)
- Money Market Funds (MMFs) and the Covid-19 pandemic: Has the MMLF benefited money markets?
Finance Research Letters, 2022, 46, (PA) View citations (1)
- Nonlinear responses of consumption to wealth, income, and interest rate shocks
Empirical Economics, 2022, 63, (3), 1293-1335
- Overconfidence and US stock market returns
Finance Research Letters, 2022, 45, (C) View citations (5)
- Residential Housing Prices, COVID-19 and the Role of the Vaccination Program: Evidence from US State Panel Data
International Real Estate Review, 2022, 25, (4), 461-478
- Reverse Immigration Effects for Expatriates in Oman During the COVID-19 Pandemic Shock
International Advances in Economic Research, 2022, 28, (1), 19-37
- The determinants of aggregate fluctuations: The role of firm‐borrowing channels
Manchester School, 2022, 90, (1), 20-34
- The impacts of renewable energy, financial inclusivity, globalization, economic growth, and urbanization on carbon productivity: Evidence from net moderation and mediation effects of energy efficiency gains
Renewable Energy, 2022, 196, (C), 824-838 View citations (9)
- The influence of economic policy uncertainty and geopolitical risk on US citizens overseas air passenger travel by regional destination
Tourism Economics, 2022, 28, (5), 1333-1341 View citations (2)
- The role of Covid-19 for Chinese stock returns: evidence from a GARCHX model
Asia-Pacific Journal of Accounting & Economics, 2022, 29, (5), 1175-1183 View citations (3)
- Threshold effects of housing affordability and financial development on the house price‐consumption nexus
International Journal of Finance & Economics, 2022, 27, (2), 1785-1806 View citations (1)
- US partisan conflict shocks and international stock market returns
Empirical Economics, 2022, 63, (6), 2817-2854 View citations (2)
2021
- An analysis of the impact of unconventional oil and gas activities on public health: New evidence across Oklahoma counties
Energy Economics, 2021, 97, (C)
- Can the COVID-19 Pandemic and Oil Prices Drive the US Partisan Conflict Index
Energy RESEARCH LETTERS, 2021, 1, (1), 1-4
- Convergence in cryptocurrency prices? the role of market microstructure
Finance Research Letters, 2021, 40, (C) View citations (6)
- Credit supply conditions and business cycles: New evidence from bank lending survey data
Research in International Business and Finance, 2021, 55, (C) View citations (1)
- Cyclicality of commodity markets with respect to the U.S. economic policy uncertainty based on granger causality in quantiles
Economic Notes, 2021, 50, (1) View citations (3)
- Does the Covid-19 Shock Matter for Monetary Policy?
Economic Issues Journal Articles, 2021, 26, (1), 45-55
- Electricity consumption in Australia: the role of clean energy in reducing CO2 emissions
Applied Economics, 2021, 53, (48), 5535-5548 View citations (4)
- Energy Consumption, Carbon Dioxide Emissions and Economic Growth - Fresh Evidence From Panel Quantile Regressions
Energy RESEARCH LETTERS, 2021, 1, (1), 1-4 View citations (2)
- Erratum to: RETRACTED ARTICLE: The role of circuit breakers in the oil futures market
Journal of Economics and Finance, 2021, 45, (2), 394-394
- Examining the Asymmetric Effects of Third-Country Exchange Rate Volatility on Pakistan–China Commodity Trade
Journal of International Commerce, Economics and Policy (JICEP), 2021, 12, (02), 1-39 View citations (1)
- Forecasting US overseas travelling with univariate and multivariate models
Journal of Forecasting, 2021, 40, (6), 963-976
- Fracking and Asset Prices: The Role of Health Indicators for House Prices Across Oklahoma’s Counties
Social Indicators Research: An International and Interdisciplinary Journal for Quality-of-Life Measurement, 2021, 154, (2), 583-602
- Governance thresholds and the human capital–growth nexus
Journal of Economic Studies, 2021, 49, (7), 1181-1196
- How do institutional settings condition the effect of macroprudential policies on bank systemic risk?
Economics Letters, 2021, 209, (C) View citations (9)
- Inflation expectations, volatility and Covid-19: evidence from the US inflation swap rates
Applied Economics Letters, 2021, 28, (15), 1327-1331 View citations (8)
- Market Integration between Turkey and Eurozone Countries
Emerging Markets Finance and Trade, 2021, 57, (9), 2674-2686 View citations (1)
- Natural disasters and monetary policy: evidence from an augmented Taylor rule
Journal of Financial Economic Policy, 2021, 14, (3), 317-332
- Responses of carbon emissions to corruption across Chinese provinces
Energy Economics, 2021, 98, (C) View citations (18)
- The asymmetric relationship of oil prices and production on drilling rig trajectory
Resources Policy, 2021, 71, (C) View citations (7)
- The causal linkage between inflation and inflation uncertainty under structural breaks: Evidence from Turkey
Manchester School, 2021, 89, (3), 259-275 View citations (3)
- The impact of COVID-19 on economic growth: evidence from a Bayesian Panel Vector Autoregressive (BPVAR) model
Applied Economics, 2021, 53, (58), 6739-6751 View citations (9)
- The impacts of R&D investment and stock markets on clean‐energy consumption and CO2 emissions in OECD economies
International Journal of Finance & Economics, 2021, 26, (4), 4979-4992 View citations (21)
- The integration of share repurchases into investment decision-making: Evidence from Japan
International Review of Financial Analysis, 2021, 78, (C) View citations (1)
- The role of fiscal policy in the link between income inequality and banking crises
Applied Economics Letters, 2021, 28, (15), 1283-1287 View citations (1)
- The role of housing market in the effectiveness of monetary policy over the Covid-19 era
Economics Letters, 2021, 200, (C) View citations (5)
- The role of macroeconomic and geopolitical news on gold returns and volatility
Economics and Business Letters, 2021, 10, (1), 72-80
- The role of party polarization in renewable energy consumption: Fresh evidence across the EU countries
Energy Policy, 2021, 157, (C) View citations (13)
- US partisan conflict uncertainty and oil prices
Energy Policy, 2021, 150, (C) View citations (11)
2020
- A novel hybrid approach to forecast crude oil futures using intraday data
Technological Forecasting and Social Change, 2020, 158, (C) View citations (13)
- Airbnb and hotel revenues in popular Greek destinations
Journal of Economic Studies, 2020, 48, (4), 804-816
- Bank credit, public financial incentives, tax financial incentives and export performance during the global financial crisis
The World Economy, 2020, 43, (1), 114-145 View citations (7)
- Dependence structure in the Australian electricity markets: New evidence from regular vine copulae
Energy Economics, 2020, 90, (C) View citations (15)
- Do fiscal shocks explain bond yield in high- and low-debt economies?
Journal of Economic Studies, 2020, 48, (2), 468-494
- Do global sentiment shocks spillover towards emerging and frontier markets?
Journal of Economic Studies, 2020, 47, (3), 433-465
- Financial market imperfections and profitability: New evidence from a large panel of US SME firms
Journal of Forecasting, 2020, 39, (2), 220-241
- How do human rights violations affect poverty and income distribution?
