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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 87, issue C, 2023

Collaborative integration, workplace flexibility and scholarly productivity: Evidence from the COVID-19 outbreak pp. 1-15 Downloads
Ying Fan
A pairs trading strategy based on mixed copulas pp. 16-34 Downloads
Fernando A.B. Sabino da Silva, Flavio A. Ziegelmann and João F. Caldeira
Exchange rate driven balance sheet effect and capital flows to emerging market economies pp. 35-45 Downloads
Can Kadırgan
Households' investments in socially responsible mutual funds pp. 46-67 Downloads
Charlotte Christiansen, Thomas Jansson, Malene Kallestrup-Lamb and Vicke Noren
Oil shocks and investor attention pp. 68-81 Downloads
Georgios Bampinas, Theodore Panagiotidis and Georgios Papapanagiotou
Regime switching and the responsiveness of prices to supply: The case of the Irish housing market pp. 82-94 Downloads
Paul Egan and Kieran McQuinn
COVID-19 related TV news and stock returns: Evidence from major US TV stations pp. 95-109 Downloads
Rouven Möller and Doron Reichmann
Price bubbles in commodity market – A single time series and panel data analysis pp. 110-117 Downloads
Marcin Potrykus
Aid and social cohesion pp. 118-131 Downloads
M. Danquah and Bazoumana Ouattara
Credit constraints and spillover effects of financial market liberalization: Case of Colombia pp. 132-141 Downloads
Arielle Knudsen and Nikita Lopatin
Paradox of stationarity? A policy target dilemma for policymakers pp. 142-145 Downloads
Muhammad Ali Nasir and Jamie Morgan
Capital requirements and banks performance under Basel-III: A comparative analysis of Australian and British banks pp. 146-157 Downloads
Thi Ngoc Lan Le, Muhammad Ali Nasir and Toan Luu Duc Huynh
Exchange rate pass-through: A comparative analysis of inflation targeting & non-targeting ASEAN-5 countries pp. 158-167 Downloads
Thu Anh Thi Pham, Thong Trung Nguyen, Muhammad Ali Nasir and Toan Luu Duc Huynh
The performance of bidding companies in merger and acquisition deals: An empirical study of domestic acquisitions in Hong Kong and Mainland China pp. 168-180 Downloads
Rizwan Ahmed, Yawen Chen, Chonlakan Benjasak, Andros Gregoriou, Nusiebeh Nahar Falah Alrwashdeh and Ei Thuzar Than
Impact of Covid-19 on corporate solvency and possible policy responses in the EU pp. 181-190 Downloads
Nawazish Mirza, Birjees Rahat, Bushra Naqvi and Syed Kumail Abbas Rizvi
Spillovers and connectedness in foreign exchange markets: The role of trade policy uncertainty pp. 191-199 Downloads
Toan Luu Duc Huynh, Muhammad Ali Nasir and Duc Khuong Nguyen
Do natural resources determine energy consumption in Pakistan? The importance of quantile asymmetries pp. 200-211 Downloads
Kishwar Nawaz, Amine Lahiani and David Roubaud
The role of debt financing in the relationship between capital structure, firm’s value, and macroeconomic factors: To throw caution to the wind pp. 212-223 Downloads
Misbah Sadiq, Sheikh Usman Yousaf, Muhammad Khalid Anser, Haroon ur Rashid Khan, Sriyanto Sriyanto, Khalid Zaman, Duong Van Tu and Siti Nisrin Mohd Anis
An empirical nexus between exchange rate and China's outward foreign direct investment: Implications for Pakistan under the China Pakistan economic corridor project pp. 224-234 Downloads
Prof. Ma Degong, Farid Ullah, Raza Ullah and Muhammad Arif
The implications of liquidity ratios: Evidence from Pakistan stock exchange limited pp. 235-243 Downloads
Rizwan Ahmed, Subhan Ullah, Robert Hudson and Andros Gregoriou
Measuring enterprise risk management implementation: A multifaceted approach for the banking sector pp. 244-256 Downloads
