Details about Chien-Chiang Lee
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Last updated 2023-01-11. Update your information in the RePEc Author Service.
Short-id: ple551
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Working Papers
2018
- Insurance Activity and Economic Performance: Fresh Evidence from Asymmetric Panel Causality Tests
Working Papers, University of Pretoria, Department of Economics View citations (1)
See also Journal Article in International Finance (2019)
- Insurance-Growth Nexus in Africa
Working Papers, University of Pretoria, Department of Economics View citations (1)
See also Journal Article in The Geneva Papers on Risk and Insurance - Issues and Practice (2020)
- The Synergistic Effect of Insurance and Banking Sector Activities on Economic Growth in Africa
Working Papers, University of Pretoria, Department of Economics View citations (8)
See also Journal Article in Economic Systems (2018)
2017
- Economic Policy Uncertainty and Insurance
Working Papers, University of Pretoria, Department of Economics View citations (3)
2016
- Asymmetric dynamics of insurance premium: The impacts of output and economic policy uncertainty
Working Papers, University of Pretoria, Department of Economics View citations (1)
See also Journal Article in Empirical Economics (2019)
2012
- House price diffusion and cross-border house price dynamics in Asia
ERES, European Real Estate Society (ERES)
Journal Articles
2023
- Globalization, government regulation, and country risk: International evidence
The Journal of International Trade & Economic Development, 2023, 32, (1), 132-162 View citations (1)
- Ownership Structure, Diversification, and Bank Performance: International Evidence
Emerging Markets Finance and Trade, 2023, 59, (1), 90-112
- Signaling effect of cash holdings adjustment before bond issuance
International Review of Financial Analysis, 2023, 85, (C) View citations (7)
- Trading volume and realized volatility forecasting: Evidence from the China stock market
Journal of Forecasting, 2023, 42, (1), 76-100 View citations (14)
2022
- A green path towards sustainable development: Optimal behavior of the duopoly game model with carbon neutrality instruments
Sustainable Development, 2022, 30, (6), 1523-1541 View citations (2)
- A green path towards sustainable development: The impact of low-carbon city pilot on energy transition
Energy Economics, 2022, 115, (C) View citations (7)
- A regime-switching real-time copula GARCH model for optimal futures hedging
International Review of Financial Analysis, 2022, 84, (C) View citations (7)
- An asymmetric examination of the environmental effect of tourism in China
Tourism Economics, 2022, 28, (7), 1872-1887
- Application of gravity model to explain the effects of diplomatic relations on China’s service trade
Applied Economics Letters, 2022, 29, (5), 431-436
- Assessing the impact of industrial robots on manufacturing energy intensity in 38 countries
Energy Economics, 2022, 105, (C) View citations (27)
- Assessing the impacts of formal and informal regulations on ecological footprint
Sustainable Development, 2022, 30, (5), 989-1017 View citations (1)
- Broadband infrastructure and export growth
Telecommunications Policy, 2022, 46, (5) View citations (25)
- Can digital economy alleviate CO2 emissions in the transport sector? Evidence from provincial panel data in China
Natural Resources Forum, 2022, 46, (3), 289-310 View citations (1)
- Can digital finance narrow the regional disparities in the quality of economic growth? Evidence from China
Economic Analysis and Policy, 2022, 76, (C), 502-521 View citations (6)
- Climate risk and bank liquidity creation: International evidence
International Review of Financial Analysis, 2022, 82, (C) View citations (6)
- Comparative advantage, endowment structure, and trade imbalances
Structural Change and Economic Dynamics, 2022, 60, (C), 365-375 View citations (33)
- Crossing the rivers by feeling the stones: The effect of China's green credit policy on manufacturing firms' carbon emission intensity
Energy Economics, 2022, 116, (C) View citations (2)
- Digital financial inclusion and carbon neutrality: Evidence from non-linear analysis
Resources Policy, 2022, 79, (C) View citations (10)
- Digitalization, competition strategy and corporate innovation: Evidence from Chinese manufacturing listed companies
International Review of Financial Analysis, 2022, 82, (C) View citations (38)
- Do financial inclusion and R&D matter? Exploring the effect of uncertainty on economic performance
Applied Economics, 2022, 54, (3), 307-325 View citations (4)
- Do national cultures matter for tourism development? Some international evidence
Economic Analysis and Policy, 2022, 74, (C), 666-686 View citations (1)
- Does industrial robot application promote green technology innovation in the manufacturing industry?
Technological Forecasting and Social Change, 2022, 183, (C) View citations (13)
- Does natural resources matter for sustainable energy development in China: The role of technological progress
Resources Policy, 2022, 79, (C) View citations (4)
- Does religion belief matter to self-employment of rural elderly? Evidence from China
Journal of Asian Economics, 2022, 83, (C) View citations (1)
- Ecological footprint, human capital, and urbanization
Energy & Environment, 2022, 33, (3), 487-510 View citations (12)
- Exchange rate fluctuations and interest rate policy
International Journal of Finance & Economics, 2022, 27, (3), 3531-3549 View citations (14)
- Financial aid and financial inclusion: Does risk uncertainty matter?