International Economics, 2020, 161, (C), 56-65 View citations (2)
Also in International Economics, 2020, (161), 56-65 (2020) View citations (6)
See also Working Paper How do human rights violations affect poverty and income distribution?, WIDER Working Paper Series (2019) (2019)
- Investigating the impact of auto loans on unemployment: the US experience
Applied Economics, 2020, 52, (58), 6306-6319
- Long-term unemployment
Journal of Economic Studies, 2020, 47, (4), 713-727 View citations (1)
- Modeling the time varying volatility of housing returns: Further evidence from the U.S. metropolitan condominium markets
Review of Financial Economics, 2020, 38, (1), 24-33 View citations (2)
- Monetary policy and commodity markets: Unconventional versus conventional impact and the role of economic uncertainty
International Review of Financial Analysis, 2020, 71, (C) View citations (20)
- NAFTA and the convergence of CO2 emissions intensity and its determinants
International Economics, 2020, 161, (C), 1-9 View citations (7)
Also in International Economics, 2020, (161), 1-9 (2020) View citations (8)
- Natural Disasters and Housing Prices: Fresh Evidence from a Global Country Sample
International Real Estate Review, 2020, 23, (2), 189-210 View citations (2)
- Persistence in silver prices and the influence of solar energy
Resources Policy, 2020, 69, (C) View citations (5)
- The asymmetric relationships between pollution, energy use and oil prices in Vietnam: Some behavioural implications for energy policy-making
Energy Policy, 2020, 140, (C) View citations (16)
- The impact of economic freedom on the gender pay gap: evidence from a survey of UK households
Journal of Economic Studies, 2020, 49, (1), 61-76
- The monetary policy transmission mechanism and the role of money market funds in the Eurozone
Economics Bulletin, 2020, 40, (2), 1249-1260
- The role of insurance growth in economic growth: Fresh evidence from a panel of OECD countries
The North American Journal of Economics and Finance, 2020, 53, (C) View citations (14)
- U.S. Monetary Policy and Herding: Evidence from Commodity Markets
Atlantic Economic Journal, 2020, 48, (3), 355-374 View citations (1)
2019
- A new macro stress testing approach for financial realignment in the Eurozone
Journal of International Financial Markets, Institutions and Money, 2019, 61, (C), 52-80 View citations (4)
- Are there Really Long-Run Diversification Benefits from Sustainable Investments?
International Journal of Business and Economics, 2019, 18, (2), 141-163
- Contagion across US and European financial markets: Evidence from the CDS markets
Journal of International Money and Finance, 2019, 96, (C), 1-12 View citations (17)
- Convergence in condominium prices of major US metropolitan areas
International Journal of Housing Markets and Analysis, 2019, 12, (6), 1113-1126 View citations (4)
- Decoding the Australian electricity market: New evidence from three-regime hidden semi-Markov model
Energy Economics, 2019, 78, (C), 129-142 View citations (17)
- Determining the predictive power between cryptocurrencies and real time commodity futures: Evidence from quantile causality tests
Resources Policy, 2019, 61, (C), 603-616 View citations (32)
- Do gold prices respond to real interest rates? Evidence from the Bayesian Markov Switching VECM model
Journal of International Financial Markets, Institutions and Money, 2019, 60, (C), 134-148 View citations (15)
- FINANCIAL EXPERTS ON THE BOARD: DOES IT MATTER FOR THE PROFITABILITY AND RISK OF THE U.K. BANKING INDUSTRY?
Journal of Financial Research, 2019, 42, (2), 243-270 View citations (6)
- FINANCIAL VULNERABILITY AND INCOME INEQUALITY: NEW EVIDENCE FROM OECD COUNTRIES
Bulletin of Monetary Economics and Banking, 2019, 21, (3), 395-408
- Florida Metropolitan Housing Markets: Examining Club Convergence and Geographical Market Segmentation
Journal of Housing Research, 2019, 28, (2), 145-163 View citations (2)
- Monetary policy and the gender pay gap: evidence from UK households
Applied Economics Letters, 2019, 26, (21), 1807-1810 View citations (1)
- New evidence on corruption and government debt from a global country panel
Journal of Economic Studies, 2019, 46, (5), 1009-1027 View citations (4)
- Oil prices and corporate high-yield spreads: Evidence from panels of nonenergy and energy European firms
The Quarterly Review of Economics and Finance, 2019, 72, (C), 34-40 View citations (8)
- Prediction of financial distress for multinational corporations: Panel estimations across countries
Applied Economics, 2019, 51, (39), 4255-4269 View citations (3)
- RETRACTED ARTICLE: The role of circuit breakers in the oil futures market
Journal of Economics and Finance, 2019, 43, (2), 420-420
- Sensitivity of economic policy uncertainty to investor sentiment
Studies in Economics and Finance, 2019, 36, (2), 114-129 View citations (2)
- Stock Price Reactions to Wire News from the European Central Bank: Evidence from Changes in the Sentiment Tone and International Market Indexes
International Advances in Economic Research, 2019, 25, (1), 91-112 View citations (6)
- Subjective well-being in housing purchasing: Evidence with survey data from the U.K. housing residential market
The Quarterly Review of Economics and Finance, 2019, 74, (C), 328-335
- The Role of Happiness in Financial Decisions: Evidence from Financial Portfolio Choice and Five European Countries
Atlantic Economic Journal, 2019, 47, (3), 343-360 View citations (2)
- The Role of the Debt‐Service Ratio as a Leading Indicator of Households Consumption
Manchester School, 2019, 87, (6), 821-847 View citations (1)
- The dynamic linkage between renewable energy, tourism, CO2 emissions, economic growth, foreign direct investment, and trade
Latin American Economic Review, 2019, 28, (1), 1-19 View citations (71)
- The impact of fracking activities on Oklahoma's housing prices: A panel cointegration analysis
Energy Policy, 2019, 128, (C), 94-101 View citations (5)
- The role of government intervention in financial development: micro‐evidence from China
Accounting and Finance, 2019, 59, (5), 2855-2878 View citations (3)
- The role of the expectations channel in the quantitative easing in the Eurozone
Journal of Economic Studies, 2019, 46, (2), 372-382 View citations (1)
- “Sakura” has not grown in a day: infrastructure investment and economic growth in Japan under different tax regimes
Empirical Economics, 2019, 57, (2), 541-567 View citations (1)
2018
- An application of nonparametric regression to missing data in large market surveys
Journal of Applied Statistics, 2018, 45, (7), 1292-1302 View citations (1)
- Announcing the 2018 IJFS Travel Awards for Ph.D Students
IJFS, 2018, 6, (1), 1-1
- Asymmetric pass through of oil prices to gasoline prices: Evidence from a new country sample
Energy Policy, 2018, 114, (C), 519-528 View citations (35)
- Asymmetric real exchange rates and poverty: The role of remittances
Emerging Markets Review, 2018, 35, (C), 111-119 View citations (4)
- Convergence in Income Inequality: Further Evidence from the Club Clustering Methodology across States in the U.S
International Advances in Economic Research, 2018, 24, (2), 147-161 View citations (11)
- DO 'LABOUR' COUNCILS LOWER ECONOMIC FREEDOM?
Bulletin of Monetary Economics and Banking, 2018, 21, (2), 149-160
- Do Energy Prices Affect U.S. Investor Sentiment?
