Eurasian Economic Review
2011 - 2024
Current editor(s): Dorothea Schäfer From: Springer Eurasia Business and Economics Society Contact information at EDIRC. Bibliographic data for series maintained by Sonal Shukla () and Springer Nature Abstracting and Indexing (). Access Statistics for this journal.
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Volume 5, issue 2, 2015
- Better governance matters optimal privatization policy pp. 189-206
- Leonard Wang and Tien- Der Han
- Privatization, intermediation and performance: global evidence pp. 207-229
- Doug Dyer, Majdi Quttainah and Pengfei Ye
- Trade-off between financial sustainability and outreach of microfinance institutions pp. 231-250
- Mira Nurmakhanova, Gavin Kretzschmar and Hassouna Fedhila
- What makes banking crisis resolution difficult? Lessons from Japan and the Nordic Countries pp. 251-277
- Michael Diemer and Uwe Vollmer
- Optimal output for the regret-averse competitive firm under price uncertainty pp. 279-295
- Martín Egozcue, Xu Guo and Wing-Keung Wong
- Can tax simplification help lower tax corruption? pp. 297-330
- Rajul Awasthi and Nihal Bayraktar
- How will a risk of income fluctuations influence the suicidal decision making? Insights from a three-period model of suicide pp. 331-343
- Tomoya Suzuki
- Altruism and four shades of family relationships pp. 345-365
- Yoshitaka Koda and Manachaya Uruyos
- Erratum to: Monetary policy challenges: how central banks changed their modus operandi pp. 367-367
- Giorgio Di Giorgio
- Erratum to: The probability of default in Russian banking pp. 369-370
- Alexandr Karminsky and Alexander Kostrov
Volume 5, issue 1, 2015
- Analyst coverage, syndicate structure, and loan contracts pp. 1-21
- LiuLing Liu
- Excess premium offers and bidder success in European takeovers pp. 23-62
- Wolfgang Bessler and Colin Schneck
- R&D spillovers and information exchange: a case study pp. 63-76
- Klaus Kultti, Tuomas Takalo and Tanja Tanayama
- Political uncertainty and non-pricing terms of financial contract pp. 77-109
- Yun Zhu
- Political regimes and stock market development pp. 111-137
- Bill Francis and Eric Ofori
- Financing activities after accounting restatements: an examination of SEOs and PIPEs pp. 139-160
- Kose John, Joe Shangguan and Ravi Mateti
- Institutional investors and conservative financial reporting: evidence from China pp. 161-178
- Yue Chen, Lingxiang Li, Haizhi Wang and Peng Wang
- Distribution strategy and movie performance: an empirical note pp. 179-187
- Rocco Ciciretti, Iftekhar Hasan and Maya Waisman
Volume 4, issue 2, 2014
- Modeling and forecasting Hang Seng index volatility with day-of-week effect, spillover effect based on ARIMA and HAR pp. 113-132
- Yanhui Chen, Kin Lai and Jiangze Du
- Asset price volatility and financial contagion: analysis using the MS-VAR framework pp. 133-162
- Chau Le and Dickinson David
- Hedging with mini gold futures: evidence from Korea pp. 163-176
- Seokchin Kim, Cheolho Park and Youngjun Yun
- The impact of scale of operation on financial performance in microfinance pp. 177-198
- Trong Ngo, Andrew Mullineux and Anh Ly
- The financial distress indicators trend in Italy: an analysis of medium-size enterprises pp. 199-221
- Alessandro Zeli
- Young people and the digital divide in Egypt: an empirical study pp. 223-250
- Mona Badran
Volume 4, issue 1, 2014
- Editorial Note pp. 1-2
- Hakan Danis and Peter Rangazas
- Japan’s monetary policy in a challenging environment pp. 3-24
- Sayuri Shirai
- Monetary policy challenges: how central banks changed their modus operandi pp. 25-43
- Giorgio Di Giorgio
- Managing short-term capital flows in new central banking: unconventional monetary policy framework in Turkey pp. 45-69
- Ahmet Aysan, Salih Fendoglu and Mustafa Kilinc
- Effects of additional monetary tightening on exchange rates pp. 71-79
- Ergun Ermisoglu, Yasin Akcelik, Arif Oduncu and Temel Taskin
- The probability of default in Russian banking pp. 81-98
