Journal of Economics and Business
1982 - 2009
Edited by G. P. Szegö from Elsevier Series data maintained by Heidi Boesdal (). Access Statistics for this journal.
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Volume 55, issue 5-6, 2003
- International market linkages pp. 399-404

- Warren Bailey and J. Jay Choi
- Contagion and interdependence in stock markets: Have they been misdiagnosed? pp. 405-426

- Monica Billio and Loriana Pelizzon
- The relevance of currency risk in the EMU pp. 427-462

- Roberto A. De Santis, Bruno Gerard and Pierre Hillion
- Foreign listings, corporate governance, and equity valuations pp. 463-485

- Carolina Salva
- Asymmetrical reaction to US stock-return news: evidence from major stock markets based on a double-threshold model pp. 487-502

- Cathy W. S. Chen, Thomas C. Chiang and Mike K. P. So
- Does corruption increase emerging market bond spreads? pp. 503-528

- Francisco Ciocchini, Erik Durbin and David Ng
- Financial liberalisation: from segmented to integrated economies pp. 529-555

- Fatma Taskin and Gulnur Muradoglu
- Exchange rate regimes and stock return volatility: some evidence from Asia's silver era pp. 557-584

- Warren Bailey, Connie X. Mao and Rui Zhong
- Are the East Asian markets integrated? Evidence from the ICAPM pp. 585-607

- Bruno Gerard, Kessara Thanyalakpark and Jonathan Andrew Batten
- Monetary and fiscal policy transmission in the Euro-area: evidence from a structural VAR analysis pp. 609-638

- Bas van Aarle, Harry Garretsen and Niko Gobbin
Volume 55, issue 4, 2003
- Start-up financing, owner characteristics, and survival pp. 303-319

- Thomas Astebro and Irwin Bernhardt
- Monetary policy and bond option pricing in an analytical RBC model pp. 321-330

- Paul Soderlind
- Did branch banking restrictions increase bank failures? Evidence from Virginia and West Virginia in the late 1920s pp. 331-352

- Carlos Ramírez
- UK inflation in the 1970s and 1980s: the role of output gap mismeasurement pp. 353-370

- Edward Nelson and Kalin Nikolov
- Nontraditional activities and bank efficiency revisited: a distributional analysis for Spanish financial institutions pp. 371-395

- Tortosa-Ausina, Emili
Volume 55, issue 3, 2003
- Currency substitution, seigniorage, and currency crises in interdependent economies pp. 221-232

- Joseph P. Daniels and David VanHoose
- Information production and lending market competition pp. 233-253

- Ari Hyytinen
- Corporate holding of finished goods inventories pp. 255-266

- George W. Blazenko and Kirk Vandezande
- Understanding the behavior of financial ratios: the adjustment process pp. 267-283

- Jose L. Gallizo and Manuel Salvador
- Contagion: a fear for African equity markets? pp. 285-297

- Daryl Collins and Nicholas Biekpe
Volume 55, issue 2, 2003
- Ownership, risk and performance of mutual fund management companies pp. 109-134

- Michael Berkowitz and Jiaping Qiu
- A logistic analysis of bankruptcy within the US local telecommunications industry pp. 135-166

- R. Dean Foreman
- Talmudic division as a cartel rule pp. 167-175

- Benan Zeki Orbay and Hakan Orbay
- How big is the speculative component in Australian share prices? pp. 177-195

- Angela J. Black, Patricia Fraser and Nicolaas Groenewold
- Pricing of library subscriptions with applications to scientific journals pp. 197-218

- Issman-Weit, Einat and Oz Shy
Volume 55, issue 1, 2003
- Retrospective evaluation 1949-2001 pp. 1-10

- Robert H. Deans and Kenneth J. Kopecky
Volume 54, issue 6, 2002
- Level and growth policy rules and actual Fed policy since 1979 pp. 575-594

- Yash P. Mehra
- Cost efficiency among credit card banks pp. 595-614

- Sivakumar Kulasekaran and Sherrill Shaffer
- On the efficiency of monetary policy rules with flexible prices and rational expectations pp. 615-631