Journal of Behavioral Finance, 2018, 19, (2), 125-140 View citations (11)
- Does renewable energy consumption and health expenditures decrease carbon dioxide emissions? Evidence for sub-Saharan Africa countries
Renewable Energy, 2018, 127, (C), 1011-1016 View citations (61)
See also Working Paper Does Renewable Energy Consumption and Health Expenditure Decrease Carbon Dioxide Emissions? Evidence for sub-Saharan Africa Countries, MPRA Paper (2015) View citations (2) (2015)
- Education and democracy: New evidence from 161 countries
Economic Modelling, 2018, 71, (C), 59-67 View citations (4)
- Expectations and the quantitative easing in Eurozone
Economics and Business Letters, 2018, 7, (1), 18-23
- Globalisation, economic growth and energy consumption in the BRICS region: The importance of asymmetries
The Journal of International Trade & Economic Development, 2018, 27, (8), 985-1009 View citations (28)
See also Working Paper Globalisation, Economic Growth and Energy Consumption in the BRICS Region: The Importance of Asymmetries, MPRA Paper (2018) View citations (28) (2018)
- Health Behaviour Convergence: Evidence from Fractional (Long Memory) Convergence and British Microdata
Manchester School, 2018, 86, (1), 76-99
- Is CAPM a Behavioral Model? Estimating Sentiments from Rationalism
Journal of Behavioral Finance, 2018, 19, (4), 442-449 View citations (4)
- Monetary policy rules and the equity risk premium: Evidence from the US experience
Review of Financial Economics, 2018, 36, (4), 287-299
- Multi-horizon wealth effects across the G7 economies
Economic Modelling, 2018, 72, (C), 165-176 View citations (2)
- Poverty and the resource curse: Evidence from a global panel of countries
Research in Economics, 2018, 72, (2), 211-223 View citations (17)
- Regional unemployment and employee loyalty: evidence from 12 UK regions
Regional Studies, 2018, 52, (9), 1283-1293 View citations (1)
- The Behaviour of Interest Rate Spreads Prior to and After the Financial Crisis: Evidence Across OECD Countries
Manchester School, 2018, 86, (5), 559-585 View citations (1)
- The Impact of Greenhouse Gas Emissions on Personal Well-Being: Evidence from a Panel of 58 Countries and Aggregate and Regional Country Samples
Journal of Happiness Studies, 2018, 19, (1), 69-80 View citations (5)
- The positive feedback cycle in the electricity market: Residential solar PV adoption, electricity demand and prices
Energy Policy, 2018, 122, (C), 36-44 View citations (12)
- The role of stock markets on environmental degradation: A comparative study of developed and emerging market economies across the globe
Emerging Markets Review, 2018, 35, (C), 19-30 View citations (29)
- The role of the AFA coefficient as a new criterion in the long-run liaison between corporate liquidity and bank credit
Journal of Financial Reporting and Accounting, 2018, 16, (2), 274-291
- U.S. state-level carbon dioxide emissions: Does it affect health care expenditure?
Renewable and Sustainable Energy Reviews, 2018, 91, (C), 521-530 View citations (14)
- What is extracted from earth is gold: are rare earths telling a new tale to economic growth?
Journal of Economic Studies, 2018, 45, (1), 177-192 View citations (2)
2017
- Are there Environmental Kuznets Curves for US state-level CO2 emissions?
Renewable and Sustainable Energy Reviews, 2017, 69, (C), 551-558 View citations (42)
See also Working Paper Are there Environmental Kuznets Curves for US State-Level CO2 Emissions?, Working Papers (2014) View citations (3) (2014)
- Asymmetric Spillover Effects between Agricultural Commodity Prices and Biofuel Energy Prices
International Journal of Energy Economics and Policy, 2017, 7, (1), 166-177 View citations (7)
- Can (unusual) weather conditions in New York predict South African stock returns?
Research in International Business and Finance, 2017, 41, (C), 377-386 View citations (5)
- Contagion across exchange rates
Journal of Economic Studies, 2017, 44, (1), 24-35 View citations (5)
- Convergence in Venture Capital Investments across U.S. Regions: An Extension of the Ballinger et al. (2016) Study
Journal of Regional Analysis and Policy, 2017, 48, (1)
- Convergence of Health Care Expenditures Across the US States: A Reconsideration
Social Indicators Research: An International and Interdisciplinary Journal for Quality-of-Life Measurement, 2017, 133, (1), 303-316 View citations (3)
See also Working Paper Convergence of Health Care Expenditures across the US States: A Reconsideration, Working Papers (2015) View citations (2) (2015)
- Democracy and market crashes: Evidence from a worldwide panel of countries
Finance Research Letters, 2017, 22, (C), 244-248 View citations (3)
- Does more complex language in FOMC decisions impact financial markets?
Journal of International Financial Markets, Institutions and Money, 2017, 51, (C), 171-189 View citations (12)
- Economic Freedom and Income Inequality: Evidence from a Panel of Global Economies— A Linear and a Non-Linear Long-Run Analysis
Manchester School, 2017, 85, (1), 88-105 View citations (14)
- Editorial for Special Issue “New Challenges in Asian Capital Markets”
IJFS, 2017, 5, (3), 1-3
- Financing clean energy projects through domestic and foreign capital: The role of political cooperation among the EU, the G20 and OECD countries
Energy Economics, 2017, 61, (C), 62-71 View citations (78)
- Forecasting disaggregated tourist arrivals in Croatia
Tourism Economics, 2017, 23, (1), 78-98 View citations (10)
- From education to democracy: evidence from long-run time-varying estimates
International Review of Economics, 2017, 64, (4), 313-325
- Good volatility, bad volatility: What drives the asymmetric connectedness of Australian electricity markets?
Energy Economics, 2017, 66, (C), 108-115 View citations (54)
- How deviations from FOMC’s monetary policy decisions from a benchmark monetary policy rule affect bank profitability: evidence from U.S. banks
Journal of Financial Economic Policy, 2017, 9, (4), 354-371
- Integration of regional electricity markets in Australia: A price convergence assessment
Energy Economics, 2017, 62, (C), 411-418 View citations (23)
- Introduction: Symposium on Energy Sector Convergence
Energy Economics, 2017, 62, (C), 335-337 View citations (2)
- Monetary Policy and Macroprudential Policy: New Evidence from a World Panel of Countries
Oxford Bulletin of Economics and Statistics, 2017, 79, (3), 395-410 View citations (5)
- New Evidence on the Ability of Asset Prices and Real Economic Activity Forecast Errors to Predict Inflation Forecast Errors
Journal of Forecasting, 2017, 36, (5), 557-565
- Per capita carbon dioxide emissions across U.S. states by sector and fossil fuel source: Evidence from club convergence tests
Energy Economics, 2017, 63, (C), 365-372 View citations (61)
- The impact of 11/13 Paris terrorist attacks on stock prices: evidence from the international defence industry
Applied Economics Letters, 2017, 24, (1), 45-48 View citations (4)
- The role of rare earth prices for consumer prices: an ignored factor?