Pacific-Basin Finance Journal, 2022, 71, (C) View citations (34)
- Financial development, technological innovation and energy security: Evidence from Chinese provincial experience
Energy Economics, 2022, 112, (C) View citations (9)
- GDP volatility implication of tourism volatility in South Africa: A time-varying approach
Tourism Economics, 2022, 28, (2), 435-450 View citations (2)
- Gender diversity, sustainability reporting, CEO overconfidence, and efficient risk‐taking: Evidence from South Asian agri‐food industry
Canadian Journal of Agricultural Economics/Revue canadienne d'agroeconomie, 2022, 70, (3), 219-238 View citations (1)
- Geographic proximity and corporate investment efficiency: Evidence from high-speed rail construction in China
Journal of Banking & Finance, 2022, 140, (C) View citations (49)
- How does digital inclusive finance affect carbon intensity?
Economic Analysis and Policy, 2022, 75, (C), 174-190 View citations (24)
- How does export diversification affect income inequality? International evidence
Structural Change and Economic Dynamics, 2022, 63, (C), 410-421 View citations (3)
- How does fiscal policy uncertainty affect corporate innovation investment? Evidence from China's new energy industry
Energy Economics, 2022, 105, (C) View citations (50)
- How does green finance affect green total factor productivity? Evidence from China
Energy Economics, 2022, 107, (C) View citations (125)
- How does information and communication technology affect energy security? International evidence
Energy Economics, 2022, 109, (C) View citations (35)
- How does information and communication technology affect renewable energy technology innovation? International evidence
Renewable Energy, 2022, 200, (C), 546-557 View citations (18)
- How does the use of industrial robots affect the ecological footprint? International evidence
Ecological Economics, 2022, 198, (C) View citations (29)
- Impact of digitalization and environmental regulation on total factor productivity
Information Economics and Policy, 2022, 61, (C) View citations (5)
- Impacts of export diversification on energy intensity, renewable energy, and waste energy in 121 countries: Do environmental regulations matter?
Renewable Energy, 2022, 199, (C), 1510-1522 View citations (10)
- Is gold a long-run hedge, diversifier, or safe haven for oil? Empirical evidence based on DCC-MIDAS
Resources Policy, 2022, 76, (C) View citations (20)
- Liquidation threat: Behavior of CEO entrenchment
Finance Research Letters, 2022, 47, (PA) View citations (1)
- Liquidity indicators, early warning signals in banks, and financial crises
The North American Journal of Economics and Finance, 2022, 62, (C) View citations (4)
- Macroeconomic outcomes of OPEC and non-OPEC oil supply shocks in the euro area
Energy Economics, 2022, 109, (C) View citations (15)
- Natural resources and green economic growth: An analysis based on heterogeneous growth paths
Resources Policy, 2022, 79, (C) View citations (13)
- New evidence on liquidity creation and bank capital: The roles of liquidity and political risk
Economic Analysis and Policy, 2022, 73, (C), 778-794 View citations (12)
- Optimal Margin Levels for Margin Buying in China: An Extreme Value Method
Emerging Markets Finance and Trade, 2022, 58, (9), 2553-2566
- Optimal green technology investment and emission reduction in emissions generating companies under the support of green bond and subsidy
Technological Forecasting and Social Change, 2022, 183, (C) View citations (24)
- Profit sharing, industrial upgrading, and global supply chains: Theory and evidence
Review of Development Economics, 2022, 26, (4), 2454-2493
- Quantile risk spillovers between energy and agricultural commodity markets: Evidence from pre and during COVID-19 outbreak
Energy Economics, 2022, 113, (C) View citations (34)
- Short Sales and Corporate Investment Efficiency: Evidence from China
Emerging Markets Finance and Trade, 2022, 58, (8), 2342-2354 View citations (2)
- Stock Markets Reaction to COVID-19: Evidence from Time-Varying Cointegration, Leveraged Bootstrap Causality and Event Analysis
Czech Journal of Economics and Finance (Finance a uver), 2022, 72, (4), 328-355 View citations (1)
- Systemic Risk of China’s Financial Industry during the Spread of the COVID-19 Epidemic and the Breakdown of Crude Oil Negotiation
Emerging Markets Finance and Trade, 2022, 58, (1), 56-69 View citations (5)
- The Dimension of Bank Liquidity Creation: Culture Viewpoint
Emerging Markets Finance and Trade, 2022, 58, (12), 3567-3588 View citations (3)
- The Dynamic Correlation between China’s Policy Uncertainty and the Crude Oil Market: A Time-varying Analysis
Emerging Markets Finance and Trade, 2022, 58, (3), 692-709 View citations (4)
- The Impact of Green Development on Modernization in China: Evidence from 108 Cities in the Yangtze River Economic Belt
Emerging Markets Finance and Trade, 2022, 58, (13), 3664-3688 View citations (2)
- The dimension of green economy: Culture viewpoint
Economic Analysis and Policy, 2022, 74, (C), 122-138 View citations (20)
- The dynamic impact of economic growth and economic complexity on CO2 emissions: An advanced panel data estimation
Economic Analysis and Policy, 2022, 73, (C), 112-128 View citations (21)
- The effects of economic policy uncertainty and country governance on banks' liquidity creation: International evidence
Pacific-Basin Finance Journal, 2022, 71, (C) View citations (25)
- The effects of low-carbon pilot policy on technological innovation: Evidence from prefecture-level data in China
Technological Forecasting and Social Change, 2022, 183, (C) View citations (31)
- The impact of COVID-19 on the travel and leisure industry returns: Some international evidence
Tourism Economics, 2022, 28, (2), 451-472 View citations (10)
- The impact of FDI on income inequality: Evidence from the perspective of financial development
International Journal of Finance & Economics, 2022, 27, (1), 137-157 View citations (11)
- The impact of Sino–US trade friction on the performance of China's textile and apparel industry
International Finance, 2022, 25, (2), 151-166 View citations (9)
- The impact of clean energy consumption on economic growth in China: Is environmental regulation a curse or a blessing?
