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 (). Access Statistics for this journal.
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Volume 79, issue C, 2021
- EMU risk-synchronisation and financial fragility through the prism of dynamic connectedness pp. 1-14

- Ioannis Chatziantoniou and David Gabauer
- On the link between current account and fiscal imbalances in the presence of structural breaks: Empirical evidence from Egypt pp. 15-27

- Yazid Dissou and Yousra Nafie
- An extended regularized Kalman filter based on Genetic Algorithm: Application to dynamic asset pricing models pp. 28-44

- Minqi Jiang, Jiapeng Liu and Lu Zhang
- Climate disasters, carbon dioxide, and financial fundamentals pp. 45-58

- Richard P. Gregory
- Does infrastructure stimulate total factor productivity? A dynamic heterogeneous panel analysis for Indian manufacturing industries pp. 59-73

- Rupika Khanna and Chandan Sharma
- Foreign exchange market efficiency and the global financial crisis: Fundamental versus technical information pp. 74-89

- Ehab Yamani
- Public Grants Awarded to Private Firms: A Mixed Duopoly Analysis pp. 90-96

- Fathali Firoozi and Donald Lien
- Capacity utilization in emerging economy firms: Some new insights related to the role of infrastructure and institutions pp. 97-106

- Rajeev Goel and Michael Nelson
- Aid for trade unpredictability and trade-related government expenditure in recipient-countries pp. 107-125

- Sèna Kimm Gnangnon
- Microfinance institutions, banking, growth and transmission channel: A GMM panel data analysis from developing countries pp. 126-150

- Jean Michel Banto and Atokê Fredia Monsia
- Testing unobserved market heterogeneity in financial markets: The case of Banco Popular pp. 151-160

- Jorge Pérez-Rodríguez, Emilio Gómez-Déniz and Simon Sosvilla-Rivero
- Estimating the effect of active management and private equity for defined benefit pension funds pp. 161-169

- Joanne Doyle, Kenneth Eades and Brooks Marshall
- Time-frequency dependencies of financial and economic risks in South American countries pp. 170-181

- Mehmet Kondoz, Dervis Kirikkaleli and Seyed Alireza Athari
- Stock earnings and bond yields in the US 1871–2017: The story of a changing relationship pp. 182-197

- Valeriy Zakamulin and John Hunnes
- Family control, external governance mechanisms, and dividend payouts pp. 198-209

- Chia-Chen Teng, Shaomin Li and J. Jimmy Yang
- Bank stocks inform higher growth—A System GMM analysis of ten emerging markets in Asia pp. 210-220

- Amit Mittal and Ajay Kumar Garg
- Bullish and Bearish Engulfing Japanese Candlestick patterns: A statistical analysis on the S&P 500 index pp. 221-244

- Adrian Heinz, Mohamed Jamaloodeen, Atul Saxena and Lissa Pollacia
- Asymmetric tax-induced trading: The effect of capital gains tax changes pp. 245-259

- Anna Agapova and Nikanor Volkov
- Non-capital calibration of bureau scorecards pp. 260-271

- Nico Kritzinger and Gary Wayne van Vuuren
- Time-varying conditional beta, return spillovers, and dynamic bank diversification strategies pp. 272-280

- Lu Wang
- Credit, default, financial system and development pp. 281-289

- Paulo Matos, Cristiano da Silva, Davi dos Santos and Luciana Reinaldo
- Credit ratings and predictability of stock return dynamics of the BRICS and the PIIGS: Evidence from a nonparametric causality-in-quantiles approach pp. 290-302

- Mehmet Balcilar, Deven Bathia, Riza Demirer and Rangan Gupta
- Implied volatility indices – A review pp. 303-329

- Athanasios Fassas and Costas Siriopoulos
- Do co-opted directors influence corporate risk-taking and credit ratings? pp. 330-344

- Sang Mook Lee, Pornsit Jiraporn, Young Sang Kim and Keun Jae Park
- Loan loss provisions and audit quality: Evidence from MENA Islamic and conventional banks pp. 345-359

- Rami Salem, Muhammad Usman and Ernest Ezeani
- The effect of job displacement on mental health, when mental health feeds back to future job displacement pp. 360-366

- David Zimmer
- Collateral reuse, collateral mismatch, and financial crises pp. 367-380

- Hyejin Park
- Who knows more and makes more? A perspective of order submission decisions across investor types pp. 381-398

- Donald Lien, Pi-Hsia Hung and Hung-Ju Chen
- Cojump risks and their impacts on option pricing pp. 399-410

