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Daneshyari Economics and Econometrics Journas Latest Articles

Economics and Econometrics Research Articles

A credit risk model for large dimensional portfolios with application to economic capital
Fulltext Access 35 Pages 2006
The variability of velocity of money in a search model
Fulltext Access 35 Pages 2006
Constant gain learning and business cycles
Fulltext Access 35 Pages 2006
Generational accounting in Korea
Fulltext Access 35 Pages 2006
Redistribution and affirmative action
Fulltext Access 35 Pages 2006
Utility of income as a random function: Behavioral characterization and empirical evidence
Fulltext Access 35 Pages 2006
So who gains from a small tick size?
Fulltext Access 35 Pages 2006
Corporate tax avoidance and high-powered incentives
Fulltext Access 35 Pages 2006
Use of employees and alternative work arrangements in the United States: a law, economics, and organizations perspective
Fulltext Access 35 Pages 2006
ENTICE-BR: The effects of backstop technology R&D on climate policy models
Fulltext Access 35 Pages 2006
Democracy comes to Europe: Franchise extension and fiscal outcomes 1830-1938
Fulltext Access 35 Pages 2006
Evidence on the effects of bank competition on firm borrowing and investment
Fulltext Access 35 Pages 2006
Earnings inequality and the business cycle
Fulltext Access 35 Pages 2006
Competition and cooperation among exchanges: A theory of cross-listing and endogenous listing standards
Fulltext Access 35 Pages 2006
Bundling as an optimal selling mechanism for a multiple-good monopolist
Fulltext Access 35 Pages 2006
Stochastic lifestyling: Optimal dynamic asset allocation for defined contribution pension plans
Fulltext Access 35 Pages 2006
Can money matter for interest rate policy?
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A consumption-based model of the term structure of interest rates
Fulltext Access 35 Pages 2006
Linear learning in changing environments
Fulltext Access 35 Pages 2006
Instrumental quantile regression inference for structural and treatment effect models
Fulltext Access 35 Pages 2006
Welfare implications of endogenous credit limits with bankruptcy
Fulltext Access 35 Pages 2006
Stock market development and internationalization: Do economic fundamentals spur both similarly?
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Robust inflation-forecast-based rules to shield against indeterminacy
Fulltext Access 36 Pages 2006
Persistent media bias
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Labor market trends with balanced growth
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Vertical versus horizontal tax externalities: An empirical test
Fulltext Access 36 Pages 2006
Population ageing and pension reform in a small open economy with non-traded goods
Fulltext Access 36 Pages 2006
Approximating volatility diffusions with CEV-ARCH models
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Coarse-grained distributions and superstatistics
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A small scale macroeconometric model for the Euro-12 area
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A long-run Pure Variance Common Features model for the common volatilities of the Dow Jones
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The effects of dynamic feedbacks on LS and MM estimator accuracy in panel data models
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Abstracts and Reviews
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Earnings management through real activities manipulation
Fulltext Access 36 Pages 2006
Equilibrium consumption and precautionary savings in a stochastically growing economy
Fulltext Access 36 Pages 2006
Master funds in portfolio analysis with general deviation measures
Fulltext Access 36 Pages 2006
Is life more risky in the open? Household risk-coping and the opening of China's labor markets
Fulltext Access 36 Pages 2006
Quantile regression methods for recursive structural equation models
Fulltext Access 36 Pages 2006
Impact of jumps on returns and realised variances: econometric analysis of time-deformed Lévy processes
Fulltext Access 36 Pages 2006
The American keiretsu and universal banks: Investing, voting and sitting on nonfinancials’ corporate boards
Fulltext Access 36 Pages 2006
Learning dynamics for mechanism design: An experimental comparison of public goods mechanisms
Fulltext Access 36 Pages 2006
Are asset price guarantees useful for preventing Sudden Stops?: A quantitative investigation of the globalization hazard-moral hazard tradeoff
Fulltext Access 36 Pages 2006
Value of analyst recommendations: International evidence
Fulltext Access 36 Pages 2006
External finance constraints and the intertemporal pattern of intermittent investment
Fulltext Access 36 Pages 2006
R2 around the world: New theory and new tests
Fulltext Access 36 Pages 2006
The impact of regulation on market risk
Fulltext Access 36 Pages 2006
Science and politics: The 1981 and 1984 LIHEAP distribution formulas
Fulltext Access 37 Pages 2006
Alternative bootstrap procedures for testing cointegration in fractionally integrated processes
Fulltext Access 37 Pages 2006
Predicting volatility: getting the most out of return data sampled at different frequencies
Fulltext Access 37 Pages 2006
Responsibility and cross-subsidization in cost sharing
Fulltext Access 37 Pages 2006
An experiment with multiple currencies: the American monetary system from 1838-60
Fulltext Access 37 Pages 2006
The political economy of antidumping: A survey
Fulltext Access 37 Pages 2006
Fiscal transparency, political parties, and debt in OECD countries
Fulltext Access 37 Pages 2006
Volatility comovement: a multifrequency approach
Fulltext Access 37 Pages 2006
The history and performance of concept stocks
Fulltext Access 37 Pages 2006
The National and Regional Economic Consequences of Rapid Growth in Australia's Telecommunications Sector
Fulltext Access 37 Pages 2006
A multiobjective optimization approach to smart growth in land development
Fulltext Access 37 Pages 2006
Bootstrapping cointegrating regressions
Fulltext Access 37 Pages 2006
Asset pricing with unforeseen contingencies
Fulltext Access 37 Pages 2006
Equilibrium impact of value-at-risk regulation
Fulltext Access 37 Pages 2006
On the optimality of privacy in sequential contracting
Fulltext Access 37 Pages 2006
Cross-border trading as a mechanism for implicit capital flight: ADRs and the Argentine crisis
Fulltext Access 37 Pages 2006
Labor market rigidities and R&D-based growth in the global economy
Fulltext Access 37 Pages 2006
Modified two-stage least-squares estimators for the estimation of a structural vector autoregressive integrated process
Fulltext Access 37 Pages 2006
Large shocks vs. small shocks. (Or does size matter? May be so.)
