The North American Journal of Economics and Finance
1992 - 2025
Continuation of North American Review of Economics and Finance. Current editor(s): Hamid Beladi From Elsevier Bibliographic data for series maintained by Catherine Liu (). Access Statistics for this journal.
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Volume 21, issue 3, 2010
- A simple model of service offshoring with time zone differences pp. 217-227

- Toru Kikuchi and Ngo Long
- On the employment, investment, and current account effects of trade liberalizations with durability in consumption pp. 228-240

- Arman Mansoorian and Mohammed Mohsin
- Using wavelets to measure core inflation: The case of New Zealand pp. 241-255

- David Baqaee
- Capital returns, costs and EVA for Canadian firms pp. 256-273

- Lawrence Kryzanowski and Sana Mohsni
- Does the nominal exchange rate regime affect the real interest parity condition? pp. 274-285

- Christian Dreger
- Mean reversion in US and international short rates pp. 286-296

- Charlotte Christiansen
- Why dollarization didn't succeed: Comparing credibility and the impact of real shocks on small open economies pp. 297-313

- Rene Cabral
- Participation strategy of the NYSE specialists to the posted quotes pp. 314-331

- Bülent Köksal
- The behaviour of small cap vs. large cap stocks in recessions and recoveries: Empirical evidence for the United States and Canada pp. 332-346

- Lorne Switzer
Volume 21, issue 2, 2010
- Introduction pp. 107-109

- Kenneth Kasa and Kenneth Kuttner
- Understanding the flattening Phillips curve pp. 110-125

- Kenneth Kuttner and Tim Robinson
- Comparing the New Keynesian Phillips Curve with time series models to forecast inflation pp. 126-144

- Fabio Rumler and Maria Valderrama
- Evaluating the German (New Keynesian) Phillips curve pp. 145-164

- Rolf Scheufele
- Did U.S. wages become stickier between the world wars? pp. 165-181

- Ranjit S. Dighe and Elizabeth Schmitt
- The Phillips curve and the Italian lira, 1861-1998 pp. 182-197

- Alessandra Del Boca, Michele Fratianni, Franco Spinelli and Carmine Trecroci
- Vertically globalized production structure in New Keynesian Phillips curve pp. 198-216

- Chin-Yoong Wong and Yoke-Kee Eng
Volume 21, issue 1, 2010
- Overview of the special issue on crisis and opportunity: Policy evaluation during the global turmoil pp. 1-4

- Georgios Kouretas and Athanasios Papadopoulos
- Monetary policy during speculative attacks: Are there adverse medium term effects? pp. 5-18

- U. Michael Bergman and Mads Jellingsø
- Trend inflation and macroeconomic volatilities in the post-WWII U.S. economy pp. 19-33

- Efrem Castelnuovo
- Stabilization effects of social spending: Empirical evidence from a panel of OECD countries pp. 34-48

- Davide Furceri
- The external finance premium in the Euro area: A dynamic stochastic general equilibrium analysis pp. 49-71

- Paolo Gelain
- Causes of banking crises revisited pp. 72-87

- Jeroen Klomp
- Housing wealth, financial wealth, money demand and policy rule: Evidence from the euro area pp. 88-105

- Ricardo Sousa
Volume 20, issue 3, 2009
- Negative nominal interest rates: Three ways to overcome the zero lower bound pp. 213-238

- Willem Buiter
- Monetary effects on nominal oil prices pp. 239-254

- Max Gillman and Anton Nakov
- Fear of Floating in Brazil: Did Inflation Targeting matter? pp. 255-266

- Reginaldo Nogueira and Miguel Leon-Ledesma
- Vertical specialization across the world: A relative measure pp. 267-280

- João Amador and Sonia Cabral
- Cross-border restaurant price and exchange rate interactions pp. 281-288

- Thomas Fullerton, Karen P. Fierro and Emmanuel Villalobos
Volume 20, issue 2, 2009
- The implications of integration for globalization pp. 83-90

- Sven W. Arndt, Patrick Crowley and David Mayes
- Globalization and business cycle transmission pp. 91-99

- Michael Artis and Toshihiro Okubo
- Real convergence, financial markets, and the current account - Emerging Europe versus emerging Asia pp. 100-123

