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International Journal of Monetary Economics and Finance

2007 - 2025

From Inderscience Enterprises Ltd
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Volume 7, issue 4, 2014

Bank debt and financial flexibility pp. 249-265 Downloads
Nont Dhiensiri and Xiaohong (Sara) Wang
A comparison of the dynamics of inflation in the USA and Japan: a VAR-VEC analysis pp. 266-287 Downloads
Livia Fraccalvieri, Mattia Rosada and Emiliano Sironi
Comparing the measures of core inflation in India: trimmed mean and structural vector auto-regression approach pp. 288-301 Downloads
Arundhati Mallick and Narayan Sethi
Evaluating quantitative easing: a DSGE approach pp. 302-327 Downloads
Matteo Falagiarda
Post-acquisition performance of European cross-border bank M%As pp. 328-346 Downloads
Evangelos Drymbetas and George Kyriazopoulos

Volume 7, issue 3, 2014

Monetary policy and oil price fluctuations following the subprime mortgage crisis pp. 157-174 Downloads
Naoyuki Yoshino and Farhad Taghizadeh-Hesary
Non-linear effects in the Croatian inflation-generating process pp. 175-191 Downloads
Ivana Lolić and Petar Sorić
Asymmetric effects of monetary policy on an emerging stock market pp. 192-206 Downloads
Guowen Han, Yongjin Wu and Warren Young
Real exchange rate misalignment and economic growth: empirical evidence from Sudan pp. 207-228 Downloads
Alamedin A. Bannaga and Ahmed A.A. Badawi
Market power vs. financial stability: evidence from the MENA region's Islamic and conventional banking industries pp. 229-247 Downloads
Louati Salma and Boujelbene Younes

Volume 7, issue 2, 2014

Does the policy trilemma still hold? Fresh evidence and its implications pp. 81-106 Downloads
Amit Ghosh
Sign asymmetry and exchange rate market volatility: empirical evidence from two developing countries pp. 107-121 Downloads
Kwame Osei-Assibey
Central bank independence and the price-output-variability trade-off pp. 122-134 Downloads
Mats Landström
Selection of the right risk measures for portfolio allocation pp. 135-156 Downloads
Thanh Nguyen

Volume 7, issue 1, 2014

Analysing monetary policy's transmission mechanisms through effective and expected interest rates: an application of MS-models, Bayesian VAR and cointegration approaches for Brazil pp. 1-12 Downloads
Ricardo Ramalhete Moreira, Chukiat Chaiboonsri and Prasert Chaitip
Interaction among stock prices and monetary variables in Pakistan pp. 13-27 Downloads
Ghulam Abbas and David G. McMillan
Yield curve changes effect on Euro area bond indexes: a partial durations approach pp. 28-39 Downloads
José Soares Da Fonseca
Financial liberalisation, financial development and productivity growth: an overview pp. 40-65 Downloads
Agnieszka Gehringer
The effects of public debt on capital formation in India: evidence from structural VAR analysis pp. 66-80 Downloads
Debi Prasad Bal

Volume 6, issue 4, 2013

Are frontier stock markets more inefficient than emerging stock markets? pp. 271-284 Downloads
Prakash L. Dheeriya and Erdost Torun
The influence of global financial crisis on Jordanian equity market: VECM approach pp. 285-301 Downloads
Hussain Ali Bekhet and Ali Matar
A Euro area stock market model with betas dependent on the financial markets cycle pp. 302-308 Downloads
José Soares Da Fonseca
Industry-level exchange risk exposure of US multinationals: evidence from the Mexican and Asian financial crises pp. 309-324 Downloads
Sunghee Choi
The implications of credit risk transfer for the credit channel pp. 325-367 Downloads
Mari L. Robertson

Volume 6, issue 2/3, 2013

Financial corporations' performances and corruption indices around Europe 1996-2008 pp. 101-115 Downloads
Carlo Bellavite Pellegrini and Laura Pellegrini
The impact of external governance quality on the economic and social success of microfinance institutions pp. 116-149 Downloads
Oliver Müller and André Uhde
Economic freedom and bank efficiency nexus pp. 150-185 Downloads
Fadzlan Sufian
The historical economics of corruption and development within Italy pp. 186-202 Downloads
Ilaria Petrarca and Roberto Ricciuti
Corruption, political instability and public finance in Europe pp. 203-212 Downloads
Emiliano Sironi and Martina Tornari
Corruption, governance and sustainable development pp. 213-231 Downloads
Valdir de Jesus Lameira, Walter Lee Ness Jr., Marcio Alves Amaral-Baptista, Roberto G. Pereira and Osvaldo Luiz Gonçalves Quelhas
A new corruption index based on individual attitudes pp. 232-243 Downloads
Andrea Bonanomi and Silvia Angela Osmetti
Economic aspects of the complementarity between corruption and crime: evidence from Italy in the period 1996-2005 pp. 244-260 Downloads
Raul Caruso and Adelaide Baronchelli
Organised crime and corruption. The effects on legitimate business: evidence from Northern Italy pp. 261-270 Downloads
Eleonora Montani