- Alexandr Karminsky and Alexander Kostrov
- Hedging China’s energy oil market risks pp. 99-112
- Marco Lau, Yongyang Su, Na Tan and Zhe Zhang
Volume 3, issue 2, 2013
- Technological Choices and Labor Market Participation: Negative Income Tax pp. 98-113
- Samir Amine and Pedro Santos
- Arm’s Length Method for Comparing Rating Scales pp. 114-135
- Alexandr Karminsky, Richard Hainsworth and Vasily Solodkov
- Mongolian and World Equity Markets: Volatilities and Correlations pp. 136-164
- Yertai Tanai and Kuan-Pin Lin
- The Relationship between Economic Growth and Income Distribution in Turkey and the Turkish Republics of Central Asia and Caucasia: Dynamic Panel Data Analysis with Structural Breaks pp. 165-182
- Mehmet Mercan and Ozlem Azer
- The Impact of Ownership Concentration, Commissioners on Bank Risk and Profitability: Evidence from Indonesia pp. 183-202
- Mamduh Hanafi, Fitri Santi and Muazaroh
Volume 3, issue 1, 2013
- Introduction: The Dual Economy Approach to Economic Growth and Development pp. 1-7
- Peter Rangazas
- Supply Side Structural Change pp. 8-38
- Juan Cordoba
- Measuring Aggregate Agricultural Labor Effort in Dual Economies pp. 39-58
- Dietrich Vollrath
- Wage and Fertility Gaps in Dual Economies pp. 59-83
- Peter Rangazas and Alexandros Mourmouras
- Surplus Labour and Urbanization in China pp. 84-97
- Xiaobing Wang and Nick Weaver
Volume 2, issue 2, 2012
- EU Enlargement to Turkey: Potential Effects on Turkey’s Agricultural Income and Markets pp. 1-16
- Thomas Fellmann, Myrna Leeuwen, Petra Salamon, Ali Koc and Gulden Boluk
- Financial Constraints, Quality of Institutions and Firm Size: What Do Perceptions Tell Us? pp. 17-36
- Nurullah Gur
- Determining Hub Efficiency in Europe, the Middle East, and North Africa: The Impact of Geographical Positioning pp. 37-53
- M. Nenem and Emine Gunay
- Macroeconomic Policies for Slovenia after the “Great Recession” pp. 54-93
- Dmitri Blueschke, Viktoria Blueschke-Nikolaeva, Reinhard Neck and Klaus Weyerstrass
Volume 2, issue 1, 2012
- A Quantitative Mirror on the Euribor Market Using Implied Probability Density Functions pp. 1-31
- Josep Puigvert-Gutiérrez and Rupert Vincent-Humphreys
- A Panel Causality Analysis of the Relationship among Research and Development, Innovation, and Economic Growth in High-Income OECD Countries pp. 32-47
- Bulent Guloglu and R. Tekin
- General Analysis of Cournot Mixed Oligopoly with Partial Privatization pp. 48-62
- Koji Okuguchi
- The Effects of Population Ageing on Private Consumption — A Simulation for Austria Based on Household Data up to 2050 pp. 63-80
- Birgit Aigner-Walder and Thomas Döring
Volume 1, issue 2, 2011
- Capital Investment, Earnings, and Annual Stock Returns: Causality Relationships In China pp. 95-125
- Ahmet Inci
- Comparing High Frequency Data of Stocks that are Traded Simultaneously in the US and Germany: Simulated Versus Empirical Data pp. 126-142
- Jörg Rieger, Kirsten Rüchardt and Bodo Vogt
- The Composition of Foreign Reserves of the Central Banks of Selected Countries: Will the Euro Replace the Dollar? pp. 143-156
- Akbar Komijani and Hossein Tavakolian
- A Higher Moment Downside Framework for Conditional and Unconditional Capm in the Russian Stock Market pp. 157-178
- Tamara Teplova and Evgeniya Shutova
Volume 1, issue 1, 2011
- Editorial Note pp. 1-1
- Hakan Danis and Peter Rangazas
- Relative Efficiency of Government Spending and Its Determinants: Evidence from East Asian Countries pp. 3-28
- Eric Wang and Eskander Alvi
- Micro-Finance and Rural Enterprises: An Analysis of Operational Performance and Constraints in the SHG-Bank Linkage Program in India pp. 29-50
- Sudhir Jain and K. Tripathy
- Fishing In Troubled Waters: The Lull Before The Storm pp. 51-65
- Sílvia Ysàs and Magda Costa
- The Position of Women in Social and Economic Life: A Comparison between the EU and Turkey pp. 66-94
- Nuray Karaca and Fatma Kocabaş
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