Fulltext Access 37 Pages 2006
A flexible prior distribution for Markov switching autoregressions with Student-t errors
Fulltext Access 38 Pages 2006
Unit root testing via the stationary bootstrap
Fulltext Access 38 Pages 2006
Economic growth and concentrated ownership in stock markets
Fulltext Access 38 Pages 2006
Managerial incentives and risk-taking
Fulltext Access 38 Pages 2006
Debt financing: Does it boost or hurt firm performance in product markets?
Fulltext Access 38 Pages 2006
Manager education and mutual fund performance
Fulltext Access 38 Pages 2006
Building rational cooperation
Fulltext Access 38 Pages 2006
Optimal taxation with endogenously incomplete debt markets
Fulltext Access 38 Pages 2006
Does good corporate governance include employee representation? Evidence from German corporate boards
Fulltext Access 38 Pages 2006
Market transparency, liquidity externalities, and institutional trading costs in corporate bonds
Fulltext Access 38 Pages 2006
Capital structure and firm performance: A new approach to testing agency theory and an application to the banking industry
Fulltext Access 38 Pages 2006
ReviewPerspectives in supply chain risk management
Fulltext Access 38 Pages 2006
Partial adjustment toward target capital structures
Fulltext Access 38 Pages 2006
Separating microstructure noise from volatility
Fulltext Access 38 Pages 2006
How migration restrictions limit agglomeration and productivity in China
Fulltext Access 39 Pages 2006
India's pattern of development: What happened, what follows?
Fulltext Access 39 Pages 2006
Investment dynamics with fixed capital adjustment cost and capital market imperfections
Fulltext Access 39 Pages 2006
The exact law of large numbers via Fubini extension and characterization of insurable risks
Fulltext Access 39 Pages 2006
Are the dynamic linkages between the macroeconomy and asset prices time-varying?
Fulltext Access 39 Pages 2006
Investing in mutual funds when returns are predictable
Fulltext Access 39 Pages 2006
World markets for raising new capital
Fulltext Access 39 Pages 2006
Beyond the dilute Bose gas
Fulltext Access 39 Pages 2006
Trades outside the quotes: Reporting delay, trading option, or trade size?
Fulltext Access 39 Pages 2006
Financing decisions when managers are risk averse
Fulltext Access 39 Pages 2006
The economic consequences of increased disclosure: Evidence from international cross-listings
Fulltext Access 39 Pages 2006
Entry regulation as a barrier to entrepreneurship
Fulltext Access 39 Pages 2006
Changes in the structure of earnings during the Polish transition
Fulltext Access 39 Pages 2006
Quasi-equilibrium closure hierarchies for the Boltzmann equation
Fulltext Access 40 Pages 2006
Mean-field theory of glass transitions
Fulltext Access 40 Pages 2006
The Impact of Increased Voluntary Disclosure on Market Information Asymmetry, Informed and Uninformed Trading
Fulltext Access 40 Pages 2006
Optimal currency shares in international reserves: The impact of the euro and the prospects for the dollar
Fulltext Access 40 Pages 2006
A comparison of twelve macroeconomic models of the Canadian economy
Fulltext Access 40 Pages 2006
Inattentive consumers
Fulltext Access 40 Pages 2006
Learning the master's trade: Apprenticeship and human capital in Ghana
Fulltext Access 40 Pages 2006
Government finance in the wake of currency crises
Fulltext Access 40 Pages 2006
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