Applied Economics, 2017, 49, (59), 5890-5894 View citations (1)
- The role of rare earth prices in renewable energy consumption: The actual driver for a renewable energy world
Energy Economics, 2017, 62, (C), 33-42 View citations (30)
- US political corruption: Identifying the channels of bribes for firms' financial policies
International Review of Financial Analysis, 2017, 54, (C), 87-94 View citations (3)
- Understanding the impact of monetary policy announcements: The importance of language and surprises
Journal of Banking & Finance, 2017, 80, (C), 33-50 View citations (15)
- Unemployment and labor force participation across the US States: new evidence from panel data
SPOUDAI Journal of Economics and Business, 2017, 67, (4), 45-84 View citations (3)
- Volatility Modeling of U.S. Metropolitan Retail Gasoline Prices: An Empirical Note
Journal of Regional Analysis and Policy, 2017, 48, (2)
2016
- (Unusual) weather and stock returns—I am not in the mood for mood: further evidence from international markets
Financial Markets and Portfolio Management, 2016, 30, (1), 63-94 View citations (5)
Also in Financial Markets and Portfolio Management, 2016, 30, (1), 63-94 (2016) View citations (5)
- A time series analysis of oil production, rig count and crude oil price: Evidence from six U.S. oil producing regions
Energy, 2016, 97, (C), 339-349 View citations (15)
- Agriculture, trade openness and emissions: an empirical analysis and policy options
Australian Journal of Agricultural and Resource Economics, 2016, 60, (2) View citations (20)
Also in Australian Journal of Agricultural and Resource Economics, 2016, 60, (3), 348-365 (2016) View citations (23)
- An empirical note on entrepreneurship and unemployment
Journal of Entrepreneurship and Public Policy, 2016, 5, (1), 73-81 View citations (3)
- Asymmetric information and employment: evidence from the U.S. banking sector
The Journal of Economic Asymmetries, 2016, 14, (PB), 199-210 View citations (1)
- Asymmetric oil shocks and external balances of major oil exporting and importing countries
Energy Economics, 2016, 56, (C), 42-50 View citations (62)
- Causal Relationship between Asset Prices and Output in the United States: Evidence from the State-Level Panel Granger Causality Test
Regional Studies, 2016, 50, (10), 1728-1741 View citations (22)
- Competition and efficiency in the MENA banking region: a non-structural DEA approach
Applied Economics, 2016, 48, (54), 5276-5291 View citations (24)
- Debt uncertainty and economic growth: evidence from five highly indebted Eurozone countries
Applied Economics Letters, 2016, 23, (3), 171-174 View citations (1)
- Energy productivity convergence: new evidence from club converging
Applied Economics Letters, 2016, 23, (2), 142-145 View citations (27)
- Environmental Kuznets curves: New evidence on both panel and country-level CO2 emissions
Energy Economics, 2016, 54, (C), 263-271 View citations (109)
- Explosive bubbles in the US–China exchange rate? Evidence from right-tailed unit root tests
China Economic Journal, 2016, 9, (1), 34-46
- Foreign Exchange Risk, Equity Risk Factors and Economic Growth
Atlantic Economic Journal, 2016, 44, (4), 425-445
- Gold returns: Do business cycle asymmetries matter? Evidence from an international country sample
Economic Modelling, 2016, 57, (C), 164-170 View citations (7)
- Hydroelectricity consumption and economic growth nexus: Evidence from a panel of ten largest hydroelectricity consumers
Renewable and Sustainable Energy Reviews, 2016, 62, (C), 318-325 View citations (14)
See also Working Paper Hydroelectricity Consumption and Economic Growth Nexus: Evidence from a Panel of Ten Largest Hydroelectricity Consumers, Working Papers (2015) (2015)
- Media sentiment and CDS spread spillovers: Evidence from the GIIPS countries
International Review of Financial Analysis, 2016, 47, (C), 50-59 View citations (20)
- Mood effects in optimal debt contracts
Journal of Behavioral and Experimental Finance, 2016, 10, (C), 50-53
- New evidence on assessing the level of competition in the European Union banking sector: A panel data approach
International Business Review, 2016, 25, (1), 395-407 View citations (30)
- OLD WINE IN A NEW BOTTLE: TRADE OPENNESS AND FDI FLOWS—ARE THE EMERGING ECONOMIES CONVERGING?
Contemporary Economic Policy, 2016, 34, (2), 336-351 View citations (1)
- Oil reserve life and the influence of crude oil prices: An analysis of Texas reserves
Energy Economics, 2016, 55, (C), 266-271 View citations (4)
- Population and lifestyle trend changes in China: implications for environmental quality
Applied Economics, 2016, 48, (54), 5246-5256 View citations (3)
- The 11/13 Paris terrorist attacks and stock prices: The case of the international defense industry
Finance Research Letters, 2016, 17, (C), 186-192 View citations (33)
- The effect of foreign direct investment and stock market growth on clean energy use across a panel of emerging market economies
Energy Economics, 2016, 56, (C), 29-41 View citations (139)
- Unemployment and Organizational Commitment: Evidence from a Panel of Australian Manufacturing Firms
Review of Economic Analysis, 2016, 8, (2), 135-152
2015
- Asymmetric interest rate pass-through in the U.S., the U.K. and Australia: New evidence from selected individual banks
Journal of Macroeconomics, 2015, 45, (C), 155-172 View citations (21)
- Asymmetric real exchange rate pass-through and poverty in China: evidence from a nonlinear model
Applied Economics Letters, 2015, 22, (12), 951-954 View citations (12)
- CONVERGENCE IN PROVINCIAL-LEVEL SOUTH AFRICAN HOUSE PRICES: EVIDENCE FROM THE CLUB CONVERGENCE AND CLUSTERING PROCEDURE
Review of Urban & Regional Development Studies, 2015, 27, (1), 2-17 View citations (12)
See also Working Paper Convergence in Provincial-Level South African House Prices: Evidence from the Club Convergence and Clustering Procedure, Working Papers (2013) (2013)
- Competition in the banking sector: New evidence from a panel of emerging market economies and the financial crisis
Emerging Markets Review, 2015, 25, (C), 154-162 View citations (20)
- Convergence in Public Expenditure Across a Sample of Emerging Countries: Evidence from Club Convergence
Emerging Markets Finance and Trade, 2015, 51, (3), 448-462 View citations (7)
- Does renewables production affect income inequality? Evidence from an international panel of countries
Applied Economics Letters, 2015, 22, (11), 865-868 View citations (5)
- Does stock market liquidity explain real economic activity? New evidence from two large European stock markets
Journal of International Financial Markets, Institutions and Money, 2015, 38, (C), 42-64 View citations (21)
- Downstream integration of natural gas prices across U.S. states: Evidence from deregulation regime shifts
Energy Economics, 2015, 49, (C), 82-92 View citations (12)
- ENERGY CONSUMPTION AND GROWTH: NEW EVIDENCE FROM A NON-LINEAR PANEL AND A SAMPLE OF DEVELOPING COUNTRIES
The Singapore Economic Review (SER), 2015, 60, (02), 1-30 View citations (5)
- Economic freedom and income inequality: further evidence from 58 countries in the long-run
Financial Theory and Practice, 2015, 39, (4), 349-370 View citations (2)
- Energy efficiency of selected OECD countries: A slacks based model with undesirable outputs
Energy Economics, 2015, 51, (C), 45-53 View citations (58)
See also Working Paper Energy Efficiency of Selected OECD Countries: A Slacks Based Model with Undesirable Outputs, Working Papers (2014) (2014)
- Financial portfolio choice: Do business cycle regimes matter? Panel evidence from international household surveys
Journal of International Financial Markets, Institutions and Money, 2015, 34, (C), 14-27 View citations (3)
- Forecasting Credit Default Swaps (CDSs) spreads with newswire messages: Evidence from European countries under financial distress
Economics Letters, 2015, 136, (C), 92-94 View citations (9)
