Content
2023, Volume 10, Issue 1
- 1-19 Unemployment and Suicide in the United States: The Import of Addressing Cross-Sectional Dependence
by Mitch Kunce - 21-67 Industry Difference on Patent Drawing’s Capability for Differentiating Stock Rates of Return of Chinese Listed Companies in Non-Manufacturing Industry Sectors -- An Explore into Invention Publication Patents and Utility Model Grant Patents
by Hong-Wen Tsai & Hui-Chung Che - 69-79 Tax Evasion in Hospitality Industry: Institutional Deficit, Mentality or Necessity?
by Konstantinos Marinakos & Georgia Pistikou & Alkistis Papaioanou - 81-101 Global Value Chains’ Participation and Logistics Performance in Post-Soviet Economies
by Abdullaev Elbek Erkin Ugli - 103-113 Impact of HIV and Covid-19 pandemics on ivorian health system efficiency
by Tito Nestor TIEHI - 115-131 Do Remittances Promote Labor Productivity in Mexico? A DOLS and FMOLS Analysis, 1970-2017
by Miguel D. Ramirez - 133-143 Policy Series Effects on Bangladesh Readymade Garments Exportation
by Fahmida Mostafiz & Jianqiang Sun
2022, Volume 9, Issue 2
- 15-35 Tax Revenue and Economic Growth Nexus in Ghana: Co-integration and Granger causality Test
by John MacCarthy & Paul Muda & Prince Sunu - 37-58 Is Financial Institution Management Effective to Reduce Problems Related to Information Asymmetry in Taiwan?
by Chih-Hsiung Chang & Wu-Hua Chang & Yi-Yu Shih - 59-78 Cointegration Analysis of Financial Market Indices During Financial Shocks. Focus on Global Financial Crisis and COVID-19 ?andemic Crisis
by Roko Pedisic - 79-100 Do COVID-19 Incidence and Government Intervention Influence Media Indices?
by Steven Buigut and Burcu Kapar - 101-121 Common Components in Co-integrated System and Its Estimation and Application: Evidence from Five Stock Markets in Asia-Pacific Chinese Region
by Hsiang-Hsi Liu & Chien-Kuo Tseng - 123-145 Information Asymmetry and Card Debt Crisis in Taiwan
by Chih-Hsiung Chang - 147-158 Do People Smooth their After-Tax Income? Evidence from Japanese Local Tax
by Yasue Hakata - 159-168 Foreign Aid and Dutch Disease: The Case of Vietnam
by Hiroaki Sakurai - 169-173 An Economic Model for Popular Event Promotions
by Sheng-Yeh, Wu & Guan-Ru, Chen & Ilia, Tetin - 175-187 Income Inequality Measurements through Tax Data: the case of Greece
by Panagiotis Kotsios - 189-221 Inclusive Growth and Climate Change Mitigation Programs and Policies in the ASEAN: Fiscal Implications
by Max Weber & Taha Chaiechi & Rabiul Beg - 223-237 External Debt Default and Foreign Direct Investments
by Nachiket Thakkar & Kiran Ambreen Ayub
2022, Volume 9, Issue 1
- 1-17 ETF Risk Models
by Zura Kakushadze & Willie Yu - 19-25 The Trend is Your Friend: A Note on An Ensemble Learning Approach to Finding It
by Tzu-Pu Chang & Yu-Cheng Chang & Po-Ching Chou - 27-37 An empirical and theoretical approach to a country's economic activity based on a Social Accounting Matrix. An application to Portugal
by Susana Santos - 39-49 Determinants of public health spending in WAEMU area: An empirical investigation
by Tito Nestor TIEHI & Foungnigué Noé COULIBALY - 51-84 Dynamic Responses of Major Pacific Rim Emerging Equity Markets to the US Crude Oil Fear Index (OVX)
by Bahram Adrangi & Arjun Chatrath - 85-95 Global Dynamics of Gini Coefficients of Education for 146 Countries: Update to 1950-2015 and a Compact Guide to the Literature
by Thomas Ziesemer - 97-114 Interregional Migration: Who Decides to Move?