International Review of Economics & Finance, 2022, 77, (C), 39-58 View citations (60)
- The impact of energy security on income inequality: The key role of economic development
Energy, 2022, 248, (C) View citations (23)
- The impact of informal care from children to their elderly parents on self-employment? Evidence from China
Economic Modelling, 2022, 117, (C)
- The impact of information communication technology on energy demand: Some international evidence
International Review of Economics & Finance, 2022, 81, (C), 128-146 View citations (18)
- The impact of renewable energy technology innovation on energy poverty: Does climate risk matter?
Energy Economics, 2022, 116, (C) View citations (9)
- The optimal behavior of renewable energy resources and government's energy consumption subsidy design from the perspective of green technology implementation
Renewable Energy, 2022, 195, (C), 670-680 View citations (14)
- The path of financial risk spillover in the stock market based on the R-vine-Copula model
Physica A: Statistical Mechanics and its Applications, 2022, 600, (C) View citations (10)
- Urban broadband infrastructure and green total-factor energy efficiency in China
Utilities Policy, 2022, 79, (C) View citations (5)
- What is the rationale behind China's infrastructure investment under the Belt and Road Initiative
Journal of Economic Surveys, 2022, 36, (3), 605-633 View citations (17)
2021
- An empirical study on the role of trading volume and data frequency in volatility forecasting
Journal of Forecasting, 2021, 40, (5), 792-816 View citations (9)
- Analyzing the hysteresis properties and growth stability of renewable energy production of the U.S
Applied Economics, 2021, 53, (24), 2752-2770
- Bank competition and firms’ dependence: evidence from firms’ role
Applied Economics, 2021, 53, (10), 1143-1162 View citations (1)
- COVID-19 and instability of stock market performance: evidence from the U.S
Financial Innovation, 2021, 7, (1), 1-18 View citations (18)
- Capturing the dynamics of the China crude oil futures: Markov switching, co-movement, and volatility forecasting
Energy Economics, 2021, 103, (C) View citations (36)
- Climate Risk, Economic Stability, and Tourism - A Cross-Sectionally Dependent Heterogeneous Panel Causality Analysis
Energy RESEARCH LETTERS, 2021, 2, (2), 1-5
- Do firm characteristics affect debt capacity? Evidence in CEO succession
Applied Economics, 2021, 53, (48), 5567-5583 View citations (1)
- Dynamic linkage between oil prices and exchange rates: new global evidence
Empirical Economics, 2021, 61, (2), 719-742 View citations (7)
- Economic Complexity and Income Inequality: Does Country Risk Matter?
Social Indicators Research: An International and Interdisciplinary Journal for Quality-of-Life Measurement, 2021, 154, (1), 35-60 View citations (13)
- Economic policy uncertainty and firm’s cash holding in China: The key role of asset reversibility
Journal of Asian Economics, 2021, 74, (C) View citations (6)
- Effects of trade openness on renewable energy consumption in OECD countries: New insights from panel smooth transition regression modelling
Energy Economics, 2021, 104, (C) View citations (27)
- Energy intensity of manufacturing enterprises under competitive pressure from the informal sector: Evidence from developing and emerging countries
Energy Economics, 2021, 104, (C) View citations (5)
- Exploring the sources of inflation dynamics: New evidence from China
Economic Analysis and Policy, 2021, 70, (C), 313-332
- Family Management and Corporate Bond Spreads: Do Foreign and Government Ownerships Matter?
Emerging Markets Finance and Trade, 2021, 57, (15), 4448-4460
- Financial systems, regulatory quality, and economic growth
The Journal of International Trade & Economic Development, 2021, 30, (2), 246-274 View citations (5)
- Firms' cash reserve, financial constraint, and geopolitical risk
Pacific-Basin Finance Journal, 2021, 65, (C) View citations (34)
- Global convergence of inflation rates
The North American Journal of Economics and Finance, 2021, 58, (C) View citations (3)
- Green credit policy, credit allocation efficiency and upgrade of energy-intensive enterprises
Energy Economics, 2021, 94, (C) View citations (87)
- Green technology innovation and financial development: Do environmental regulation and innovation output matter?