- INTERNATIONAL EARNINGS TO PRICE RATIO CONVERGENCE: EVIDENCE FROM THE EUROPEAN UNION
The International Journal of Business and Finance Research, 2015, 9, (5), 37-55
- Labor Income Tax and Output in a Panel of Central and Eastern European Countries: A Long-Run Perspective
International Advances in Economic Research, 2015, 21, (1), 1-12
- Long-run estimates of money demand: new evidence from East Asian countries and the presence of structural breaks
Applied Economics, 2015, 47, (31), 3276-3291 View citations (2)
- Money Demand Sensitivity to Interest Rates: The Case of Japans Zero-Interest Rate Policy
Asian Economic and Financial Review, 2015, 5, (9), 1043-1049 View citations (1)
- Newswire messages and sovereign credit ratings: Evidence from European countries under austerity reform programmes
International Review of Financial Analysis, 2015, 39, (C), 54-62 View citations (1)
- Old wine in a new bottle: money demand causality for 10 Asian countries
International Journal of Emerging Markets, 2015, 10, (3), 491-503
- Old wine in a new bottle: public debt sustainability - evidence from a number of EU countries under fiscal consolidation
Economics and Business Letters, 2015, 4, (4), 131-136 View citations (2)
- Policy risks, technological risks and stock returns: New evidence from the US stock market
Economic Modelling, 2015, 51, (C), 359-365 View citations (10)
- RENEWABLE ENERGY CONSUMPTION, POLITICAL AND INSTITUTIONAL FACTORS: EVIDENCE FROM A GROUP OF EUROPEAN, ASIAN AND LATIN AMERICAN COUNTRIES
The Singapore Economic Review (SER), 2015, 60, (01), 1-19 View citations (6)
- Renewable and nonrenewable energy production and economic growth in sub-Saharan Africa: a hidden cointegration analysis
Applied Economics, 2015, 47, (9), 861-882 View citations (17)
- Renewable energy consumption and unemployment: evidence from a sample of 80 countries and nonlinear estimates
Applied Economics, 2015, 47, (52), 5614-5633 View citations (28)
- Special Issue: Recent Developments in Finance and Banking after the 2008 Crisis
IJFS, 2015, 3, (2), 1-2
- Spillover effects between lit and dark stock markets: Evidence from a panel of London Stock Exchange transactions
International Review of Financial Analysis, 2015, 41, (C), 101-106
- Structural breaks and electricity prices: Further evidence on the role of climate policy uncertainties in the Australian electricity market
Energy Economics, 2015, 52, (PA), 176-182 View citations (36)
- Systemic Sovereign Risk and Asset Prices: Evidence from the CDS Market, Stressed European Economies and Nonlinear Causality Tests
Czech Journal of Economics and Finance (Finance a uver), 2015, 65, (2), 106-126 View citations (1)
- The bank lending channel and monetary policy rules for Eurozone banks: further extensions
The B.E. Journal of Macroeconomics, 2015, 15, (1), 93-112 View citations (2)
- The behaviour of the bank lending channel when interest rates approach the zero lower bound: Evidence from quantile regressions
Economic Modelling, 2015, 49, (C), 296-307 View citations (20)
- The change in real interest rate persistence in OECD countries: evidence from modified panel ratio tests
Journal of Applied Statistics, 2015, 42, (1), 202-213 View citations (8)
- The competitive conditions in the OECD manufacturing industry
Applied Economics, 2015, 47, (8), 779-797 View citations (3)
- The dynamics of Greek public debt - evidence from simultaneous and structural VAR models
Applied Economics, 2015, 47, (10), 967-980 View citations (1)
- The role of FOMC minutes for US asset prices before and after the 2008 crisis: Evidence from GARCH volatility modeling
The Quarterly Review of Economics and Finance, 2015, 55, (C), 100-107 View citations (7)
2014
- Accounting standards convergence dynamics
Accounting Research Journal, 2014, 27, (3), 226-248 View citations (1)
- Banking development and energy consumption: Evidence from a panel of Middle Eastern countries
Energy, 2014, 72, (C), 427-433 View citations (47)
- Can gold prices forecast the Australian dollar movements?
International Review of Economics & Finance, 2014, 29, (C), 75-82 View citations (38)
- Convergence in sovereign debt ratios across heavily indebted EU countries: evidence from club convergence
Applied Economics Letters, 2014, 21, (11), 786-788 View citations (12)
- Country and industry convergence of equity markets: International evidence from club convergence and clustering
The North American Journal of Economics and Finance, 2014, 29, (C), 36-58 View citations (28)
See also Working Paper Country and Industry Convergence of Equity Markets: International Evidence from Club Convergence and Clustering, Working papers (2012) View citations (1) (2012)
- Dutch disease effect of oil rents on agriculture value added in Middle East and North African (MENA) countries
Energy Economics, 2014, 45, (C), 485-490 View citations (49)
- Dynamics of U.S. State Cigarette Consumption: Evidence from Panel Error Correction Modeling
Atlantic Economic Journal, 2014, 42, (1), 3-20 View citations (1)
- ECONOMIC FREEDOM AND INCOME INEQUALITY REVISITED: EVIDENCE FROM A PANEL ERROR CORRECTION MODEL
Contemporary Economic Policy, 2014, 32, (1), 67-75 View citations (45)
- Precious metal markets, stock markets and the macroeconomic environment: a FAVAR model approach
Applied Financial Economics, 2014, 24, (10), 691-703 View citations (19)
- Renewable Energy and Economic Growth: Evidence from the Sign of Panel Long-Run Causality
International Journal of Energy Economics and Policy, 2014, 4, (4), 578-587 View citations (72)
- Renewable energy, output, CO2 emissions, and fossil fuel prices in Central America: Evidence from a nonlinear panel smooth transition vector error correction model
Energy Economics, 2014, 42, (C), 226-232 View citations (181)
- Resurrecting the size effect: Evidence from a panel nonlinear cointegration model for the G7 stock markets
Review of Financial Economics, 2014, 23, (1), 46-53 View citations (4)
Also in Review of Financial Economics, 2014, 23, (1), 46-53 (2014)
- Tax revenues convergence across ASEAN, Pacific and Oceania countries: Evidence from club convergence
Journal of Multinational Financial Management, 2014, 27, (C), 11-21 View citations (4)
- The Long-Run Relationship Between Consumption, House Prices, and Stock Prices in South Africa: Evidence from Provincial-level Data
Journal of Real Estate Literature, 2014, 22, (1), 83-99
See also Working Paper The Long-Run Relationship between Consumption, House Prices and Stock Prices in South Africa: Evidence from Provincial-Level Data, Working Papers (2013) View citations (3) (2013)
- The causal dynamics between renewable energy, real GDP, emissions and oil prices: evidence from OECD countries
Applied Economics, 2014, 46, (36), 4519-4525 View citations (46)
- The determinants of business start-ups in tertiary education: evidence for Greece through a panel data approach
Journal of Economics and Finance, 2014, 38, (2), 287-301
- The long-term role of non-traditional banking in profitability and risk profiles: Evidence from a panel of U.S. banking institutions
Journal of International Money and Finance, 2014, 45, (C), 61-73 View citations (22)
- The oil curse, institutional quality, and growth in MENA countries: Evidence from time-varying cointegration
Energy Economics, 2014, 46, (C), 1-9 View citations (90)
- What are the driving factors behind the rise of spreads and CDS of euro-area sovereign bonds? A FAVAR model for Greece and Ireland
International Journal of Economics and Business Research, 2014, 7, (1), 104-120 View citations (3)
See also Working Paper What Are the Driving Factors behind the Rise of Spreads and CDSs of Euro-area Sovereign Bonds? A FAVAR Model for Greece and Ireland, Economics Working Paper Archive (2012) (2012)
2013
- Health Expenses: Evidence from the Club Clustering Approach
International Advances in Economic Research, 2013, 19, (4), 399-407