by Diana Castorina & Riccardo Welters - 115-136 Longer Patent Life Representing Higher Value? A Study on China Stock Market and China Patents
by Hong-Wen Tsai & Hui-Chung Che & Bo Bai
2021, Volume 8, Issue 2
- 1-15 Do confidence indicators lead Greek economic activity?
by Dimitriou Dimitrios & Pappas Anastasios & Kazanas Thanassis & Kenourgios Dimitris - 17-24 Corporate Social Responsibility and Credit Ratings: On the Moderating Role of Firm Capability
by Chu-Hsiung Lin & Tzu-Chuan Kao & Chang-Cheng Changchien & Chien-Hui Wu - 25-55 Earnings Management. An overview of the relative literature
by Ioannis Dokas & Christos Leontidis & Nicolaos Eriotis & Konstantinos Hazakis - 57-73 Stock market and economic growth nexus in Ghana
by Samuel Antwi & Mohammed Issah & Richard Kpodo - 75-95 Fiscal governance and forecasting Bias: a case study of Greece during the economic crisis
by Panagiotis Liargovas & Vasilis Pilichos & Anastasia Angelopoulou - 97-110 Macroeconomic and financial determinants of non-performing loans: Evidence from PIIGS
by Panagiotis Magdalinos & Ioannis Tsakalos - 111-123 Determining Stock Return movements of Banking Sector during Global Financial Crisis: An Examination on Emerging Markets of Bangladesh
by Rafiqul Bhuyan & Mohammad Sogir Hossain Khandoker & Mahjuja Taznin & Md. Shanur Rahman & Lamia Akter - 125-131 Hedge ratio estimation: A note on the Bitcoin future contract
by Alexandros Koulis & Constantinos Kyriakopoulos - 133-146 Impacts of Stock Indices, Oil, and Twitter Sentiment on Major Cryptocurrencies during the COVID-19 First Wave
by ?ikolaos A. Kyriazis - 147-161 Do oil prices and exchange rates affect the US stock market? New evidence from the asymmetric cointegration approach
by Rafailidis Panagiotis & Katrakilidis Constantinos - 163-184 Productivity Growth Recovery Mechanisms: An ARDL Approach Lessons from the United States, Japan and South Korea
by Michael Koczyrkewycz & Taha Chaiechi & Rabiul Beg
2021, Volume 8, Issue 1
- 1-17 Alternative to Insurance Risk Transfer: Creating a catastrophe bond for Romanian earthquakes
by Apostolos Kiohos & Maria Paspati - 19-28 Determinants of Foreign Direct Investment Inflows to Myanmar
by Hidekatsu Asada - 29-57 Determinants of tax evasion in Greece: Econometric analysis of co-integration and causality, variance decomposition and impulse response analysis
by Anastasiou Athanasios & Kalligosfyris Charalampos & Kalamara Eleni - 59-79 Measuring urban economic resilience of two tropical cities, using impulse response analysis
by Taha Chaiechi & Trang Nguyen - 81-96 ?he effect of foreign direct investment on economic growth in Ghana: the role of exchange rate volatility
by Samuel Antwi & Prince Yeboah Boateng & Awudu Salley - 97-108 The Impact of SARS Epidemic and Financial Crisis on China’s Economy Structure Referenced to the Potential Impact of COVID-19
by Hai Long & Jianzhi Zhao - 109-119 Have the Purchases of ETF Raised Stock Prices? Recent Japanese Case
by Yutaka Kurihara & Shinichiro Maeda & Akio Fukushima - 121-148 Relationships among US S&P500 Stock Index, its Futures and NASDAQ Index Futures with Volatility Spillover and Jump Diffusion: Modeling and Hedging Performance
by Hsiang-Hsi Liu & Yu-Cheng Lin - 149-165 Oil Volatility Spillover into Oil Dependent Equity-Sector Stock Returns: Evidence from Major Oil Producing Countries
by Rafiqul Bhuyan & Mohammad Robbani & Bakhtear Talukder - 167-173 Seasonality in Indian Commodities Market: Insights for modeling from preceding commodity cycle
by Sharon K Jose & Girish G P