Volume 6, issue 1, 2013

Revisiting the dollar index pp. 1-16 Downloads
Musa Essayyad, Khaled Albinali, Omar Al-Titi and Banamber Mishra
An empirical comparison of credit channel in emerging markets: evidence from five Asian economies pp. 17-39 Downloads
Muhamed Zulkhibri
Weak dependence between the Brazilian consumer inflation and expected inflation: non-linear and Copulas methods and a note on the Central Bank's credibility pp. 40-54 Downloads
Ricardo Ramalhete Moreira, Chukiat Chaiboonsri and Prasert Chaitip
Money supply and economic growth under environmental pressure: the strategy for re-growth pp. 55-80 Downloads
Feng Dai, Ling Liang and Songtao Wu
Fiscal indiscipline and monetary policy in EMU: Is there any need for a fiscal policy concerned ECB? pp. 81-95 Downloads
Pasquale Foresti and Ugo Marani

Volume 5, issue 4, 2012

Macroeconomic uncertainty, excess liquidity and stability of money demand (M3) in Australia pp. 325-344 Downloads
Fassil Fanta
What determines inflation? pp. 345-369 Downloads
Martina Alexová
Forecasting foreign exchange rates using artificial neural networks: a trader's approach pp. 370-394 Downloads
Adam Stokes and Ahmed S. Abou-Zaid
Debt overhang and bank bailouts pp. 395-414 Downloads
Linus Wilson

Volume 5, issue 3, 2012

Market structure and competitiveness of Credit Associations and Credit Cooperatives in Japan pp. 223-243 Downloads
Shinya Minegishi
Modelling euro area money demand and forecasting inflation in a time-varying environment pp. 244-267 Downloads
Robert Czudaj
Exchange rate volatility and demand for money in Iran pp. 268-276 Downloads
Sahar Bahmani and Mohsen Bahmani-Oskooee
Structural change in tail behaviour and the recent financial crises pp. 277-298 Downloads
Bechir Raggad and Mohamed Boutahar
Current account dynamics and optimal monetary policy in a two-country economy pp. 299-324 Downloads
Min Lu

Volume 5, issue 2, 2012

Repairing the original sin of the European Monetary Union pp. 102-123 Downloads
Sergio Rossi and Bernard Dafflon
Reassessment of the OCA criteria in the Euro area: the case of Greece pp. 124-138 Downloads
Pantelis Sklias and George Maris
Optimal stabilisation policy in a monetary union: implications of the Mankiw-Weinzierl model pp. 139-152 Downloads
Georgios Karras
Implicit Taylor reaction functions for Euro area countries pp. 153-168 Downloads
Jens Klose
The effect of inter-country competition on interest rate pass-through in the European Union pp. 169-182 Downloads
Rishav Bista, Biniv Maskay and James Saunoris
Stock market, economic growth and EU accession: evidence from three CEECs pp. 183-191 Downloads
Guglielmo Maria Caporale and Nicola Spagnolo
Egypt-EU commodity trade and the J-Curve pp. 192-209 Downloads
Mohsen Bahmani-Oskooee and Amr Hosny
Convergence and clustering of Tier 1 capital in the European banking sector: a non-linear factor approach pp. 210-221 Downloads
Nicholas Apergis, Alexandros Gabrielsen, James Payne and Paolo Zagaglia

Volume 5, issue 1, 2012

Crude oil price and stock markets in major oil-exporting countries: evidence of decoupling feature pp. 1-10 Downloads
Ibrahim Onour
Hitting the right target: an examination of inflation targeting and labour within the varieties of capitalism framework pp. 11-23 Downloads
Joseph J. St. Marie
Monetary environment and market inefficiency pp. 24-37 Downloads
Yacine Hammami
Credit rating announcements, trading activity and yield spreads: the Spanish evidence pp. 38-63 Downloads
Pilar Abad, Antonio Díaz and M. Dolores Robles-Fernández
Financial sector development and economic growth nexus in South Africa pp. 64-75 Downloads
Tafirenyika Sunde
Estimating the output gap for the UAE: a production function approach pp. 76-86 Downloads
Mohamed A. Osman, Rosmy Jean Louis and Faruk Balli
Price linkages between the GCC stock markets: a bounds test using an Auto Regressive-Distributed Lag model pp. 87-98 Downloads
Abraham Abraham and Haider Madani
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