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The Quarterly Review of Economics and Finance

1993 - 2019

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

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Volume 51, issue 4, 2011

Growth, development and natural resources: New evidence using a heterogeneous panel analysis pp. 305-318 Downloads
Tiago Cavalcanti, Kamiar Mohaddes and Mehdi Raissi
An assessment of another decade of capital controls in Colombia: 1998–2008 pp. 319-338 Downloads
Alvaro Concha, Arturo Galindo and Diego Vásquez
Nonlinear effects of monetary policy on stock returns in a smooth transition autoregressive model pp. 339-349 Downloads
Kuang-Chung Hsu and Hui-Chu Chiang
Should the government directly intervene in stock market during a crisis? pp. 350-359 Downloads
Salman Khan and Pierre Batteau
Enforcement of nineteenth century banking contracts using a marriage rule pp. 360-367 Downloads
Malavika Nair
Demographics, dividend clienteles and the dividend premium pp. 368-375 Downloads
King Fuei Lee
Private debt, unused credit lines, and seasoned equity offerings pp. 376-388 Downloads
Yang Liu and J. Jimmy Yang
The impact of US news on the German stock market—An event study analysis pp. 389-398 Downloads
Thomas Dimpfl
Carbon Financial Instruments, thin trading, and volatility: Evidence from the Chicago Climate Exchange pp. 399-407 Downloads
Omid Sabbaghi and Navid Sabbaghi
Asymmetric convergence in US financial credit default swap sector index markets pp. 408-418 Downloads
Li-Hsueh Chen, Shawkat Hammoudeh and Yuan Yuan
Trade credit versus bank credit: Evidence from corporate inventory financing pp. 419-434 Downloads
Xiaolou Yang
Risk management of precious metals pp. 435-441 Downloads
Shawkat Hammoudeh, Farooq Malik and Michael McAleer

Volume 51, issue 3, 2011

Inflation expectations from index-linked bonds: Correcting for liquidity and inflation risk premia pp. 225-235 Downloads
Florian Kajuth and Sebastian Watzka
Modelling oil price expectations: Evidence from survey data pp. 236-247 Downloads
Georges Prat and Remzi Uctum
Regulatory risk, market uncertainties, and firm financing choices: Evidence from U.S. Electricity Market Restructuring pp. 248-268 Downloads
Paroma Sanyal and Laarni T. Bulan
Corporate financial determinants of foreign direct investment pp. 269-282 Downloads
Jens Forssbæck and Lars Oxelheim
Housing price dynamics and convergence in high-tech metropolitan economies pp. 283-291 Downloads
Wensheng Kang
Independent component analysis for realized volatility: Analysis of the stock market crash of 2008 pp. 292-302 Downloads
Andrew Kumiega, Thaddeus Neururer and Ben Van Vliet

Volume 51, issue 2, 2011

Short-term market overreaction on the Frankfurt stock exchange pp. 113-123 Downloads
Sebastian Lobe and Johannes Rieks
The role of stock markets vs. the term spread in forecasting macrovariables in Finland pp. 124-132 Downloads
Petri Kuosmanen and Juuso Vataja
Return behaviour in Africa's emerging equity markets pp. 133-140 Downloads
Paul Alagidede
Corporate debt maturity choice in emerging financial markets pp. 141-151 Downloads
Andreas Stephan, Oleksandr Talavera and Andriy Tsapin
Managerial horizons in stock financed mergers pp. 152-161 Downloads
Vaibhav Sharma and Chialing Hsieh
The efficiency of internal capital markets: Evidence from the Annual Capital Expenditure Survey pp. 162-172 Downloads
Sumit Agarwal, I-Ming Chiu, Victor Souphom and Guy M. Yamashiro
Are Copula-GoF-tests of any practical use? Empirical evidence for stocks, commodities and FX futures pp. 173-188 Downloads
Gregor N.F. Weiß
Was there a U.S. house price bubble? An econometric analysis using national and regional panel data pp. 189-200 Downloads
Steven Clark and T. Daniel Coggin
Monetary policy regimes in macroeconomic data: An application of fractal analysis pp. 201-211 Downloads
Robert F. Mulligan and Roger Koppl
A model for pricing Italian Contemporary Art paintings at auction pp. 212-224 Downloads
Nicoletta Marinelli and Giulio Palomba