Energy Economics, 2021, 98, (C) View citations (101)
- ICT diffusion, financial development, and economic growth: An international cross-country analysis
Economic Modelling, 2021, 94, (C), 662-671 View citations (64)
- Impact of the COVID-19 Pandemic on the Crude Oil and Stock Markets in the US - A Time-Varying Analysis
Energy RESEARCH LETTERS, 2021, 1, (1), 1-4 View citations (1)
- Investor attention, ETF returns, and country-specific factors
Research in International Business and Finance, 2021, 56, (C) View citations (6)
- Mitigation pathways impact of climate change and improving sustainable development: The roles of natural resources, income, and CO2 emission
Energy & Environment, 2021, 32, (2), 338-363 View citations (24)
- Oil price shocks, geopolitical risks, and green bond market dynamics
The North American Journal of Economics and Finance, 2021, 55, (C) View citations (62)
- Policy-related risk and corporate financing behavior: Evidence from China’s listed companies
Economic Modelling, 2021, 94, (C), 539-547 View citations (25)
- Regional gap and the trend of green finance development in China
Energy Economics, 2021, 102, (C) View citations (54)
- Supply-side structural reform and dynamic capital structure adjustment: Evidence from Chinese-listed firms
Pacific-Basin Finance Journal, 2021, 65, (C) View citations (16)
- Testing the persistence of shocks on renewable energy consumption: Evidence from a quantile unit-root test with smooth breaks
Energy, 2021, 215, (PB) View citations (9)
- The effects of investor attention and policy uncertainties on cross-border country exchange-traded fund returns
International Review of Economics & Finance, 2021, 71, (C), 830-852 View citations (4)
- The impact of natural disaster on energy consumption: International evidence
Energy Economics, 2021, 97, (C) View citations (33)
- The impact of peer effects and economic policy-related uncertainty on U.S. life insurers' investment decisions
The Geneva Papers on Risk and Insurance - Issues and Practice, 2021, 46, (1), 22-52
- The impact of regional banks on environmental pollution: Evidence from China's city commercial banks
Energy Economics, 2021, 102, (C) View citations (17)
- The impact of the COVID-19 outbreak on Chinese-listed tourism stocks
Financial Innovation, 2021, 7, (1), 1-18 View citations (16)
- The impacts of ICTs on tourism development: International evidence based on a panel quantile approach
Information Technology & Tourism, 2021, 23, (4), 509-547 View citations (11)
- The role of high-frequency data in volatility forecasting: evidence from the China stock market
Applied Economics, 2021, 53, (22), 2500-2526 View citations (7)
- Tourism development and happiness: International evidence
Tourism Economics, 2021, 27, (5), 1101-1136 View citations (2)
- Toward an empirical investigation of the long-term debt and financing deficit nexus: evidence from Chinese-listed firms
Applied Economics, 2021, 53, (33), 3832-3853 View citations (1)
- Towards a dynamic model of the industrial upgrading with global value chains
The World Economy, 2021, 44, (9), 2683-2702 View citations (3)
2020
- BILATERAL RENT‐SEEKING AND GROWTH OF FDI INFLOW IN CHINA: THEORY AND EVIDENCE
Contemporary Economic Policy, 2020, 38, (2), 359-379 View citations (4)
- Bank Income Diversification, Asset Correlation and Systemic Risk
South African Journal of Economics, 2020, 88, (1), 71-89
- Convergence of the world’s energy use
Resource and Energy Economics, 2020, 62, (C) View citations (8)
- Country governance, corruption, and the likelihood of firms’ innovation
Economic Modelling, 2020, 92, (C), 326-338 View citations (16)
- Do natural disasters and geopolitical risks matter for cross-border country exchange-traded fund returns?
The North American Journal of Economics and Finance, 2020, 51, (C) View citations (14)
- Dynamic spillovers and connectedness between oil returns and policy uncertainty
Applied Economics, 2020, 52, (35), 3788-3808 View citations (16)
- Effects of financial development on energy consumption: The role of country risks
Energy Economics, 2020, 90, (C) View citations (57)
- Financial development, energy consumption and China's economic growth: New evidence from provincial panel data
International Review of Economics & Finance, 2020, 69, (C), 1132-1151 View citations (17)
- Financial inclusion, financial innovation, and firms’ sales growth
International Review of Economics & Finance, 2020, 66, (C), 189-205 View citations (11)
- Financial innovation and bank growth: The role of institutional environments
The North American Journal of Economics and Finance, 2020, 53, (C) View citations (12)
- Foreign bank lending during a crisis: The impact of financial regulations
Economic Systems, 2020, 44, (3) View citations (12)
- Growth Sources of Green Economy and Energy Consumption in China: New Evidence Accounting for Heterogeneous Regimes
The Energy Journal, 2020, Volume 41, (Number 6), 33-54 View citations (13)
- Growth decomposition bias when accounting for heterogeneous regimes: Evidence from China
Review of Development Economics, 2020, 24, (2), 691-711
- Growth path heterogeneity across provincial economies in China: the role of geography versus institutions
Empirical Economics, 2020, 59, (2), 503-546 View citations (5)
- Happiness sentiments and the prediction of cross-border country exchange-traded fund returns
The North American Journal of Economics and Finance, 2020, 54, (C) View citations (5)
- How does manufacturing agglomeration affect green economic efficiency?
