Contents of IREF: Volume 16
Volume 16, Number 1ArticlesOptimum tariffs and patent length in a model of North-South technology transfer An inventory of simple monetary policy rules in a New Keynesian macroeconomics model A risk-based rationale for two-way capital flows: Why do capital flights and inward foreign direct investments co-exist? Liquidity risk and bank portfolio allocation Monetary policy transmission under different banking structures: The role of capital and heterogeneity Fiscal, monetary policy and the conditional risk premium in short-term interest rate differentials: an application of Tobin’s portfolio theory Are international value premiums driven by the same set of fundamentals? Preferential trade and mis-invoicing: Some analytical implications The value of information about central bankers’ preferences Book ReviewThe Macroeconomics of Fiscal Policy Volume 16, Number 2ArticlesTrade theory and the role of time zones Synthetic money Mean-semivariance behavior: Downside risk and capital asset pricing Sovereign bond markets with political risk and moral hazard Market power and exchange rate pass-through Exchange rate pass-through in the U.S. automobile market: A Cointegration approach Exchange rates, exchange risk, and Asian export revenue Reassessing the evidence of an emerging yen block in North and Southeast Asia Asymmetric volatility of stock returns during the Asian crisis: Evidence from Indonesia Empirical factor abundance with many factors and countries Book ReviewsThe exchange rate in a behavioral finance framework Globalization and Its Enemies Volume 16, Number 3ArticlesMarket structure and insider trading Extreme observations and non-normality in ARCH and GARCH North-South trade and income inequality Shock and volatility transmission in the oil, US and Gulf equity markets A cost-based analysis of scale economies in the French auto industry Analyst earnings forecast revisions and the persistence of antidumping relief The determinants of capital structure in transitional economies China financial research: A review and synthesis Earnings management behaviors under different economic environments: Evidence from Japanese banks Was the Argentine corralito an effective measure?: A note Book ReviewThe Central and Eastern European Countries and the European Union. Edited by: Michael Artis, Anindya Banerjee, and Massimiliano Marcellino. Volume 16, Number 4ArticlesOperational and financial hedging for exporting firms Trade liberalization, foreign ownership, and the environment in a small open economy Market power in input purchase and trade A comparison of variance ratio tests of random walk: A case of Asian emerging stock markets Dynamic linkages between exchange rates and stock prices: Evidence from East Asian markets To outsource or not to outsource in an integrated world Growth dynamics in a model of endogenous time preference Sustaining multilateral cooperation among asymmetric countries: Does MFN help? Exchange rate exposure, foreign currency derivatives and the introduction of the euro: French evidence Strategic use of futures and options by commodity processors Economic liberalization and wage inequality in the presence of labour market imperfection Book ReviewEconomic Turbulence: Is a Volatile Economy Good for America?
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