- Health expenses and economic growth: convergence dynamics across the Indian States
International Journal of Health Economics and Management, 2013, 13, (3), 261-277 View citations (6)
- Inaugural Letter for the International Journal of Financial Studies (IJFS)
IJFS, 2013, 1, (1), 1-2
- Is the energy-led growth hypothesis valid? New evidence from a sample of 85 countries
Energy Economics, 2013, 38, (C), 24-31 View citations (75)
- New Evidence on the Information and Predictive Content of the Baltic Dry Index
IJFS, 2013, 1, (3), 1-19 View citations (17)
- Price Concentration: New Evidence from Greek Industries and the Cournot Model
Economic Papers, 2013, 32, (2), 265-271
- Public deficit, public debt, corruption and economic freedom: some empirical evidence from Romania
Romanian Economic Journal, 2013, 16, (48), 3-22 View citations (1)
- The Explanatory Variables of Outward Foreign Direct Investment: Panel Evidence
American Journal of Economics and Business Administration, 2013, 4, (4), 207-215
- The New Zealand dollar and milk prices
International Journal of Financial Services Management, 2013, 6, (1), 1-16
- The Stylized Facts of Greek Inflation: New Evidence on Persistence
Panoeconomicus, 2013, 60, (1), 51-71
- The domestic Balassa--Samuelson effect of inflation for the Greek economy
Applied Economics, 2013, 45, (23), 3288-3294 View citations (6)
- The relationship between international financial reporting standards, carbon emissions, and R&D expenditures: Evidence from European manufacturing firms
Ecological Economics, 2013, 88, (C), 57-66 View citations (33)
- The role of fixed capital depreciations for TFP growth: evidence from firm level panel data estimates
Journal of Economics and Finance, 2013, 37, (4), 606-621 View citations (2)
2012
- Accounting information and excess stock returns: the role of the cost of capital -- new evidence from US firm-level data
Applied Financial Economics, 2012, 22, (4), 321-329
- Convergence and clustering of Tier 1 capital in the European banking sector: a non-linear factor approach
International Journal of Monetary Economics and Finance, 2012, 5, (2), 210-221
- Convergence in U.S. house prices by state: evidence from the club convergence and clustering procedure
Letters in Spatial and Resource Sciences, 2012, 5, (2), 103-111 View citations (23)
- Convergence patterns in financial development: evidence from club convergence
Empirical Economics, 2012, 43, (3), 1011-1040 View citations (23)
See also Working Paper Convergence Patterns in Financial Development: Evidence from Club Convergence, Working Papers (2011) (2011)
- Credit risk: the role of market, accounting and macroeconomic information - evidence from US firms and a FAVAR model
International Journal of Banking, Accounting and Finance, 2012, 4, (4), 315-341
- Do market fundamentals determine the Dollar–Euro exchange rate?
Journal of Policy Modeling, 2012, 34, (1), 1-15 View citations (3)
- Financial crisis and the real estate market in Greece: the impact on bank stock prices
International Journal of Economics and Business Research, 2012, 4, (5), 530-539
- Is weather important for US banking? A study of bank loan inefficiency
Journal of Applied Finance & Banking, 2012, 2, (3), 1 View citations (2)
- Live free or bribe: On the causal dynamics between economic freedom and corruption in U.S. states
European Journal of Political Economy, 2012, 28, (2), 215-226 View citations (25)
- Long memory and disaggregated energy consumption: Evidence from fossils, coal and electricity retail in the U.S
Energy Economics, 2012, 34, (4), 1082-1087 View citations (44)
- Renewable and non-renewable energy consumption-growth nexus: Evidence from a panel error correction model
Energy Economics, 2012, 34, (3), 733-738 View citations (347)
- Tax‐spend nexus in Greece: are there asymmetries?
Journal of Economic Studies, 2012, 39, (3), 327-336 View citations (13)
- The Bank Lending Channel and Monetary Policy Rules: Evidence from European Banks
International Advances in Economic Research, 2012, 18, (1), 1-14 View citations (7)
- The bank lending channel and lunar phases: Evidence from a panel of European banks
Journal of Finance and Investment Analysis, 2012, 1, (3), 1
- Tourism and Growth in the Caribbean – Evidence from a Panel Error Correction Model
Tourism Economics, 2012, 18, (2), 449-456 View citations (19)
- Weather Conditions and the Bank Lending Channel: A GMM Approach from US Banking
International Journal of Financial Research, 2012, 3, (2), 17-34
2011
- A dynamic panel study of economic development and the electricity consumption-growth nexus
Energy Economics, 2011, 33, (5), 770-781 View citations (115)
- Asset pricing and foreign exchange risk
Research in International Business and Finance, 2011, 25, (3), 308-328 View citations (9)
- Bank Efficiency: Evidence from a Panel of European Banks
Panoeconomicus, 2011, 58, (3), 329-341
- FINANCIAL STRUCTURE AND INDUSTRIAL STRUCTURE
Bulletin of Economic Research, 2011, 63, (2), 109-139 View citations (4)
- Food Price Volatility and Macroeconomic Factors: Evidence from GARCH and GARCH-X Estimates
Journal of Agricultural and Applied Economics, 2011, 43, (1), 95-110 View citations (19)
Also in Journal of Agricultural and Applied Economics, 2011, 43, (1), 16 (2011) View citations (19)
- Integration properties of disaggregated solar, geothermal and biomass energy consumption in the U.S
Energy Policy, 2011, 39, (9), 5474-5479 View citations (38)
- Long-Term Debt and the Value of the Firm,Evidence from International Listed Manufacturing Firms
Review of Economics & Finance, 2011, 1, 60-72
- On the dynamics of poverty and income inequality in US states
Journal of Economic Studies, 2011, 38, (2), 132-143 View citations (7)
- Political and Institutional Factors in the Convergence of International Equity Markets: Evidence from the Club Convergence and Clustering Procedure
Atlantic Economic Journal, 2011, 39, (1), 7-18 View citations (9)
- Renewable and non-renewable electricity consumption–growth nexus: Evidence from emerging market economies
Applied Energy, 2011, 88, (12), 5226-5230 View citations (82)
- Stylised facts of Greek business cycles: new evidence from aggregate and across regimes data
International Journal of Economics and Business Research, 2011, 3, (2), 147-165 View citations (1)
- Testing for Regime Changes in Greek Sovereign Debt Crisis
International Advances in Economic Research, 2011, 17, (3), 258-273 View citations (2)
- The renewable energy consumption-growth nexus in Central America
Applied Energy, 2011, 88, (1), 343-347 View citations (265)
2010
- A panel study of nuclear energy consumption and economic growth
Energy Economics, 2010, 32, (3), 545-549 View citations (71)
- Are fluctuations in coal consumption transitory or permanent? Evidence from a panel of US states
Applied Energy, 2010, 87, (7), 2424-2426 View citations (55)
- Are shocks to natural gas consumption temporary or permanent? Evidence from a panel of U.S. states
Energy Policy, 2010, 38, (8), 4734-4736 View citations (61)
- Coal consumption and economic growth: Evidence from a panel of OECD countries
Energy Policy, 2010, 38, (3), 1353-1359 View citations (433)
- Disaggregated Earnings and Stock Prices: Evidence from International Listed Shipping Firms
International Advances in Economic Research, 2010, 16, (3), 269-281 View citations (1)
- Energy consumption and growth in South America: Evidence from a panel error correction model
Energy Economics, 2010, 32, (6), 1421-1426 View citations (214)
- Incentives and Female Entrepreneurial Activity: Evidence from Panel Firm Level Data
International Advances in Economic Research, 2010, 16, (4), 371-387 View citations (7)
- Natural gas consumption and economic growth: A panel investigation of 67 countries
Applied Energy, 2010, 87, (8), 2759-2763 View citations (88)
- Old Wine in a New Bottle: Are Financial Variables Omitted Variables in the Production Function?