Mukhtar Adam, Alaa. M. Soliman and Nehal Mahtab
Constructing a composite financial inclusion index for developing economies pp. 257-265 Downloads
Thi Xuan Huong Tram, Tien Dinh Lai and Thi Truc Huong Nguyen
Revisiting the nexus between house pricing and money demand: Power spectrum and wavelet coherence based approach pp. 266-274 Downloads
Qiang Ma, Zeeshan Khan, Fuzhong Chen, Muntasir Murshed, Yang Siqun and Dervis Kirikkaleli
US foreign investments: Technology transfer, relative backwardness, and the productivity growth of host countries pp. 275-295 Downloads
Samia Benzaim, Zied Ftiti, Anis Khedhaouria and Rebai Djermane
Dynamic integration and transmission channels among interest rates and oil price shocks pp. 296-317 Downloads
Christian Urom, Khaled Guesmi, Ilyes Abid and Leila Dagher
Investigating financial decision-making when facing skewed distributions of return: A survey study in Vietnam pp. 318-329 Downloads
Truc Phan, Philippe Bertrand, Xuan Vinh Vo and Kirsten Jones
Asymmetric volatility structure of equity returns: Evidence from an emerging market pp. 330-336 Downloads
Muhammad Umar, Nawazish Mirza, Syed Kumail Abbas Rizvi and Mehreen Furqan
Do asymmetric information and leverage affect investment decisions? pp. 337-345 Downloads
Muhammad Munir Ahmad, Ahmed Hunjra and Dilvin Taskin
Do Muslim economies need insurance to grow? Answer from rigorous empirical evidence pp. 346-359 Downloads
Bilal Mehmood, Muhammad Shahbaz and Zhilun Jiao
Capital expenditures, corporate hedging and firm value pp. 360-366 Downloads
Subhan Ullah, Muhammad Irfan, Ja Ryong Kim and Farid Ullah
The role of investor behavior in emerging stock markets: Evidence from Vietnam pp. 367-376 Downloads
Truc Phan, Philippe Bertrand, Hong Hai Phan and Xuan Vinh Vo
Fluctuation in the global oil market, stock market volatility, and economic policy uncertainty: A study of the US and China pp. 377-387 Downloads
Tianle Yang, Fangxing Zhou, Min Du, Qunyang Du and Shirong Zhou
Roling-window bounds testing approach to analyze the relationship between oil prices and metal prices pp. 388-395 Downloads
Muhammad Shahbaz, Asad ul Islam Khan and Muhammad Shujaat Mubarak
Financial stability and monetary policy reaction: Evidence from the GCC countries pp. 396-405 Downloads
Ahmed Elsayed, Nader Naifar and Samia Nasreen

Volume 86, issue C, 2022

Individuals’ financial risk-taking and peer influence pp. 1-17 Downloads
Jörgen Hellström, Oscar Stålnacke and Rickard Olsson
Does fiscal sentiment matter for sovereign risk? pp. 18-30 Downloads
Gabriel Montes, Rodolfo Nicolay and Flavio Pereira
Uncertainty and gender inequality: A global investigation pp. 31-47 Downloads
Canh Phuc Nguyen
Risk allocation through securitization: Evidence from non-performing loans pp. 48-64 Downloads
Sascha Tobias Wengerek, Benjamin Hippert and André Uhde
Does monetary policy favor the skilled? − Distributional role of monetary policy pp. 65-86 Downloads
Devika Hazra
The role of shared auditors in loan contracts pp. 87-97 Downloads
Wael Aguir, Brandon Ater, Andrew A. Anabila and Christian Kuiate Sobngwi
Nationalization of the private sector labor force, quotas, matching and public jobs, an illustration with Saudi Arabia pp. 98-117 Downloads
Olivier Durand-Lasserve
The COVID-19 pandemic and the degree of persistence of US stock prices and bond yields pp. 118-123 Downloads
Guglielmo Maria Caporale, Luis Gil-Alana and Carlos Poza
Excess cash holdings and firm performance in new and old economy firms pp. 124-133 Downloads
Dhruba Banjade and J. David Diltz
Capital regulation, market power and bank risk-taking in the MENA region: New evidence for Islamic and conventional banks pp. 134-155 Downloads