Volume 51, issue 1, 2011

The impact of parental income on the intra-household distribution of school attainment: A measurement strategy and evidence pp. 1-18 Downloads
Andrew W. Horowitz and André Souza
The impact of land policy on the relation between housing and land prices: Evidence from China pp. 19-27 Downloads
Hongyan Du, Yongkai Ma and Yunbi An
Geographic deregulation and commercial bank performance in U.S. state banking markets pp. 28-35 Downloads
YongDong Zou, Stephen Miller and Bernard Malamud
Cross-border venture capital flows and local ties: Evidence from developed countries pp. 36-48 Downloads
Tereza Tykvova and Andrea Schertler
A test of the expectations hypothesis in very short-term international rates in the presence of preferred habitat for liquidity pp. 49-55 Downloads
Vladimir Kotomin
Banks and managerial discipline: Does regulatory monitoring play a role? pp. 56-68 Downloads
Ajay Palvia
Why are proposed spinoffs withdrawn? pp. 69-81 Downloads
Oneil Harris and Jeff Madura
Fundamental indicators, bubbles in stock returns and investor sentiment pp. 82-87 Downloads
Ming-Chu Chiang, I-Chun Tsai and Cheng-Feng Lee
Financial development and economic growth: New evidence from panel data pp. 88-104 Downloads
M. Kabir Hassan, Benito Sanchez and Jung-Suk Yu
Anatomy of a ratings change pp. 105-112 Downloads
Hugh Marble

Volume 50, issue 4, 2010

Barriers to skill acquisition in Brazil: Public and private school students performance in a public university entrance exam pp. 395-407 Downloads
Tiago Cavalcanti, Juliana Guimaraes Cavalcanti and Breno Sampaio
Wavelet domain correlation between the futures prices of natural gas and oil pp. 408-414 Downloads
Victor Lux Tonn, H.C. Li and Joseph McCarthy
The behavior of MENA oil and non-oil producing countries in international portfolio optimization pp. 415-423 Downloads
Gholamreza Mansourfar, Shamsher Mohamad and Taufiq Hassan
Estimating banking cost efficiency with the consideration of cost management pp. 424-435 Downloads
Chung-Hua Shen and Ting-Hsuan Chen
Is there a difference in performance by the legal status of microfinance institutions? pp. 436-442 Downloads
Tchakoute-Tchuigoua, Hubert
Underwriter reputation and IPO issuer alignment 1981-2005 pp. 443-455 Downloads
Richard B. Carter, Frederick H. Dark and Travis R.A. Sapp
Stock market bubble effects on mergers and acquisitions pp. 456-470 Downloads
David Y. Aharon, Ilanit Gavious and Rami Yosef
Determinants of the method of payment in mergers and acquisitions pp. 471-484 Downloads
Ahmad Ismail and Andreas Krause
Costs of short-term credit for small and large firms pp. 485-491 Downloads
David A. Walker
Are "bounced check loans" really loans? Theory, evidence and policy pp. 492-500 Downloads
Marc Anthony Fusaro
Predictability of future index returns based on the 52-week high strategy pp. 501-508 Downloads
Mirela Malin and Graham Bornholt
Can mutual funds time risk factors? pp. 509-514 Downloads
Evangelos Benos, Marek Jochec and Victor Nyekel
Value at risk models for volatile emerging markets equity portfolios pp. 515-526 Downloads
Dimitris Dimitrakopoulos, Manolis Kavussanos and Spyros Spyrou
Value investing anomalies in the European stock market: Multiple Value, Consistent Earner, and Recognized Value pp. 527-537 Downloads
Gregor Elze
Autocorrelation of the trade process: Evidence from the Helsinki Stock Exchange pp. 538-547 Downloads
Bernard Ben Sita
Adverse selection and reputation in a world of cheap talk pp. 548-558 Downloads
Craig Depken and Ying Zhang

Volume 50, issue 3, 2010

Economic integration in Africa pp. 245-253 Downloads
Assandé Désiré Adom, Subhash C. Sharma and Akm Morshed
Import demand behavior in Africa: Some new evidence pp. 254-263 Downloads
Augustine C. Arize and Srinivas Nippani
Time-varying higher-order conditional moments and forecasting intraday VaR and Expected Shortfall pp. 264-272 Downloads
A. Tolga Ergün and Jongbyung Jun
The properties of realized correlation: Evidence from the French, German and Greek equity markets pp. 273-290 Downloads
Dimitrios Vortelinos
Rank-ordering of risk preferences with conventional and discrete measures pp. 291-297 Downloads
Joseph G. Eisenhauer
The effects of external and internal shocks on total factor productivity pp. 298-309 Downloads
Pedro Ferreira, Antonio F. Galvao , Fabio Augusto Reis Gomes and Samuel de Abreu Pessoa
How do stock prices respond to fundamental shocks in the case of the United States? Evidence from NASDAQ and DJIA pp. 310-322 Downloads
Rosmy Jean Louis and Tarek Eldomiaty
Long-run stock performance following stock repurchases pp. 323-331 Downloads
Ken C. Yook
Robust performance measures for high yield bond funds pp. 332-340 Downloads
Amy F. Lipton and Richard J. Kish
What do bank acquirers value in non-public bank mergers and acquisitions? pp. 341-351 Downloads
Ken B. Cyree
Transaction costs and market efficiency: Evidence from commission deregulation pp. 352-360 Downloads
Shinhua Liu
The influence of academic interactions on stock selection and performance: Evidence from Japan pp. 361-366 Downloads
Hidetomo Takahashi
The Sarbanes-Oxley Act and CEO tenure, turnover, and risk aversion pp. 367-376 Downloads
Hongxia Wang, Wallace N. Davidson and Xiaoxin Wang
The effects of economic news on commodity prices pp. 377-385 Downloads
Shaun K. Roache and Marco Rossi
Some empirical evidence on the effects of U.S. monetary policy shocks on cross exchange rates pp. 386-394 Downloads
Sarantis Kalyvitis and Ifigeneia Skotida

