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 57, issue 6, 2005
- Transparency and market microstructure pp. 491-492

- Daniel G. Weaver
- Reputation-based pricing and price improvements pp. 493-527

- Gabriel Desgranges and Thierry Foucault
- The impact of limit order anonymity on liquidity: Evidence from Paris, Tokyo and Korea pp. 528-540

- Comerton-Forde, Carole, Alex Frino and Vito Mollica
- Archipelago's move towards exchange status: An analysis of Archipelago trading in NYSE and NASDAQ stocks pp. 541-554

- Van T. Nguyen, Bonnie F. Van Ness and Robert A. Van Ness
- Specialist: The firm or the individual?: Empirical evidence from the options markets pp. 555-575

- Amber Anand
- Slow and fast markets pp. 576-593

- Vassilis Polimenis
Volume 57, issue 5, 2005
- From the Great Depression to the Great Inflation: Path dependence and monetary policy pp. 375-387

- Mark V. Siegler and Kristin Ann Van Gaasbeck
- Closed-end country funds and the role of exchange rates in pricing and in determination of premiums and discounts pp. 388-410

- Peggy E. Swanson and Tsai, Pei-Jung
- Long-term performance of rival banks around bank failures pp. 411-432

- Marcia Millon Cornett, Jamie John McNutt and Hassan Tehranian
- The relationship between privatization and DEA estimates of efficiency in the container port industry pp. 433-462

- Kevin Cullinane, Ping Ji and Wang, Teng-fei
- The forecasting abilities of implied and econometric variance-covariance models across financial measures pp. 463-490

- James Chong
Volume 57, issue 4, 2005
- Subsistence consumption, habit formation and the demand for long-term bonds pp. 273-287

- David Weinbaum
- The linkage between the firm's financing decisions and real market performance: A panel study of Indian corporate sector pp. 288-316

- Arindam Bandyopadhyay and Sandwip Kumar Das
- The effect of the Gramm-Leach-Bliley Act on the insurance industry pp. 317-338

- Faith R. Neale and Pamela P. Peterson
- Insolvency and economic development: Regional variation and adjustment pp. 339-359

- Richard Fabling and Arthur Grimes
- Degree of competition in the Japanese securities industry pp. 360-374

- Yoshiro Tsutsui and Akiko Kamesaka
Volume 57, issue 3, 2005
- New evidence of scope economies among lending, deposit-taking, loan commitments and mutual fund activities pp. 187-207

- Santiago Carbo and Francisco Rodríguez Fernández
- Observed versus theoretical prices under price limit regimes pp. 208-237

- Tamir Levy and Joseph Yagil
- A signaling motive for self-regulation in the shadow of coercion pp. 238-246

- Anthony Giles Heyes
- Money and capital investment in South Africa: A dynamic specification model pp. 247-258

- Nicholas M. Odhiambo
- Specialisation-based external economies, supply of primary factors and government size pp. 259-271

- Sajid Anwar
Volume 57, issue 2, 2005
- Are international stock returns predictable?: An application of spectral shape tests corrected for heteroskedasticity pp. 103-118

- Matthew Q. McPherson, Joseph Palardy and Jon Vilasuso
- An empirical study of inflation distortions to EVA pp. 119-137

- Richard S. Warr
- Externality and organizational choice in franchising pp. 139-149

- Antony Dnes and Nuno Garoupa
- The labor-leisure choice in executive compensation plans: Does too much pay reduce REIT performance? pp. 151-163

- John L. Scott, Randy . Anderson and James R. Webb
- On the incidence of deferred taxes, intangibles and non-linearities in the relationship between Tobin's Q and ROI pp. 165-185

- F.J. Arcelus, D. Mitra and G. Srinivasan
Volume 57, issue 1, 2005
- Oil sensitivity and systematic risk in oil-sensitive stock indices pp. 1-21

- Shawkat Hammoudeh and Huimin Li
- Option-implied asymmetries in bond market expectations around monetary policy actions of the ECB pp. 23-38

- Sami Vähämaa
- Asymmetric information and distance: an empirical assessment of geographical credit rationing pp. 39-59

