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The Quarterly Review of Economics and Finance

1993 - 2025

Current editor(s): R. J. Arnould and J. E. Finnerty

From Elsevier
Bibliographic data for series maintained by Catherine Liu ().

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Volume 63, issue C, 2017

Monetary policy deviations: A Bayesian state-space analysis pp. 1-12 Downloads
C. Scott and Mahua Barari
Monetary and fiscal policy in advanced and developing countries: An analysis before and after the financial crisis pp. 13-20 Downloads
Cleomar Gomes Da Silva and Flavio Vieira
Do financial crises alter the dynamics of corporate capital structure? Evidence from GCC countries pp. 21-33 Downloads
Rami Zeitun, Akram Temimi and Karim Mimouni
An early alarm system for housing bubbles pp. 34-49 Downloads
MeiChi Huang and Hsiu-Hsuan Chiang
Corporate innovation and economic freedom: Cross-country comparisons pp. 50-65 Downloads
Hui Zhu and Steven X. Zhu
Time varying international financial integration for GCC stock markets pp. 66-78 Downloads
Abdullah R. Alotaibi and Anil Mishra
Structural breaks in the relative importance of country and industry factors in African stock returns pp. 79-88 Downloads
Nicholas Addai Boamah, Geoffrey Loudon and Edward J. Watts
What drives the repayment of agricultural micro loans? Evidence from Nicaragua pp. 89-100 Downloads
G. Dorfleitner, S. Just-Marx and C. Priberny
Local equity market participation and stock liquidity pp. 101-121 Downloads
Lei Zhang
Corporate life cycle, investment banks and shareholder wealth in M&As pp. 122-134 Downloads
Kai-Shi Chuang
Inter-firm linkages and M&A returns pp. 135-146 Downloads
Marcin W. Krolikowski, Hari P. Adhikari, James Malm and Nilesh B. Sah
The multifractal character of capacity utilization over the business cycle: An application of Hurst signature analysis pp. 147-152 Downloads
Robert F. Mulligan
Extended shareholder liability as a means to constrain moral hazard in insured banks pp. 153-160 Downloads
Alexander Salter, Vipin Veetil and Lawrence White
Board structure and stock price informativeness in terms of moving average rules pp. 161-169 Downloads
Paoyu Huang and Yensen Ni
The choice of sale method and its consequences in mergers and acquisitions pp. 170-184 Downloads
Inga Chira and Nikanor Volkov
An empirical decomposition of the liquidity premium in breakeven inflation rates pp. 185-192 Downloads
Mustafa Guler, Gürsu Keleş and Tandoğan Polat
Examining return predictability of industry style portfolios with prior return relative to a benchmark pp. 193-203 Downloads
Abdullah Noman, Atsuyuki Naka and Duygu Zirek
Looking beyond banks’ average interest rate risk: Determinants of high exposures pp. 204-218 Downloads
O. Entrop, L. von la Hausse and M. Wilkens
Do firms get what they pay for? A second thought on over-allotment option in IPOs pp. 219-232 Downloads
Emanuele Bajo, Massimiliano Barbi and Giovanni Petrella
A favorite-longshot bias in fixed-odds betting markets: Evidence from college basketball and college football pp. 233-239 Downloads
Jason P. Berkowitz, Craig Depken and John M. Gandar
Firm efficiency, advertising and profitability: Theory and evidence pp. 240-248 Downloads
Jihui Chen and George Waters
Adoption of IAS/IFRS, liquidity constraints, and credit rationing: The case of the European banking industry pp. 249-258 Downloads
Hervé Alexandre and Julien Clavier
The impact of natural disasters on the stock returns and volatilities of local firms pp. 259-270 Downloads
Michael Bourdeau-Brien and Lawrence Kryzanowski
Persistence in the long-run expected rate of return for corporate pension plans pp. 271-277 Downloads
Joanne Doyle
Intraday industry-specific spillover effect in European equity markets pp. 278-298 Downloads
Cesario Mateus, Raju Chinthalapati and Irina B. Mateus
Is sustainable competitive advantage an advantage for stock investors? pp. 299-314 Downloads
Yi Liu and Tomas Mantecon
Analysts and sentiment: A causality study pp. 315-327 Downloads
Guy Kaplanski and Haim Levy
Investment potential and risk hedging characteristics of platinum group metals pp. 328-337 Downloads
James Ross McCown and Ron Shaw