Energy Economics, 2020, 92, (C) View citations (68)
- Insurance activity, real output, and geopolitical risk: Fresh evidence from BRICS
Economic Modelling, 2020, 92, (C), 207-215 View citations (13)
- Insurance and economic policy uncertainty
Research in International Business and Finance, 2020, 54, (C) View citations (12)
- Insurance-growth nexus in Africa
The Geneva Papers on Risk and Insurance - Issues and Practice, 2020, 45, (2), 335-360 View citations (2)
See also Working Paper (2018)
- Investor Herding in the China Stock Market: An Examination of ChiNext
Journal for Economic Forecasting, 2020, (4), 47-61 View citations (2)
- Spatial analysis of liquidity risk in China
The North American Journal of Economics and Finance, 2020, 54, (C) View citations (5)
- THE EFFECTS OF U.S. UNCONVENTIONAL MONETARY POLICY ON ASIAN STOCK MARKETS
The Singapore Economic Review (SER), 2020, 65, (04), 917-945
- The Response of the Stock Market to the Announcement of Global Pandemic
Emerging Markets Finance and Trade, 2020, 56, (15), 3562-3577 View citations (31)
- The going-public decision and rent-seeking activities: Evidence from Chinese private companies
Economic Systems, 2020, 44, (1) View citations (1)
- Toward an internal governance structure of China’s large SOEs
Journal of Asian Economics, 2020, 70, (C) View citations (4)
2019
- Asymmetric dynamics of insurance premium: the impacts of output and economic policy uncertainty
Empirical Economics, 2019, 57, (6), 1959-1978 View citations (12)
See also Working Paper (2016)
- Do country risk and financial uncertainty matter for energy commodity futures?
Journal of Futures Markets, 2019, 39, (3), 366-383 View citations (7)
- Economic policy uncertainty and firm investment: evidence from the U.S. market
Applied Economics, 2019, 51, (31), 3423-3435 View citations (25)
- Financial crises, globalization, and insurer performance: Some international evidence
The North American Journal of Economics and Finance, 2019, 48, (C), 835-856 View citations (1)
- Financial development, income inequality, and country risk
Journal of International Money and Finance, 2019, 93, (C), 1-18 View citations (35)
- Insurance activity and economic performance: Fresh evidence from asymmetric panel causality tests
International Finance, 2019, 22, (2), 221-240 View citations (6)
See also Working Paper (2018)
- Moderating effect of inflation on the finance–growth nexus: insights from West African countries
Empirical Economics, 2019, 57, (2), 399-422 View citations (13)
- Oil price shocks and Chinese banking performance: Do country risks matter?
Energy Economics, 2019, 77, (C), 46-53 View citations (48)
- Taxation of Wealthy Individuals, Inequality Governance and Corporate Social Responsibility
Sustainability, 2019, 11, (7), 1-23 View citations (2)
- The relationship between insurance and banking sectors: does financial structure matter?
The Geneva Papers on Risk and Insurance - Issues and Practice, 2019, 44, (4), 569-594 View citations (1)
2018
- A New Unit Root Test against Asymmetric ESTAR Nonlinearity with Smooth Breaks
Iranian Economic Review (IER), 2018, 22, (1), 51-62 View citations (1)
- Catching-up process in the transition countries
Economic Change and Restructuring, 2018, 51, (3), 249-278 View citations (2)
- Economic growth, financial market, and twin crises
The Journal of International Trade & Economic Development, 2018, 27, (8), 937-967 View citations (5)
- Managerial ability and corporate investment opportunity
International Review of Financial Analysis, 2018, 57, (C), 65-76 View citations (26)
- Renminbi exchange rate assessment and competitors' exports: New perspective
China Economic Review, 2018, 50, (C), 187-205 View citations (7)
- Testing explosive behavior of public debt in OECD countries
The Journal of International Trade & Economic Development, 2018, 27, (7), 761-791
- The Impact of Country Risk on Income Inequality: A Multilevel Analysis
Social Indicators Research: An International and Interdisciplinary Journal for Quality-of-Life Measurement, 2018, 136, (1), 139-162 View citations (15)
- The synergistic effect of insurance and banking sector activities on economic growth in Africa
Economic Systems, 2018, 42, (4), 637-648 View citations (8)
See also Working Paper (2018)
- Time-varying co-movement of the prices of three metals and oil: Evidence from recursive cointegration
Resources Policy, 2018, 57, (C), 186-195 View citations (10)
- Will the energy price bubble burst?