Volume 50, issue 2, 2010

The role of health insurance in labor supply decisions of divorced females pp. 121-131 Downloads
David Zimmer
Profit efficiency in U.S. BHCs: Effects of increasing non-traditional revenue sources pp. 132-140 Downloads
Aigbe Akhigbe and Bradley A. Stevenson
Modeling and forecasting trading volume index: GARCH versus TGARCH approach pp. 141-145 Downloads
Md. Sabiruzzaman, Md. Monimul Huq, Rabiul Alam Beg and Sajid Anwar
Asset values and the sustainability of peace prospects pp. 146-156 Downloads
Christopher Coyne, Gregory M. Dempster and Justin P. Isaacs
Stock market linkages and financial contagion: A cobreaking analysis pp. 157-166 Downloads
Niklas Ahlgren and Jan Antell
Behavior patterns of investment strategies under Roy's safety-first principle pp. 167-179 Downloads
Zhongfei Li, Jing Yao and Duan Li
Do managers make takeover financing decisions that circumvent more effective outside blockholders? pp. 180-190 Downloads
Oneil Harris, Jeff Madura and Charmaine Glegg
Analysis of the probability of deletion of S&P 500 companies: Survival analysis and neural networks approach pp. 191-201 Downloads
John M. Geppert, Stoyu I. Ivanov and Gordon V. Karels
Why do firms cross-list? International evidence from the US market pp. 202-213 Downloads
Abed AL-Nasser Abdallah and Christos Ioannidis
Toeholds, rejected offers, and bidder gains: Do rebuffed bidders put targets in play to profit from their toeholds? pp. 214-221 Downloads
Carolyn Carroll and John M. Griffith
Co-determination of capital structure and stock returns--A LISREL approach: An empirical test of Taiwan stock markets pp. 222-233 Downloads
Chau-Chen Yang, Cheng-few Lee, Yan-Xiang Gu and Yen-Wen Lee
A resolution to the NPV-IRR debate? pp. 234-239 Downloads
Michael Osborne
WACC and free cash flows: A simple adjustment for capitalized interest costs pp. 240-243 Downloads
Axel Pierru and Denis Babusiaux
Corrigendum to "Donors and Domestic Politics: Political Influences on Foreign Aid Effort" [Q. Rev. Econ. Finance 50 (2010) 40-49] pp. 244-244 Downloads
Dustin Tingley

Volume 50, issue 1, 2010

Special focus: Foreign aid pp. 1-2 Downloads
Christopher Kilby
Cultural values and public policy: The case of international development aid pp. 3-16 Downloads
Richard Ball
IMF and economic reform in developing countries pp. 17-26 Downloads
Philip Abbott, Thomas Andersen and Finn Tarp
Development aid and economic growth: A positive long-run relation pp. 27-39 Downloads
Camelia Minoiu and Sanjay Reddy
Donors and domestic politics: Political influences on foreign aid effort pp. 40-49 Downloads
Dustin Tingley
The bank lending channel of monetary transmission in Brazil: A VECM approach pp. 50-60 Downloads
Luiz de Mello and Mauro Pisu
Inventory management effects, isolated: Evidence from the federal funds market pp. 61-66 Downloads
Yaman Omer Erzurumlu and Vladimir Kotomin
Relative productivity growth and the secular "decline" of U.S. manufacturing pp. 67-74 Downloads
Milton Marquis and Bharat Trehan
Optimal financial contracts with hidden effort, unobservable profits and endogenous costs of effort pp. 75-89 Downloads
Viet Dang
The effect of capital wealth on optimal diversification: Evidence from the Survey of Consumer Finances pp. 90-98 Downloads
James A. Yunker and Alla A. Melkumian
Consumption asset pricing and the term structure pp. 99-109 Downloads
Stuart Hyde and Mohamed Sherif
Information transmission between small and large stocks in the National Stock Exchange in India: An empirical study pp. 110-120 Downloads
Madhusudan Karmakar
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