Volume 62, issue C, 2016

The political economy of the Brazilian model of agricultural development: Institutions versus sectoral policy pp. 12-20 Downloads
Bernardo Mueller and Charles Mueller
New challenges for public research organisations in agricultural innovation in developing economies: Evidence from Embrapa in Brazil's soybean industry pp. 21-32 Downloads
Paulo N. Figueiredo
Heterogeneity in Bolsa Família outcomes pp. 33-40 Downloads
Armando Barrientos, Dario Debowicz and Ingrid Woolard
The role of fiscal and monetary policies in the Brazilian economy: Understanding recent institutional reforms and economic changes pp. 41-55 Downloads
José Roberto Afonso, Eliane Araujo and Bernardo Guelber Fajardo
Using institutional multiplicity to address corruption as a collective action problem: Lessons from the Brazilian case pp. 56-65 Downloads
Lindsey D. Carson and Mariana Mota Prado
Infrastructure and its role in Brazil's development process pp. 66-73 Downloads
Edmund Amann, Werner Baer, Thomas Trebat and Juan Villa Lora
The impact of SENAI's vocational training program on employment, wages, and mobility in Brazil: Lessons for Sub Saharan Africa? pp. 74-96 Downloads
Carlos Villalobos and Stephan Klasen
The life-cycle of national development banks: The experience of Brazil's BNDES pp. 97-104 Downloads
Ernani Torres and Rodrigo Zeidan

Volume 61, issue C, 2016

Banks, development, and tax pp. 1-13 Downloads
Scott Gilbert and Bojan Ilievski
Financial contagion between the US and selected developed and emerging countries: The case of the subprime crisis pp. 14-28 Downloads
Sabri Boubaker, Jamel Jouini and Amine Lahiani
Do global risk factors and macroeconomic conditions affect global Islamic index dynamics? A quantile regression approach pp. 29-39 Downloads
Nader Naifar
Analysts’ preference for growth investing and vulnerability to market-wide sentiment pp. 40-52 Downloads
Kotaro Miwa and Kazuhiro Ueda
Investor sentiment and aggregate volatility pricing pp. 53-63 Downloads
Chiraz Labidi and Soumaya Yaakoubi
How important is innovation for venture capitalists’ (VCs’) market reputation? pp. 64-76 Downloads
Oghenovo A. Obrimah
The source of stock return fluctuation in Taiwan pp. 77-88 Downloads
De-Chih Liu and Chih-Yun Liu
Ticker fluency, sentiment, and asset valuation pp. 89-96 Downloads
Greg Durham and Mukunthan Santhanakrishnan
Market uncertainty and earnings guidance pp. 97-111 Downloads
Anna Agapova and Jeff Madura
Hedging bank market risk with futures and forwards pp. 112-125 Downloads
Kyung-Chun Mun
Market discipline across bank governance models: Empirical evidence from German depositors pp. 126-138 Downloads
Eva A. Arnold, Ingrid Größl and Philipp Koziol
Momentum profits, market cycles, and rebounds: Evidence from Germany pp. 139-159 Downloads
Martin T. Bohl, Marc-Gregor Czaja and Philipp Kaufmann
Factors determining capital structure and corporate performance in India: Studying the business cycle effects pp. 160-172 Downloads
Arindam Bandyopadhyay and Nandita Malini Barua
Do for-profit universities induce bad student loans? pp. 173-184 Downloads
John W. Goodell
Loan growth and bank valuations pp. 185-191 Downloads
Jijun Niu
An incentive problem of risk balancing in portfolio choices pp. 192-200 Downloads
Jin-Ray Lu, Chih-Chiang Hwang, Min-Luan Liu and Chien-Yi Lin
Do carry trade returns show signs of long memory? pp. 201-208 Downloads
Benjamin R. Auer and Andreas Hoffmann
Market integration and efficiency of CDS and equity markets pp. 209-229 Downloads
Florian Kiesel, Sascha Kolaric and Dirk Schiereck
BRIC or CBRI: It just doesn’t sound as sexy, does it? pp. 230-239 Downloads
Delcoure, Natalya (Natasha) and Harmeet Singh
Does systematic distress risk drive the investment growth anomaly? pp. 240-248 Downloads
Xuan-Qi Su
Analysis of ETF bid-ask spread components pp. 249-259 Downloads
Stoyu I. Ivanov
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