Energy, 2018, 150, (C), 276-288 View citations (18)
2017
- Arbitrage, Covered Interest Parity and Cointegration Analysis on the New Taiwan Dollar/US Dollar FOREX Market Revisited
International Journal of Economics and Financial Issues, 2017, 7, (1), 420-428 View citations (1)
- Dynamic relationship of oil price shocks and country risks
Energy Economics, 2017, 66, (C), 571-581 View citations (69)
- Housing price–volume correlations and boom–bust cycles
Empirical Economics, 2017, 52, (4), 1423-1450 View citations (1)
- Insurance activities, globalization, and economic growth: New methods, new evidence
Journal of International Financial Markets, Institutions and Money, 2017, 51, (C), 155-170 View citations (11)
- Insurance development, banking activities, and regional output: evidence from China
Empirical Economics, 2017, 53, (3), 1059-1081 View citations (3)
- Investor sentiment and country exchange traded funds: Does economic freedom matter?
The North American Journal of Economics and Finance, 2017, 42, (C), 285-299 View citations (4)
- Member states’ pact and industry co-movements in the BRICS markets
Applied Economics, 2017, 49, (4), 313-334 View citations (2)
- ON THE IMPACT OF PUBLIC DEBT ON ECONOMIC GROWTH: DOES COUNTRY RISK MATTER?
Contemporary Economic Policy, 2017, 35, (4), 751-766 View citations (16)
- Peer bank behavior, economic policy uncertainty, and leverage decision of financial institutions
Journal of Financial Stability, 2017, 30, (C), 79-91 View citations (23)
- The Effect of Government Ideology on an Exchange Rate Regime: Some International Evidence
The World Economy, 2017, 40, (4), 788-834 View citations (3)
2016
- A Dynamic Analysis of Exchange Rate Exposure: The impact of China's Renminbi
The World Economy, 2016, 39, (1), 132-157 View citations (5)
- Does higher government debt link to higher social expenditure? New method, new evidence
Applied Economics, 2016, 48, (16), 1429-1451 View citations (1)
- Economic growth and insurance development: The role of institutional environments
Economic Modelling, 2016, 59, (C), 361-369 View citations (29)
- FACTORS AFFECTING TAX EVASION: DO INTEREST RATE AND REGIONAL EFFECTS MATTER?
The Singapore Economic Review (SER), 2016, 61, (04), 1-23
- Financial liberalization, insurance market, and the likelihood of financial crises
Journal of International Money and Finance, 2016, 62, (C), 25-51 View citations (28)
- Globalization and insurance activity: Evidence on the industrial and emerging countries
The North American Journal of Economics and Finance, 2016, 36, (C), 328-349 View citations (7)
- Globalization, political institutions, financial liberalization, and performance of the insurance industry
The North American Journal of Economics and Finance, 2016, 36, (C), 244-266 View citations (15)
- Income Convergence toward USA: New Evidences for Latin and South American Countries
Iranian Economic Review (IER), 2016, 20, (2), 141-162 View citations (2)
- Medical Personnel and Life Expectancy: New Evidence from Taiwan
Social Indicators Research: An International and Interdisciplinary Journal for Quality-of-Life Measurement, 2016, 128, (3), 1425-1447 View citations (1)
- Reopening the Convergence Debate when Sharp Breaks and Smooth Shifts Wed, 1870-2010
Iranian Economic Review (IER), 2016, 20, (3), 356-377
- Reserve Requirement Policy, Bond Market, and Transmission Effect
Journal for Economic Forecasting, 2016, (2), 66-85 View citations (1)
- The Synergistic Effects Between Insurance and Credit Markets on Economic Growth: Evidence from China
Global Economic Review, 2016, 45, (1), 1-18 View citations (5)
- The effects of foreign ownership on competition in the banking industry: The key role of financial reforms
Japan and the World Economy, 2016, 37-38, 27-46 View citations (2)
- The nexus between insurance activity and economic growth: A bootstrap rolling window approach
International Review of Economics & Finance, 2016, 43, (C), 299-319 View citations (22)
2015
- A Study of the Optimal Asset Allocation as Raising Taxes on the Rich
Advances in Management and Applied Economics, 2015, 5, (3), 1
- A Study on the Main Determination of Mortgage Risk: Evidence from Reverse Mortgage Markets
International Journal of Financial Research, 2015, 6, (2), 84-94 View citations (1)
- Credit, Equity Conversion and Housing Endowment: Analysis of Reverse Mortgage Markets
Journal of Applied Finance & Banking, 2015, 5, (3), 5 View citations (2)
- Do oil spot and futures prices move together?
Energy Economics, 2015, 50, (C), 379-390 View citations (42)
- Does globalization promote real output? Evidence from quantile cointegration regression
Economic Modelling, 2015, 44, (C), 25-36 View citations (12)
- Dynamic Asian stock market convergence: Evidence from dynamic cointegration analysis among China and ASEAN-5
Economic Modelling, 2015, 51, (C), 84-98 View citations (40)
- Empirical Investigation of Herding Behavior in East Asian Stock Markets Toward the U.S. Market
The International Journal of Business and Finance Research, 2015, 9, (1), 19-32 View citations (2)
- Financial policy and insurance development: Do financial reforms matter and how?