2020, Volume 7, Issue 2
- 1-24 Targeting Poverty and Developing Sustainable Development Objectives for the United Nation’s Countries using a Systematic Approach Combining DRSA and Multiple Linear Regressions
by Jean-Charles Marin & Bryan B-Trudel & Kazimierz Zaras & Mamadou Sylla - 25-33 Option Pricing: Channels, Target Zones and Sideways Markets
by Zura Kakushadze - 35-47 Taylor Principle under Inflation Targeting in Emerging ASEAN Economies: GMM and DSGE Approaches
by Hiroyuki Taguchi & Kenichi Tamegawa & Mesa Wanasilp - 49-76 Public and Foreign Investment Spending in the Argentine Case. A Cointegration Analysis with Structural Breaks, 1960-2015
by Miguel D. Ramirez - 77-86 Risk Affection and Transmission of News of Conditional Volatility from the Non-Life to Life Insurance Sector
by Apostolos Kiohos - 87-95 An Empirical Study of Some Driving Factors of CO2 Emissions: Evidence from Quantile Regression
by Yaya KEHO - 97-107 Estimation of the size of tax evasion in Greece
by Anastasiou Athanasios & Kalamara Eleni & Kalligosfyris Charalampos - 109-117 Price Stickiness under Stochastic Demand
by Sheng-Yeh, Wu & Guan-Ru, Chen - 119-128 Additional Transportation Costs benefit Consumer Surplus and Social Welfare in a Bilateral Duopoly
by Sangheon Han & Dong Joon Lee - 129-140 Liquidity buffers determinants in GCC’s Islamic banks
by Amal Essayem & Wided Khiari & Azhaar Lajmi - 141-152 The Impact of Regulatory Quality on the Nexus between Life Insurance Development and Economic Growth: Evidence from European Developing Countries
by Gengnan Chiang & Chin-Chi Liu - 153-164 Investing in mutual funds: are you paying for performance or for the ties of the manager?
by Costas Siriopoulos & Maria Skaperda - 165-173 Have Stock Markets across the Globe Been Kidnapped by the Covid-19 Pandemic?
by Huaibing Yu - 175-190 Economic Effects of Inward Foreign Direct Investment in Myanmar
by Thet Mon Soe
2020, Volume 7, Issue 1
- 1-65 Machine Learning Treasury Yields
by Zura Kakushadze & Willie Yu - 67-81 Expectations about Unreported Output, Bank Lending and Double-Cycle Stability Policy
by Erotokritos Varelas - 83-94 Foreign Aid Loans and Economic Growth in Vietnam
by Hiroaki Sakurai - 95-105 Productivity, efficiency and firm’s market value: Microeconomic evidence from multinational corporations
by Panayiotis Tzeremes - 107-122 The Econophysics of Labor Income
by Nikolaos Papanikolaou
2019, Volume 6, Issue 2
- 1-29 Does public indebtedness constrain or can it favor economic growth? A simple analytical modeling
by Séverine MENGUY - 31-44 Regional underdevelopment and less developed business ecosystems: The case of Eastern Macedonia and Thrace
by Charis Vlados & Dimos Chatzinikolaou & Fotios Katimertzopoulos & Theodore Koutroukis
2019, Volume 6, Issue 1
- 1-20 An implementation of Soft Set Theory in the Variables Selection Process for Corporate Failure Prediction Models. Evidence from NASDAQ Listed Firms
by Apostolos G. Christopoulos & Ioannis G. Dokas & Iraklis Kollias & John Leventides - 21-39 Stock Market and Macroeconomic Policies in Mongolia
by Hiroyuki Taguchi & Namjil Enkhbaatar - 41-64 Credit Risk Determinants: Evidence from the Bulgarian Banking System
by Petros Golitsis & Athanasios P. Fassas & Anna Lyutakova - 65-85 Evaluating interdependencies in African markets A VECM approach
by Konstantinos Vergos & Benjamin Wanger - 87-110 Altcoin-Bitcoin Arbitrage
by Zura Kakushadze & Willie Yu - 111-122 Identifying Black Swans in the Athens Stock Exchange
by Tsoukalas Asterios & Drimpetas Evaggelos & Geronikolaou George
