Details about C. James Hueng
Access statistics for papers by C. James Hueng.
Last updated 2025-03-17. Update your information in the RePEc Author Service.
Short-id: phu52
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Working Papers
2006
- Why Did the Sign of the Price-Output Correlation Change? Evidence from a Structural VAR with GARCH Errors
Working Papers, Ball State University, Department of Economics View citations (1)
2000
- Predictive Abilities of Inflation-Forecasting Models Using Real Time Data
Departmental Working Papers, Chinese University of Hong Kong, Department of Economics View citations (1)
Journal Articles
2025
- Is Chinaʼs Capital Liberalisation Policy Effective?
Asia and the Pacific Policy Studies, 2025, 12, (1)
- The influence of market liquidity on the efficiency of China's pilot carbon markets
Finance Research Letters, 2025, 72, (C)
- The user-side energy storage investment under subsidy policy uncertainty
Applied Energy, 2025, 386, (C)
2024
- Central-local collaborative environmental governance and firm-level environmental performance: the role of firm ownership
Economics of Governance, 2024, 25, (1), 57-80
- Puzzling retrenchment of banking outflows: The role of information asymmetry
Research in International Business and Finance, 2024, 68, (C)
- The effects of corruption on China’s provincial eco-efficiency
Journal of the Asia Pacific Economy, 2024, 29, (2), 463-482
2023
- A self-selection pricing mechanism for residential electricity: Measures of sustainability and equity to balance market mechanisms and government controls
Journal of Policy Modeling, 2023, 45, (6), 1167-1183
- The real consequences of financial stress: Evidence from China
Journal of the Asia Pacific Economy, 2023, 28, (3), 855-872
- Using a price floor on carbon allowances to achieve emission reductions under uncertainty
Economic Analysis and Policy, 2023, 80, (C), 1096-1110
2022
- Does too much finance suppress a country’s participation in the global value chains?
Applied Economics Letters, 2022, 29, (16), 1504-1508
- Dynamics of gross capital flows and financial stress in China
Finance Research Letters, 2022, 44, (C) View citations (2)
2021
- Government intervention in Chinese rural commercial banks – A helping hand or a grabbing hand?
Applied Economics Letters, 2021, 28, (3), 249-253 View citations (1)
- Illiquidity contagion and pricing of commonality risk: Evidence from a dynamic conditional correlation model
Finance Research Letters, 2021, 39, (C)
- Measurement and spillover effect of digital financial inclusion: a cross-country analysis
Applied Economics Letters, 2021, 28, (20), 1738-1743 View citations (15)
2020
- Using digital technology to improve financial inclusion in China
Applied Economics Letters, 2020, 27, (1), 30-34 View citations (14)
2019
- Concentration of industrial pollution in China
Applied Economics Letters, 2019, 26, (16), 1339-1344
- Domestic financial instability and foreign reserves accumulation in China
International Finance, 2019, 22, (2), 124-137 View citations (3)
- Nowcasting GDP Growth for Small Open Economies with a Mixed-Frequency Structural Model
Computational Economics, 2019, 54, (1), 177-198 View citations (4)
2017
- Measuring real business condition in China
China Economic Review, 2017, 46, (C), 261-274
2014
- Are global systematic risk and country-specific idiosyncratic risk priced in the integrated world markets?
International Review of Economics & Finance, 2014, 33, (C), 28-38 View citations (3)
2013
- Country-specific idiosyncratic risk and global equity index returns
International Review of Economics & Finance, 2013, 25, (C), 326-337 View citations (13)
2012
- Central Bank Behavior and Statutory Independence
Atlantic Economic Journal, 2012, 40, (2), 111-126 View citations (1)
2010
- Traditional view or revisionist view? The effects of monetary policy on exchange rates in Asia
Applied Financial Economics, 2010, 20, (9), 753-760 View citations (12)
2009
- Interest-rate risk factor and stock returns: a time-varying factor-loadings model
Applied Financial Economics, 2009, 19, (22), 1813-1824 View citations (4)
2008
- A dual-target monetary policy rule for open economies: an application to France
Applied Economics Letters, 2008, 15, (12), 945-948
- Conditional risk-return relationship in a time-varying beta model
Quantitative Finance, 2008, 8, (4), 381-390 View citations (10)
2007
- Output convergence revisited: new time series results on industrialized countries
Applied Economics Letters, 2007, 14, (1), 75-77 View citations (1)
2006
- Investor preferences and portfolio selection: is diversification an appropriate strategy?
Quantitative Finance, 2006, 6, (3), 255-271 View citations (4)
- Short-sales constraints and stock return asymmetry: evidence from the Chinese stock markets
Applied Financial Economics, 2006, 16, (10), 707-716 View citations (2)
- Using the Aggregate Demand-Aggregate Supply Model to Identify Structural Demand-Side and Supply-Side Shocks: Results Using a Bivariate VAR
Journal of Money, Credit and Banking, 2006, 38, (3), 777-790 View citations (67)
2005
- Forecasting asymmetries in aggregate stock market returns: Evidence from conditional skewness
Journal of Empirical Finance, 2005, 12, (5), 666-685 View citations (12)
- Overreaction effects independent of risk and characteristics: evidence from the Japanese stock market
Japan and the World Economy, 2005, 17, (4), 431-455 View citations (9)
2003
- The Correlation between Shocks to Output and the Price Level: Evidence from a Multivariate GARCH Model
Southern Economic Journal, 2003, 70, (1), 75-92 View citations (2)
2002
- ARE POLICY RULES BETTER THAN THE DISCRETIONARY SYSTEM IN TAIWAN?
Contemporary Economic Policy, 2002, 20, (1), 60-71 View citations (3)
2000
- Do bubbles and time-varying risk premiums affect stock prices? a Kalman filter approach
Global Business and Economics Review, 2000, 2, (2), 159-171
- Sources of Persistence in Cross-Country Income Disparities: A Structural Analysis
Journal of Macroeconomics, 2000, 22, (4), 611-630 View citations (1)
- The impact of foreign variables on domestic money demand: Evidence from the United Kingdom
Journal of Economics and Finance, 2000, 24, (2), 97-109 View citations (6)
1999
- Money demand in an open-economy shopping-time model: an out-of-sample-prediction application to Canada
Journal of Economics and Business, 1999, 51, (6), 489-503 View citations (11)
1998
- The demand for money in an open economy: Some evidence for Canada
The North American Journal of Economics and Finance, 1998, 9, (1), 15-31 View citations (17)
Books
2020
- Alternative Economic Indicators
Books from Upjohn Press, W.E. Upjohn Institute for Employment Research View citations (1)
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