International Review of Economics & Finance, 2015, 38, (C), 258-278 View citations (15)
- Globalization, Economic Growth and Institutional Development in China
Global Economic Review, 2015, 44, (1), 31-63 View citations (8)
- How does Bank Capital Affect Bank Profitability and Risk? Evidence from China's WTO Accession
China & World Economy, 2015, 23, (4), 19-39 View citations (8)
- Industry co-movements of American depository receipts: Evidences from the copula approaches
Economic Modelling, 2015, 46, (C), 301-314 View citations (5)
- Monetary Policy and the Diversification–Profitability Linkage in Banking: Evidences from Emerging Market Economies
South African Journal of Economics, 2015, 83, (4), 576-597 View citations (1)
- Revisiting the Defense-Growth nexus in European countries
Defence and Peace Economics, 2015, 26, (3), 341-356 View citations (9)
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The Journal of International Trade & Economic Development, 2015, 24, (4), 570-589 View citations (1)
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- Volatility forecast of country ETF: The sequential information arrival hypothesis
Economic Modelling, 2015, 47, (C), 228-234 View citations (6)
2014
- Asymmetric dynamics in REIT prices: Further evidence based on quantile regression analysis
Economic Modelling, 2014, 42, (C), 29-37 View citations (5)
- Bank reforms, foreign ownership, and financial stability
Journal of International Money and Finance, 2014, 40, (C), 204-224 View citations (61)
- Does Military Spending Really Matter for Economic Growth in China and G7 Countries: The Roles of Dependency and Heterogeneity
Defence and Peace Economics, 2014, 25, (2), 177-191 View citations (20)
- Does insurance activity promote economic growth? Further evidence based on bootstrap panel Granger causality test
The European Journal of Finance, 2014, 20, (12), 1187-1210 View citations (34)
- Frontier stock market integration and the global financial crisis
The North American Journal of Economics and Finance, 2014, 29, (C), 84-103 View citations (21)
- Income Convergence in African Countries: Evidence from a Stationary Test With Multiple Structural Breaks
South African Journal of Economics, 2014, 82, (3), 371-391 View citations (4)
- Industry co-movement and cross-listing: Do home country factors matter?
Japan and the World Economy, 2014, 32, (C), 96-110 View citations (4)
- Insurance activities and banking credit causal nexus: evidence from China
Applied Economics Letters, 2014, 21, (9), 626-630 View citations (13)
- Non-interest income, profitability, and risk in banking industry: A cross-country analysis
The North American Journal of Economics and Finance, 2014, 27, (C), 48-67 View citations (31)
- Performance Measurement In Public Spending: Evidence From A Non-Parametric Approach
Journal for Economic Forecasting, 2014, (3), 136-159 View citations (1)
- TESTING FOR THE EFFICIENT MARKET HYPOTHESIS IN STOCK PRICES: INTERNATIONAL EVIDENCE FROM NONLINEAR HETEROGENEOUS PANELS
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- The nexus between defense expenditure and economic growth: New global evidence
Economic Modelling, 2014, 36, (C), 474-483 View citations (40)
- The relationship between revenue diversification and bank performance: Do financial structures and financial reforms matter?
Japan and the World Economy, 2014, 29, (C), 18-35 View citations (41)
- The relationship between spot and futures oil prices: Do structural breaks matter?
Energy Economics, 2014, 43, (C), 206-217 View citations (47)
2013
- Beyond Bank Competition and Profitability: Can Moral Hazard Tell Us More?
Journal of Financial Services Research, 2013, 44, (1), 87-109 View citations (16)
- Dynamic relationships between industry returns and stock market returns
The North American Journal of Economics and Finance, 2013, 26, (C), 119-144 View citations (12)
- Energy exports, globalization and economic growth: The case of South Caucasus
Economic Modelling, 2013, 33, (C), 333-346 View citations (14)
- INSURANCE AND REAL OUTPUT: THE KEY ROLE OF BANKING ACTIVITIES
Macroeconomic Dynamics, 2013, 17, (2), 235-260 View citations (46)
- Insurance demand and country risks: A nonlinear panel data analysis
Journal of International Money and Finance, 2013, 36, (C), 68-85 View citations (21)
- Investigating the stationarity of insurance premiums: international evidence
The European Journal of Finance, 2013, 19, (4), 276-297 View citations (5)
- Modeling OECD energy demand: An international panel smooth transition error-correction model
International Review of Economics & Finance, 2013, 25, (C), 372-383 View citations (25)
- Revisiting the demand for money function: evidence from the random coefficients approach
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- THE ECONOMIC VOTING HYPOTHESIS IN THE PRESENCE OF THRESHOLD EFFECTS: EVIDENCE FROM ASYMMETRIC MODELING
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- The dynamic interactions among the stock, bond and insurance markets
The North American Journal of Economics and Finance, 2013, 26, (C), 28-52 View citations (35)
- The impact of bank capital on profitability and risk in Asian banking
Journal of International Money and Finance, 2013, 32, (C), 251-281 View citations (124)
- The link between life insurance activities and economic growth: Some new evidence
Journal of International Money and Finance, 2013, 32, (C), 405-427 View citations (58)
- Wealth effects on the housing markets: Do market liquidity and market states matter?