Research in World Economy, 2010, 1, (1), 2-9 View citations (2)
- Old Wine in a New Bottle: Growth Convergence Dynamics in the EU
Atlantic Economic Journal, 2010, 38, (2), 169-181 View citations (24)
- On the causal dynamics between emissions, nuclear energy, renewable energy, and economic growth
Ecological Economics, 2010, 69, (11), 2255-2260 View citations (445)
- Renewable energy consumption and economic growth: Evidence from a panel of OECD countries
Energy Policy, 2010, 38, (1), 656-660 View citations (622)
- Renewable energy consumption and growth in Eurasia
Energy Economics, 2010, 32, (6), 1392-1397 View citations (267)
- Structural breaks and petroleum consumption in US states: Are shocks transitory or permanent?
Energy Policy, 2010, 38, (10), 6375-6378 View citations (62)
- The causal dynamics between coal consumption and growth: Evidence from emerging market economies
Applied Energy, 2010, 87, (6), 1972-1977 View citations (40)
- The emissions, energy consumption, and growth nexus: Evidence from the commonwealth of independent states
Energy Policy, 2010, 38, (1), 650-655 View citations (212)
- The relationship between corruption and income inequality in U.S. states: evidence from a panel cointegration and error correction model
Public Choice, 2010, 145, (1), 125-135 View citations (66)
2009
- A survey of the Feldstein-Horioka puzzle: What has been done and where we stand
Research in Economics, 2009, 63, (2), 64-76 View citations (131)
- CO2 emissions, energy usage, and output in Central America
Energy Policy, 2009, 37, (8), 3282-3286 View citations (411)
- Do structural oil-market shocks affect stock prices?
Energy Economics, 2009, 31, (4), 569-575 View citations (450)
See also Working Paper Do Structural Oil-Market Shocks Affect Stock Prices?, Working Papers (2009) View citations (440) (2009)
- Energy consumption and economic growth in Central America: Evidence from a panel cointegration and error correction model
Energy Economics, 2009, 31, (2), 211-216 View citations (317)
- Energy consumption and economic growth: Evidence from the Commonwealth of Independent States
Energy Economics, 2009, 31, (5), 641-647 View citations (214)
- Foreign Direct Investment Inward and Outward; Evidence from Panel Data, Developed and Developing Economies, and Open and Closed Economies
The American Economist, 2009, 54, (2), 21-27 View citations (3)
- International technology spillovers, human capital and productivity linkages: evidence from the industrial sector
Empirica, 2009, 36, (4), 365-387 View citations (2)
2008
- Foreign Direct Investment Inward and Foreign Direct Investment Outward: Evidence from Panel Unit Root and Cointegration Tests with a Certain Number of Structural Changes
Global Economy Journal, 2008, 8, (1), 16 View citations (2)
- Innovation, Technology Transfer and Labor Productivity Linkages: Evidence from a Panel of Manufacturing Industries
Review of World Economics (Weltwirtschaftliches Archiv), 2008, 144, (3), 491-508 View citations (14)
See also Working Paper Innovation, Technology Transfer and Labor Productivity Linkages: Evidence from a Panel of Manufacturing Industries, Working Papers (2008) View citations (17) (2008)
- PRIVATE AND GOVERNMENT CONSUMPTION IN TRANSITIONAL ECONOMIES: A PANEL DATA ANALYSIS
Journal of Economic Development, 2008, 33, (1), 113-131 View citations (2)
- The relationship between foreign direct investment and economic growth: evidence from transition countries
Transition Studies Review, 2008, 15, (1), 37-51 View citations (24)
2007
- Financial Deepening and Economic Growth Linkages: A Panel Data Analysis
Review of World Economics (Weltwirtschaftliches Archiv), 2007, 143, (1), 179-198 View citations (97)
- Total Factor Productivity and Monetary Policy: Evidence from Conditional Volatility
International Finance, 2007, 10, (2), 131-152
See also Working Paper Total Factor Productivity and Monetary Policy: Evidence from Conditional Volatility, Working papers (2007) (2007)
2006
- Consumption asymmetry and the stock market: Empirical evidence
Economics Letters, 2006, 93, (3), 337-342 View citations (86)
See also Working Paper Consumption Asymmetry and the Stock Market: Empirical Evidence, Working papers (2006) View citations (91) (2006)
- Dynamic Linkages between FDI Inflows and Domestic Investment: A Panel Cointegration Approach
Atlantic Economic Journal, 2006, 34, (4), 385-394 View citations (26)
2005
- An estimation of the natural rate of unemployment in Greece
Journal of Policy Modeling, 2005, 27, (1), 91-99 View citations (6)
- INFLATION UNCERTAINTY AND GROWTH: EVIDENCE FROM PANEL DATA*
Australian Economic Papers, 2005, 44, (2), 186-197 View citations (6)
- Money volatility and output volatility: any asymmetric effects?
Journal of Economic Studies, 2005, 32, (6), 511-523
2004
- Agricultural price volatility spill-over effects: reply
European Review of Agricultural Economics, 2004, 31, (4), 487-488
- Cost structure, technological change, and productivity growth in the greek banking sector
International Advances in Economic Research, 2004, 10, (1), 1-15 View citations (15)
- Inflation, output growth, volatility and causality: evidence from panel data and the G7 countries
Economics Letters, 2004, 83, (2), 185-191 View citations (56)
- Macroeconomic rationality and Lucas' misperceptions model: further evidence from 41 countries
Journal of Economics and Business, 2004, 56, (3), 227-241 View citations (3)
2003
- Agricultural price volatility spillover effects: the case of Greece
European Review of Agricultural Economics, 2003, 30, (3), 389-406 View citations (36)
- An examination of Okun's law: evidence from regional areas in Greece
Applied Economics, 2003, 35, (10), 1147-1151 View citations (68)
- Food price volatility and macroeconomic factor volatility: 'heat waves' or 'meteor showers'?