- Sabine Herrmann and Adalbert Winkler
- Do common currencies facilitate the net flow of capital among countries? pp. 124-144

- Slavi Slavov
- Do European capital flows comove? pp. 145-161

- Silvio Contessi and Pierangelo De Pace
- Beyond monetary credibility: The impact of globalisation on the output-inflation trade-off in euro-area countries pp. 162-176

- Benedicta Marzinotto
- Europeanization or globalization? Transnational wage bargaining and the distribution of activity in European labor markets pp. 177-192

- Maria Demertzis, Andrew Hughes Hallett and Nicolien Schermer
- Globalization and tax policy pp. 193-211

- Rebecca Neumann, Jill Holman and James Alm
Volume 20, issue 1, 2009
- Election outcomes and financial market returns in Canada pp. 1-23

- Stéphane Chrétien and Frank Coggins
- Gains from interest-rate smoothing in a small open economy with zero-bound aversion pp. 24-45

- Timothy Kam
- Are regional trading agreements beneficial?: Static and dynamic panel gravity models pp. 46-65

- Inmaculada Martínez-Zarzoso, Nowak-Lehmann D. Felicitas and Nicholas Horsewood
- Productivity effects on Mexican manufacturing employment pp. 66-81

- Andre Mollick and Rene Cabral
Volume 19, issue 3, 2008
- Bank interest margins in OECD countries pp. 249-260

- Kim Hawtrey and Hanyu Liang
- The long-run output-inflation trade-off with menu costs pp. 261-273

- Wai-Yip Alex Ho and James Yetman
- Inflation dynamics in Mexico: A characterization using the New Phillips curve pp. 274-289

- Manuel Ramos-Francia and Alberto Torres
- Are remittances manna from heaven? A look at the business cycle properties of remittances pp. 290-303

- Carlos Vargas-Silva
- Toward a North American customs union: Rules of origin liberalization matters more than a common external tariff for Canada pp. 304-318

- Patrick Georges
- Fiscal convergence in the European Union pp. 319-330

- Evžen Kočenda, Ali Kutan and Taner Yigit
- Immigrants, cultural distance and U.S. state-level exports of cultural products pp. 331-348

- Roger White and Bedassa Tadesse
- Erratum to "The euro and developing country finance: a survey" [North Am. J. Econ. Finance 19 (2) 2008 175-191] pp. 349-349

- Paul Masson
Volume 19, issue 2, 2008
- Symposium on the structure of financial regulation: An introduction pp. 111-112

- Robert R. Bliss
- The impact of bank supervision on loan growth pp. 113-134

- Timothy J. Curry, Gary Fissel and Carlos Ramirez
- Integrated financial supervision: Which model? pp. 135-152

- Martin Cihak and Richard Podpiera
- Helping hand or grabbing hand?: Politicians, supervision regime, financial structure and market view pp. 153-173

- Donato Masciandaro and Marc Quintyn
- The euro and developing country finance: A survey pp. 175-191

- Paul Masson
- Assessing the effects of U.S. shocks on the Canadian economy using alternative identification methods pp. 193-213

- Kaouthar Souki
- The implementation of monetary policy in New Zealand: What factors affect the 90-day bank bill rate? pp. 215-234

- Alfred Guender and Oyvinn Rimer
- Inflation targeting and monetary policy in Canada: What is the impact on inflation uncertainty? pp. 235-248

- William Miles
Volume 19, issue 1, 2008
- Monetary policy and financial markets pp. 1-5

- Heinz Herrmann and Michael Schroeder
- Liquidity management and overnight rate calendar effects: Evidence from German banks pp. 7-21

- Falko Fecht, Kjell Nyborg and Jörg Rocholl
- Volatility transmission in the European money market pp. 23-39

- Dieter Nautz and Christian Offermanns
- An affine macro-finance term structure model for the euro area pp. 41-69

- Wolfgang Lemke
- Term structure transmission of monetary policy pp. 71-92

- Sharon Kozicki and Peter Tinsley
- Inflation expectations of experts and ECB communication pp. 93-108

- Katrin Ullrich
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