Miroslav Mateev, Tarek Nasr and Ahmad Sahyouni
The commercial bank leverage factor in U.S. asset prices pp. 156-171 Downloads
Marius M. Mihai
A generalised seasonality test and applications for cryptocurrency and stock market seasonality pp. 172-185 Downloads
Savva Shanaev and Binam Ghimire
Financial trading versus entrepreneurship: Competition for talent and negative feedback effects pp. 186-199 Downloads
Lutz G. Arnold and Sebastian Zelzner
Gold, silver, and the US dollar as harbingers of financial calm and distress pp. 200-210 Downloads
Sel Dibooglu, Emrah Çevik and Max Gillman
Time-varying dependence of Bitcoin pp. 211-220 Downloads
Adlane Haffar and Éric Le Fur
Do words affect expectations? The effect of central banks communication on consumer inflation expectations pp. 221-229 Downloads
Magdalena Szyszko, Aleksandra Rutkowska and Agata Kliber
Doubts on natural rate of unemployment: Evidence and policy implications pp. 230-239 Downloads
Ka Ming Cheng
Capital requirements and banks’ behavior: Evidence from bank stress tests pp. 240-262 Downloads
Mehrnoush Shahhosseini
Mean--variance portfolio selection problem: Asset reduction via nondominated sorting pp. 263-272 Downloads
Przemysław Juszczuk, Ignacy Kaliszewski, Janusz Miroforidis and Dmitry Podkopaev
Barrier option pricing under a Markov Regime switching diffusion model pp. 273-280 Downloads
Xiaoyuan Zhang and Tianqi Zhang
Commodities and portfolio diversification: Myth or fact? pp. 281-295 Downloads
Fábio Ruano and Victor Barros
The effect of financial distress on capital structure: The case of Brazilian banks pp. 296-304 Downloads
Douglas da Rosa München
The economic effects of fiscal policy: Further evidence for Spain pp. 305-313 Downloads
Simon Sosvilla-Rivero and Juan J. Rubio-Guerrero
Banks' off-balance sheet manipulations pp. 314-331 Downloads
Dror Parnes
The sum of all SCARES COVID-19 sentiment and asset return pp. 332-346 Downloads
Md. Tanvir Hasan
Investors' sentiments and the dynamic connectedness between cryptocurrency and precious metals markets pp. 347-364 Downloads
Ismail O. Fasanya, Oluwatomisin Oyewole and Johnson A. Oliyide
Covid-19 impact on Cryptocurrencies market using Multivariate Time Series Models pp. 365-375 Downloads
Thanakorn Nitithumbundit and Jennifer S.K. Chan
Mortgage payments and equity premium puzzle pp. 376-388 Downloads
Tien Foo Sing and Yiheng Zou
Do board size, institutional ownership and external auditors matter to market discipline in Indonesian banking? pp. 389-395 Downloads
Herman Saheruddin and Wahyoe Soedarmono
Do real estate mutual fund managers create value? pp. 396-406 Downloads
Elyas Elyasiani, Oleg Rytchkov and Ivan Stetsyuk
Testing the neo-fisherian hypothesis in Brazil pp. 407-419 Downloads
André M. Marques and André R. Carvalho
CEO compensation and bank loan contracts pp. 420-436 Downloads
Chen Liu and Yan Wendy Wu
When are busy boards beneficial? pp. 437-454 Downloads
Keunyoung Kim
Meet-or-beat streak heterogeneity and equity prices pp. 455-470 Downloads
Thaddeus Neururer
What happens to investment choices when interest rates change? An experimental study pp. 471-481 Downloads
Yaron Lahav and Uri Benzion
Out-of-sample predictability of gold market volatility: The role of US Nonfarm Payroll pp. 482-488 Downloads
Afees Salisu, Elie Bouri and Rangan Gupta
Irregularities in forward-looking volatility pp. 489-501 Downloads
Mahmoud Qadan, Doron Nisani and Ron Eichel
Do emerging stock markets offer an illiquidity premium for local or global investors? pp. 502-515 Downloads
Hilal Anwar Butt, Riza Demirer, Mohsin Sadaqat and Muhammad Tahir Suleman
Page updated 2025-04-11