Applied Economics Letters, 2003, 10, (3), 155-160 View citations (6)
- Housing Prices and Macroeconomic Factors: Prospects within the European Monetary Union
International Real Estate Review, 2003, 6, (1), 63-74 View citations (34)
- Housing prices and macroeconomic factors in Greece: prospects within the EMU
Applied Economics Letters, 2003, 10, (12), 799-804 View citations (31)
Also in Applied Economics Letters, 2003, 10, (9), 561-565 (2003) View citations (31)
- Mean spillover effects in agricultural prices: Evidence from changes in policy regimes
International Advances in Economic Research, 2003, 9, (1), 69-78 View citations (2)
- Mean spillover effects in agricultural prices: The case of Greece
Agribusiness, 2003, 19, (4), 425-437 View citations (6)
- Testing Purchasing Power Parity: results from a new foreign exchange market
Applied Economics Letters, 2003, 10, (2), 91-95 View citations (4)
- The Law of Verdoorn: Evidence from Greek Disaggregated Manufacturing Time Series Data
The Economic and Social Review, 2003, 34, (1), 87–104 View citations (4)
- The inflation-output volatility trade-off: a case where anti-inflation monetary policy turns out to be successful, a historical assessment
Journal of Policy Modeling, 2003, 25, (9), 881-892 View citations (5)
2002
- Interest rates, inflation, and stock prices: the case of the Athens Stock Exchange
Journal of Policy Modeling, 2002, 24, (3), 231-236 View citations (30)
- Measuring Exchange Market Pressure and the Degree of Exchange Market Intervention for the Greek Drachma
International Economic Journal, 2002, 16, (3), 135-145 View citations (1)
- The Impact of Financial Deregulation in Greece on Consumption Patterns
Economia Internazionale / International Economics, 2002, 55, (3), 283-296
2001
- Asymmetric Cross‐market Volatility Spillovers: Evidence from Daily Data on Equity and Foreign Exchange Markets
Manchester School, 2001, 69, (s1), 81-96 View citations (15)
- Reassessing the role of buffer stock money under oil price shocks
Atlantic Economic Journal, 2001, 29, (1), 20-30
- Stock returns and volatility: Evidence from the Athens Stock market index
Journal of Economics and Finance, 2001, 25, (1), 50-61 View citations (20)
- Testing the intertemporal substitution hypothesis: The impact of income uncertainty on savings
Review of World Economics (Weltwirtschaftliches Archiv), 2001, 137, (3), 537-548
2000
- Black Market Rates and Official Rates in Armenia: Evidence from Causality Tests in Alternative Regimes
Eastern Economic Journal, 2000, 26, (3), 335-344 View citations (8)
- Current account deficit sustainability: The case of Greece
Applied Economics Letters, 2000, 7, (9), 599-603 View citations (51)
Also in International Advances in Economic Research, 1998, 4, (4), 449-449 (1998) View citations (3)
- Employment news and exchange rates: policy implications for the European Union
Applied Economics Letters, 2000, 7, (10), 695-698 View citations (1)
- Measuring Price Elasticity of Aggregate Demand in Greece: 1961-1995
Public Finance Review, 2000, 28, (5), 452-467
- Monetary Deregulation and Consumption: Evidence from Certain Components of Consumption
Economic Issues Journal Articles, 2000, 5, (2), 15-20
- Money supply, consumption and deregulation: the case of Greece
Applied Economics Letters, 2000, 7, (6), 385-390 View citations (2)
- Public and Private Investments in Greece: Complementary or Substitute 'Goods'?
Bulletin of Economic Research, 2000, 52, (3), 225-34 View citations (16)
1999
- Inflation Uncertainty and Momey Demand: Evidence from a Monetary Regime Changed and the Cases of Greece
International Economic Journal, 1999, 13, (2), 21-30 View citations (4)
- Monetary policy design and the buffer-stock hypothesis: further evidence from European Union countries
Applied Economics Letters, 1999, 6, (12), 793-796
1998
- An Empirical Analysis of a Reaction-Function Approach to Policymaking in Greece during 1975-1993
European Research Studies Journal, 1998, I, (3), 51-69 View citations (1)
- Budget deficits and exchange rates: further evidence from cointegration and causality tests
Journal of Economic Studies, 1998, 25, (3), 161-178
- Inflation and Uncertainty: Does the EMS Participation Play Any Role?
Journal of Economic Integration, 1998, 13, 586-605
1997
- "Meteor showers" and "heat waves" in Greek financial markets
International Advances in Economic Research, 1997, 3, (4), 364-375
- Domestic and eurocurrency yields: Any exchange rate link? Evidence from a VAR model
Journal of Policy Modeling, 1997, 19, (1), 41-49 View citations (2)
- Inflation uncertainty, money demand, and monetary deregulation: Evidence from a univariate ARCH model and cointegration tests
Journal of Policy Modeling, 1997, 19, (3), 279-293 View citations (4)
- Integration of international capital markets: further evidence from EMS and non-EMS membership
Journal of International Financial Markets, Institutions and Money, 1997, 7, (3), 277-287 View citations (12)
- The credibility of policy announcements: Greek evidence
Applied Economics, 1997, 29, (6), 699-705 View citations (4)
- The efficient hypothesis and deregulation: the Greek case
Applied Economics, 1997, 29, (1), 111-117 View citations (3)
- The relationship between saving and finance: theory and evidence from E.U. countries
Research in Economics, 1997, 51, (4), 333-358 View citations (11)
1996
- ARCH effects and cointegration: Is the foreign exchange market efficient?
Journal of Banking & Finance, 1996, 20, (4), 687-697 View citations (17)
- Sources of fluctuations in exchange rates: a structural VAR analysis
Applied Economics Letters, 1996, 3, (4), 251-254 View citations (2)
- THE CYCLICAL BEHAVIOR OF PRICES: EVIDENCE FROM SEVEN DEVELOPING COUNTRIES
The Developing Economies, 1996, 34, (2), 204-211 View citations (3)
- What opportunity cost of holding real balances? The case of Greece 1978-1993
Applied Economics Letters, 1996, 3, (7), 483-485
1994
- The Feldstein-Horioka puzzle and exchange rate regimes: Evidence from cointegration tests
Journal of Policy Modeling, 1994, 16, (5), 459-472 View citations (18)
1992
- An Estimation of Target Effective Exchange Rates: The Case of the U.S
The American Economist, 1992, 36, (1), 22-28
Chapters
2021
- What Drives Sovereign Bond Yields in the Eurozone?
Springer View citations (1)
2014
- Money Demand Causality for Ten Asian Countries: Evidence from Linear and Nonlinear Causality Tests
A chapter in Risk Management Post Financial Crisis: A Period of Monetary Easing, 2014, vol. 96, pp 193-210
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