- Turan G. Bali and Thom B. Thurston
- The impact of managerial change on team performance in professional sports pp. 633-650

- Rick Audas, Stephen Dobson and John Goddard
- A note on government spending on infrastructure in an endogenous growth model with finite horizon pp. 651-654

- Jumpei Tanaka
Volume 54, issue 5, 2002
- Was money demand in the USA unstable before 1982? An application of the sup-F stability test pp. 465-481

- Clinton A. Greene
- A model for exchange rates with crawling bands--an application to the Colombian peso pp. 483-503

- Chris Brooks and Alejandro Reveiz
- On the term structure of interest rates and inflation in Japan pp. 505-523

- Jun Nagayasu
- Insider trading and stock market perception of bankruptcy pp. 525-535

- Zahid Iqbal and Shekar Shetty
- Determinants of Japanese corporate pension coverage pp. 537-555

- Yutaka Horiba and Kazuo Yoshida
- Differential impact of exchange rate on US trade with two major and two minor trading partners in Africa pp. 557-571

- Nkanta Frank Ekanem
Volume 54, issue 4, 2002
- Predicting large US commercial bank failures pp. 361-387

- James Kolari, Dennis Glennon, hwan Shin and Michele Caputo
- Real wages and aggregate demand shocks: contradictory evidence from VARs pp. 389-413

- William D Lastrapes
- Some new results on interest rate rules in EMU and in the US pp. 431-446

- Rafael Domenech, Mayte Ledo and David Taguas
- Residential investment, macroeconomic activity and financial deregulation in the UK: an empirical investigation pp. 447-462

- Mohammad S. Hasan and Majid Taghavi
Volume 54, issue 3, 2002
- Convergence of the gender gap over the business cycle: a sectoral investigation pp. 271-292

- Magda ElSayed Kandil and Jeffrey G. Woods
- Using interest rate uncertainty to predict the paper-bill spread and real output pp. 293-312

- Russell P. Chuderewicz
- Inexperienced banks and interstate mergers pp. 313-330

- Jeffrey R. Hart and Vince P. Apilado
- Generation search costs and Ramsey pricing in a partially deregulated electric utility industry pp. 331-343

- S. Keith Berry
- Tax asymmetry, production and hedging pp. 345-356

- Rafael Eldor and Itzhak Zilcha
Volume 54, issue 2, 2002
- Federal funds rate target changes and interest rate volatility pp. 159-191

- Jim Lee
- Volatility clustering and nontrading days in Chinese stock markets pp. 193-217

- Ralph Friedmann and Sanddorf-Kohle, Walter G.
- Credit market development and economic growth pp. 219-237

- Hung, Fu-Sheng and Richard Cothren
- On the determinants of factoring as a financing choice: evidence from the UK pp. 239-252

- Khaled Soufani
- Fee versus royalty licensing in a differentiated Cournot duopoly pp. 253-266

- X. Henry Wang
Volume 54, issue 1, 2002
- Tough love in risk management: the market as financial parent pp. 3-6

- Linda Allen
- Multiple bank lending and seniority in claims pp. 7-30

- Shubhashis Gangopadhyay and Bappaditya Mukhopadhyay
- Information asymmetry in disclosure of foreign exchange risk management: can regulation be effective? pp. 31-53

- Andrew P. Marshall and Pauline Weetman
- Financial advising in the presence of conflict of interests pp. 55-71

- Miriam Krausz and Jacob Paroush
- Determinants of corporate growth opportunities of emerging firms pp. 73-93

- Jacqueline L. Garner, Jouahn Nam and Richard E. Ottoo
- Price formation in the OTC corporate bond markets: a field study of the inter-dealer market pp. 95-113

- Anthony Saunders, Anand Srinivasan and Ingo Walter
- Analysis of proposals for a minimum subordinated debt requirement1 pp. 115-136

- William W. Lang and Douglas D. Robertson
- The stock market performance of the central banks of Belgium and Japan pp. 137-152

- Lawrence G. Goldberg and Rezaul Kabir
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