Journal of Economics and Business 2003 - Abstracts

Journal of Economics and Business 2003
TitleSubjectAuthors
A logistic analysis of bankruptcy within the US local telecommunications industry.EconomicsForeman, R. Dean
Are the East Asian markets integrated? Evidence from the ICAPM.(international capital asset pricing model)EconomicsGerard, Bruno, Thanyalakpark, Kessara, Batten, Jonathan A.
Asymmetrical reaction to US stock-return news: evidence from major stock markets based on a double-threshold model.EconomicsChen, Cathy W.S., Chiang, Thomas C., So, Mike K.P.
Contagion: a fear for African equity markets?EconomicsBiekpe, Nicholas, Collins, Daryl
Contagion and interdependence in stock markets: have they been misdiagnosed?EconomicsBillio, Monica, Pelizzon, Loriana
Corporate holding of finished goods inventories.EconomicsBlazenko, George W., Vandezande, Kirk
Currency substitution, seigniorage, and currency crises in interdependent economics.EconomicsDaniels, Joseph P., VanHouse, David D.
Did branch banking restrictions increase bank failures? Evidence from Virginia and West Virginia in the late 1920s.EconomicsRamirez, Carlos D.
Does corruption increase emerging market bond spreads?EconomicsCiocchini, Francisco, Durbin, Erik, Ng, David T.C.
Exchange rate regimes and stock return volatility: some evidence from Asia's silver era.EconomicsBailey, Warren, Mao, Connie X., Zhong, Rui
Financial liberalisation: from segmented to integrated economies.EconomicsTaskin, Fatma, Muradoglu, Gulnur
Foreign listings, corporate governance, and equity valuations.EconomicsSalva, Carolina
How big is the speculative component in Australian share prices?EconomicsGroenewold, Nicolaas, Fraser, Patricia, Black, Angela
Information production and lending market competition.EconomicsHyytinen, Ari
Monetary and fiscal policy transmission in the Euro-area: evidence from a structural VAR analysis.(vector auto-regressive)EconomicsAarle, Bas van, Garretsen, Harry, Gobbin, Niko
Monetary policy and bond option pricing in an analytical RBC model.EconomicsSoderlind, Paul
Nontraditional activities and bank efficiency revisited: a distributional analysis for Spanish financial institutions.EconomicsTortosa-Ausina, Emili
Ownership, risk and performance of mutual fund management companies.EconomicsBerkowitz, Michael K., Qiu, Jiaping
Pricing of library subscriptions with applications to scientific journals.EconomicsShy, Oz, Issman-Weit, Einat
Retrospective evaluation 1949-2001.EconomicsKopecky, Kenneth J., Deans, Robert H.
Start-up financing, owner characteristics, and survival.EconomicsAstebro, Thomas, Bernhardt, Irwin
Talmudic division as a cartel rule.EconomicsOrbay, Benan Zeki, Orbay, Hakan
The relevance of currency risk in the EMU.(European Monetary Union)EconomicsDe Santis, Giorgio, Gerard, Bruno, Hillion, Pierre
UK inflation in the 1970s and 1980s: the role of output gap mismeasurement.EconomicsNelson, Edward, Nikolov, Kalin
Understanding the behavior of financial ratios: the adjustment process.EconomicsGallizo, Jose L., Salvador, Manuel
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