- Kenneth Carling and U Sofia Lundberg
- The entry/exit real options model for Internet securities trading business pp. 61-74

- Lin, Chin-Tsai, Tyrone T. Lin and Yeh, Lung-Chu
- Assessing the impact of the September 11 terrorist attacks on U.S. airline demand pp. 75-95

- Harumi Ito and Darin Lee
Volume 56, issue 6, 2004
- A note on closet-indexing pp. 431-441

- Jonathan Taylor
- Bank capital regulation, asset risk, and subordinated uninsured debt pp. 443-468

- Susanne Homolle
- The US stock market and the international value of the US dollar pp. 469-481

- Robert Johnson and Luc Soenen
- Maintenance and repair expenditures: determinants and tradeoffs with new capital goods pp. 483-499

- J. K. Mullen and Martin Williams
- Is the US fiscal deficit sustainable?: A fractionally integrated approach pp. 501-526

- Juncal Cuñado, Luis Alberiko Gil-Alana and Fernando Pérez de Gracia
Volume 56, issue 5, 2004
- Are patents strategic barriers to entry? pp. 349-361

- Corinne Langinier
- The impact of uncertainty about demand growth on preemption pp. 363-376

- Marc Bourreau
- Bank acquisitions and performance: evidence from a panel of European credit entities pp. 377-404

- Belen Diaz Diaz, Myriam Garcia Olalla and Sergio Sanfilippo Azofra
- Increase in risk and saving behavior pp. 405-414

- Larry Y. Tzeng and Wang, Jen-Hung
- Examining legislative challenges to central bank autonomy: macroeconomic and agency costs models pp. 415-428

- Franklin Mixon and Kamal Upadhyaya
Volume 56, issue 4, 2004
- Research perspectives pp. 245-246

- Kenneth J. Kopecky
- Recent developments in understanding the demand for money pp. 247-272

- John V. Duca and David VanHoose
- Currency demand by federal reserve cash office: what do we know? pp. 273-285

- Ruth A. Judson and Richard D. Porter
- Patterns of competition in banking pp. 287-313

- Sherrill Shaffer
- Relationship lending: a survey of the literature pp. 315-330

- Elyas Elyasiani and Lawrence G. Goldberg
- The value of active portfolio management pp. 331-346

- Ravi Shukla
Volume 56, issue 3, 2004
- Why have the returns to technical analysis decreased? pp. 159-176

- Willis V. Kidd and B Wade Brorsen
- Competition, matching, and geographical clustering at early stages of the industry life cycle pp. 177-195

- Mikhail M. Klimenko
- Finite lifetimes and government spending in an endogenous growth model pp. 197-210

- Stephen Kosempel
- Replacement of cash by cards in US consumer payments pp. 211-225

- David B. Humphrey
- Macroeconomic rationality and Lucas' misperceptions model: further evidence from 41 countries pp. 227-241

- Nicholas Apergis and Stephen M. Miller
Volume 56, issue 2, 2004
- European and international asymmetry in the volatility transmission mechanism: the "German Dominance Hypothesis" revisited pp. 75-97

- Nikiforos Laopodis
- Quality and price dispersion in an equilibrium search model pp. 99-116

- Damien Besancenot and Radu Vranceanu
- Causes of retail price fixity: an empirical analysis pp. 117-136

- Timothy J. Richards and Paul M. Patterson
- Predicted and actual costs from individual bank mergers pp. 137-157

- Santiago Carbo and David B. Humphrey
Volume 56, issue 1, 2004
- Adverse-selection versus signaling: evidence from the pricing of Chinese IPOs pp. 1-19

- Dongwei Su
- Country financial risk and stock market performance: the case of Latin America pp. 21-41

- Ephraim Clark and Konstantinos Kassimatis
- Inflation, output growth, and stabilization in Turkey, 1980-2002 pp. 43-61

- Selahattin Dibooglu and Aykut Kibritçioğlu
- A note on transaction costs and the existence of derivatives markets pp. 63-70

- Frank Fehle
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