2018, Volume 5, Issue 2
- 1-11 Agricultural Aid, Agricultural Productivity and its Volatility: A Note
by Eskander Alvi & Debasri Mukherjee & James Squires - 13-44 Alternative investments as a financing tool for small and medium enterprises
by Thomas Poufinas & Maria Polychronou
2018, Volume 5, Issue 1
- 1-27 Testing the Growth Links of Emerging Economies: Croatia in a Growing World Economy
by Thomas Ziesemer - 29-38 Infrastructure Investment and the Indian Economy
by Atrayee Ghosh Roy
2017, Volume 4, Issue 2
- 1-36 On the efficiency of various expansionary fiscal policies and cuts in taxation rates in order to sustain economic activity
by Séverine Menguy - 37-49 The impact of public policies and institutions on economic growth in developing countries: New empirical evidence
by Minh Quang Dao - 51-55 Basel III impact on the Italian banking sector
by Vasilios Sogiakas - 57-64 Foreign Aid and Dutch Disease in Thailand
by Hiroaki Sakurai
2017, Volume 4, Issue 1
- 1-12 The Impact of Internal Governance Mechanisms on the Share Price Volatility of Listed Companies in Paris Stock Exchange
by Mediha Mezhoud & Asma Sghaier & Adel Boubaker - 13-33 Frequency of Adjusting Asset Allocations in the Life-Cycle Pension Model: When Doing More Is Not Necessarily Better
by Andrey Kudryavtsev & Shosh Shahrabani & Yaniv Azoulay - 35-45 Determinants of the size of government in high-income countries
by Minh Quang Dao
2016, Volume 3, Issue 2
- 1-8 Gini Coefficients of Education for 146 Countries, 1950-2010
by Thomas Ziesemer - 9-29 Testing Exchange Rate Models in a Small Open Economy: an SVR Approach
by Theophilos Papadimitriou & Periklis Gogas & Vasilios Plakandaras - 31-42 The Resource Curse Hypothesis Revisited: Evidence from Asian Economies
by Hiroyuki Taguchi & Ni Lar - 43-98 Optimal Budgetary Policies in New-Keynesian Models: Can they help when the Zero Lower Bound is binding?
by Séverine Menguy
2016, Volume 3, Issue 1
- 1-9 Is Real Depreciation Expansionary? The Case of Ireland
by Yu Hsing - 11-28 Modeling Energy Prices with a Markov-Switching dynamic regression model: 2005-2015
by Georgios Galyfianakis & Evagelos Drimbetas & Nikolaos Sariannidis - 29-46 Robustness of Optimal Interest Rate Rules in an Open Economy
by Li Qin & Moïse Sidiropoulos
2015, Volume 2, Issue 2
2015, Volume 2, Issue 1
- 1-19 The exposure of technology and knowledge intense sectors to the business cycle
by Werner Hölzl & Serguei Kaniovski & Andreas Reinstaller - 21-36 Time-Varying Versus Fixed Weights in Exchange-Market Pressure Indices: Evidence From Tests Using Latin American Data
by Scott W. Hegerty - 37-50 Exploratory Panel Data Evidence on the Relative Efficacy of Real Federal as Opposed to Real State Cigarette Excise Taxes in Reducing Cigarette Smoking in the United States
by Fabrizio Rossi & Richard J. Cebula & Don Capener
2014, Volume 1, Issue 1
- 1-13 Do International Capital Flows Worsen Macroeconomic Volatility in Transition Economies?
by Scott W. Hegerty - 15-34 A Bank Lending Channel that is Working via Housing or via Consumer Loans? Evidence from Europe
by Stefanos Papadamou & Vaggelis Arvanitis & Costas Siriopoulos - 35-63 The Effect of Immigration on Economic Growth in an Ageing Economy
by Joan Muysken & Thomas Ziesemer
0000, Volume 9, Issue 2
- 1-9(2) On the Heteroskedastic-Autoregressive Specification of the Linear Regression Model
by Eftychia Lola & Spyridon D. Symeonides
0000, Volume 9, Issue 1
- 1-9(1) Yield Curve Construction: A Note on the Moldovan bond market
by Olesea Speian & Victoria Ganea & Constantinos Kyriakopoulos