Economic Modelling, 2013, 32, (C), 488-495 View citations (2)
2012
- A REVISIT TO THE STATIONARITY OF OECD INFLATION: EVIDENCE FROM PANEL UNIT-ROOT TESTS AND THE COVARIATE POINT OPTIMAL TEST
The Japanese Economic Review, 2012, 63, (3), 380-396 View citations (3)
- Do Asymmetric Causal Relationships Exist between Macroeconomic Variables and Housing Returns in Taiwan?
Journal of Economics and Management, 2012, 8, (1), 25-57
- Dynamic modelling of real estate investment trusts and stock markets
Economic Modelling, 2012, 29, (2), 395-407 View citations (4)
- Globalisation and Convergence of International Life Insurance Markets
The Geneva Papers on Risk and Insurance - Issues and Practice, 2012, 37, (1), 125-154 View citations (9)
- HOW DOES FOREIGN BANK OWNERSHIP IN THE BANKING SECTOR AFFECT DOMESTIC BANK BEHAVIOUR? A DYNAMIC PANEL DATA ANALYSIS
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- How does the development of the life insurance market affect economic growth? Some international evidence
Journal of International Development, 2012, 24, (7), 865-893 View citations (76)
- Industry herding and market states: evidence from Chinese stock markets
Quantitative Finance, 2012, 13, (7), 1091-1113
- Non-Linearity Between Life Insurance and Economic Development: A Revisited Approach
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- Partisanship and international trade: Some international evidence
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- The Demand for Money in China: A Reassessment Using the Bounds Testing Approach
Journal for Economic Forecasting, 2012, (1), 74-94 View citations (2)
- The impact of military technology transfer on economic growth: international evidence
Applied Economics, 2012, 44, (19), 2437-2449 View citations (1)
- The impact of real income on insurance premiums: Evidence from panel data
International Review of Economics & Finance, 2012, 21, (1), 246-260 View citations (39)
2011
- Are Fruit and Vegetable Prices Non-linear Stationary? Evidence from Smooth Transition Autoregressive Models
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- Determinants of ADR Returns before and after Domestic Stock Seasoned Equity Offerings: Evidence from Asian and Latin American Emerging Markets
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- Does Insurance Matter for Growth: Empirical Evidence from OECD Countries
The B.E. Journal of Macroeconomics, 2011, 11, (1), 1-28 View citations (26)
- Dynamic modeling of regional house price diffusion in Taiwan
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- Electricity demand elasticities and temperature: Evidence from panel smooth transition regression with instrumental variable approach
Energy Economics, 2011, 33, (5), 896-902 View citations (49)
- Empirical Modelling of Regional House Prices and the Ripple Effect
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- Globalization, Real Output and Multiple Structural Breaks
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- Nuclear energy consumption, oil prices, and economic growth: Evidence from highly industrialized countries
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- Oil prices, nuclear energy consumption, and economic growth: New evidence using a heterogeneous panel analysis
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- Revisiting the relationship between spot and futures oil prices: Evidence from quantile cointegrating regression
Energy Economics, 2011, 33, (5), 924-935 View citations (55)
- Roles played by financial development in economic growth: application of the flexible regression model
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- The Effect of Globalization and Political Party on Economic Growth
Eastern European Economics, 2011, 49, (6), 5-26 View citations (6)
- The impact of American depositary receipts on the Japanese index: Do industry effect and size effect matter?
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2010
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- A Re-examination of German Government Approval and Economic Performance: Is There a Stable Relationship between Them?
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- Globalization and Economic Growth: A Political Economy Analysis for OECD Countries
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- WHAT MAKES INTERNATIONAL CAPITAL FLOWS PROMOTE ECONOMIC GROWTH? AN INTERNATIONAL CROSS‐COUNTRY ANALYSIS
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2009
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- Is the secularization hypothesis valid? A panel data assessment for Taiwan
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2008
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- Structural breaks, tourism development, and economic growth: Evidence from Taiwan
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2007
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2006
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- Social security expenditure and GDP in OECD countries: A cointegrated panel analysis
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2005
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Energy Economics, 2005, 27, (3), 415-427 View citations (443)
- Government size and economic growth in Taiwan: A threshold regression approach
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- INFLATIONARY THRESHOLD EFFECTS IN THE RELATIONSHIP BETWEEN FINANCIAL DEVELOPMENT AND ECONOMIC GROWTH: EVIDENCE FROM TAIWAN AND JAPAN
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Editor
- Asian Economics Letters
Asia-Pacific Applied Economics Association
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