- Yu-Min Lian, Jun-Home Chen and Szu-Lang Liao
- Tax avoidance through securitization pp. 411-421

- André Uhde
Volume 78, issue C, 2020
- Female labor in Egyptian manufacturing sector: The demand side story pp. 1-11

- Hanan Nazier
- Access to finance – Mind the gender gap pp. 12-21

- Hanan Morsy
- Access to higher education and the likelihood of being married pp. 22-33

- Seyed M. Karimi and Golnaz Taghvatalab
- Reviewing monetary policy inertia and its effects: The fractional integration approach for an emerging economy pp. 34-41

- Ricardo Ramalhete Moreira and Edson Zambon Monte
- Fed’s unconventional monetary policy and risk spillover in the US financial markets pp. 42-52

- Mehmet Balcilar, Zeynel Ozdemir, Huseyin Ozdemir and Mark Wohar
- Nominal GDP targeting, real economic activity and inflation stabilization in a new Keynesian framework pp. 53-63

- Huiying Chen
- Inflation persistence in Turkey: A TVP-estimation approach pp. 64-69

- Berk Bilici and Semih Çekin
- The relationship between monetary policy and uncertainty in advanced economies: Evidence from time- and frequency-domains pp. 70-87

- Semih Çekin, Besma Hkiri, Aviral Tiwari and Rangan Gupta
- On the feasibility of returning to the gold standard pp. 88-97

- Bryan P. Cutsinger
- Top management inside debt and corporate social responsibility? Evidence from the US pp. 98-115

- Sabri Boubaker, Kaouther Chebbi and Jocelyn Grira
- Bank liquidity creation: Does ownership structure matter? pp. 116-131

- Nacera Yeddou and Marc Pourroy
- Trade credit, cash holdings, and product market competition pp. 132-146

- Rongrong Zhang
- Do we really need heterogeneous agent models? pp. 147-153

- Harun Aydilek and Asiye Aydilek
- The wealth effects of mergers and acquisitions by dividend payers pp. 154-165

- Mina Glambosky, Surendranath Rakesh Jory and Thanh Ngoc Ngo
- Political risk and financial flexibility in BRICS countries pp. 166-174

- Richard P. Gregory
- Framing and the disposition effect in a scopic regime pp. 175-185

- L.M. Liêu and M. Pelster
- Self-attribution bias and overconfidence among nonprofessional traders pp. 186-198

- Daniel Czaja and Florian Röder
- Total productivity and cost efficiency dynamics of US merging banks: A non-parametric bootstrapped analysis of the fifth merger wave pp. 199-211

- Jamal Al-Khasawneh, Naceur Essaddam and Tashfeen Hussain
- How do market power and industry competition influence the effect of corporate governance on earnings management? pp. 212-225

- Hui-Wen Tang and Anlin Chen
- The trade credit channel and monetary policy transmission: Empirical evidence from U.S. panel data pp. 226-250

- Fatih Altunok, Karlyn Mitchell and Douglas Pearce
- Quantile causality between banking stock and real estate securities returns in the US pp. 251-260

- Claudiu Albulescu, Elie Bouri, Aviral Tiwari and David Roubaud
- Leaving big money on the table: Arbitrage opportunities in delaying social security pp. 261-272

- Gila Bronshtein, Jason Scott, John B. Shoven and Sita Slavov
- Regulation, welfare, and the risk of asset stranding pp. 273-287

- Graeme Guthrie
- Seasonal liquidity effects and their determinants on the covered bond market pp. 288-303

- Michael Weigerding
- Why must it always be so Real with tax evasion? pp. 304-308

- Rangan Gupta and Philton Makena
- The cross-country transmission of credit risk between sovereigns and firms in Asia pp. 309-320

- Yiling Zha, David Power and Nongnuch Tantisantiwong
- Natural gas price, market fundamentals and hedging effectiveness pp. 321-337

- Song-Zan Chiou-Wei, Sheng-Hung Chen and Zhen Zhu
- Window dressing in equity mutual funds pp. 338-354

- Pi-Hsia Hung, Donald Lien and Ming-Sin Kuo
- Momentum, asymmetric volatility and idiosyncratic risk-momentum relation: Does technology-sector matter? pp. 355-371

- Mohamed Ahmed and Mohammad Alhadab
- The impact of employee relations on the reputation of the board of directors and CEO pp. 372-388

- Omer Unsal and Jennifer Brodmann
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